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川润股份:2021年年度财务报告

公告日期:2022-03-31

川润股份:2021年年度财务报告 PDF查看PDF原文

              2021 年度财务决算报告

    四川川润股份有限公司(以下简称“公司”)在董事会及管理层的正确决 策以及全体员工的一致努力下,积极应对市场环境变化。现将 2021 年的财 务情况汇报如下:
 一、2021 年度公司财务报表审计情况

    根据北京兴华会计师事务所(特殊普通合伙)为公司出具的[2022]京会兴 审字第 01000025 号标准无保留意见的《审计报告》,并结合公司经营情况和 财务报告,公司编制了 2021 年度财务决算报告,请公司董事会予以审议。 二、主要经营财务指标情况

                                                                  单位:万元

              项目                  2021 年        2020 年        同比增长

营业总收入                            153,141.62      127,322.19        20.28%

归属于上市公司股东的净利润              5,124.00        6,502.64        -21.20%

归属于上市公司股东的扣除非经常性

                                        2,505.48        5,274.65        -52.50%
损益的净利润

经营活动产生的现金流量净额            -17,097.24        -4,820.91      -254.65%

基本每股收益(元)                        0.1196          0.1528        -21.73%

加权平均净资产收益率                      0.1190          0.1520        -21.71%

期末总资产                            300,292.44      282,449.89        6.32%

期末归属于上市公司股东的净资产        145,749.62      138,903.86        4.93%

股本                                  43,828.00        42,999.80        1.93%

期末每股净资产(元)                        3.33            3.23        3.10%

 三、财务状况
 (一)资产情况

                                                                    单位:万元

      项目          2021 年 12 月 31 日    2020 年 12 月 31 日      变动额


货币资金                        32,290.82            17,968.55      14,322.27

交易性金融资产                      238.39                84.15        154.23

应收票据                        20,789.02            24,002.60      -3,213.58

应收账款                        75,391.99            64,963.91      10,428.08

预付款项                          5,614.87              2,569.93        3,044.94

其他应收款                        1,174.23            14,790.90      -13,616.67

存货                            39,889.32            81,417.27      -41,527.95

其他流动资产                        866.58                596.93        269.65

  流动资产合计                176,255.21            206,394.23      -30,139.03

其他权益工具投资                  1,420.69              1,329.57          91.12

投资性房地产                    24,761.45            26,473.37      -1,711.92

固定资产                        39,821.03            39,113.44        707.59

在建工程                          2,678.11                674.56        2,003.55

使用权资产                        1,025.18                    -        1,025.18

无形资产                        51,547.94              5,420.78      46,127.16

商誉                                710.49                710.49              -

长期待摊费用                        261.45                152.27        109.18

递延所得税资产                    1,484.92              1,259.71        225.21

其他非流动资产                      325.98                921.47        -595.49

  非流动资产合计              124,037.24            76,055.66      47,981.58

资产总计                        300,292.44            282,449.89      17,842.55

2021 年年末公司总资产比上年末增长 6.32%,主要变动因素如下:

    1、货币资金:期末同比增加 14,322.27 万元,主要系报告期内贷款资金及收
回大安厂区房屋及土地征收补偿款增加所致;

    2、应收账款:期末同比增加 10,428.08 万元,主要系本期销售收入增加所致;
    3、其他应收款:期末同比减少 13,616.67 万元,主要系报告期内收回大安厂
区房屋及土地征收补偿款所致;

    4、存货:期末同比减少 41,527.95 万元,主要系报告期内将持有以备出售的
土地转为自用,报表项目从存货调至在建工程及无形资产所致;

    5、无形资产:期末同比增加 46,127.16 万元,主要系报告期内将持有以备出
售的土地转为自用,报表项目从存货调至在建工程及无形资产所致。

    (二)负债

                                                                  单位:万元

        项目            2021 年 12 月 31 日    2020 年 12 月 31 日      变动额

短期借款                          45,652.90            39,045.13        6,607.77

应付票据                          10,955.69            6,538.86        4,416.83

应付账款                          36,292.00            32,837.30        3,454.70

合同负债                          10,877.44            15,858.00      -4,980.56

应付职工薪酬                      1,031.74            1,868.40        -836.65

应交税费                            652.29            1,354.49        -702.20

其他应付款                        18,573.58            26,400.51      -7,826.93

一年内到期的非流动负债            1,864.60                  -        1,864.60

其他流动负债                      1,399.00            1,425.39          -26.38

    流动负债合计                127,299.25          125,328.07        1,971.18

长期借款                          18,436.22            9,911.26        8,524.97

租赁负债                            755.47                  -          755.47

长期应付款                        2,669.86            3,048.91        -379.05

预计负债                            155.88                  -          155.88

递延收益                          1,828.05            2,498.46        -670.42

递延所得税负债                      281.53              280.04            1.49

    非流动负债合计                24,127.01            15,738.67        8,388.34

负债合计                        151,426.26          141,066.74      10,359.52

  2021 年年末公司负债总额比上年末增长 7.34%,主要变动因素如下:

    1、短期借款:期末同比增加 6,607.77 万元,主要系本期新增银行短期借款
所致;

    2、应付票据:期末同比增加 4,416.83 万元,主要系报告期内因支付货款开
具的尚未到期的承兑汇票增加所致;

    3、合同负债:期末同比减少 4,980.56 万元,主要系报告期内预收货款的合
同已实现销售收入所致;

    4、其他应付款:期末同比减少 7,826.93 万元,主要系报告期内支付其他
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