联系客服

002793 深市 罗欣药业


首页 公告 罗欣药业:2021年度财务决算报告

罗欣药业:2021年度财务决算报告

公告日期:2022-03-05

罗欣药业:2021年度财务决算报告 PDF查看PDF原文

                  罗欣药业集团股份有限公司

                    2021年度财务决算报告

        罗欣药业集团股份有限公司(以下简称“公司”)2021年度财务报表按照企

    业会计准则的规定编制,在所有重大方面公允反映了公司截至2021年12月31日的

    财务状况以及2021年度的经营成果和现金流量。天健会计师事务所(特殊普通合

    伙)已对公司财务报表进行了审计,并出具了标准无保留意见的审计报告。现将

    主要财务数据汇报如下:

        一、 主要会计数据:

        经审计,天健会计师事务所(特殊普通合伙)出具了标准无保留意见的审计

    报告,2021年公司实现营业收入647,793.26万元,较上年上升6.26%。归属于上市

    公司股东的净利润40,609.62万元,较去年上升26.63%。

        最近三年公司主要会计数据:

                                                                          单位:元

                                            2020 年        本年比上        2019 年

                            2021 年                        年增减

                                      调整前    调整后  调整后    调整前    调整后

营业收入(元)            6,477,932,5 6,095,945,56 6,096,228,9  6.26% 7,588,790,57 7,588,790,57
                                90.01        7.98      66.04                6.54      6.54

归属于上市公司股东的净利润 406,096,223 322,327,108. 320,700,649  26.63% 633,950,170. 633,433,635.
(元)                            .38        15        .43                  65        21

归属于上市公司股东的扣除非 351,263,669 292,566,348. 290,939,889  20.73% 562,310,649. 561,794,114.
经常性损益的净利润(元)          .11        67        .95                  71        27

经营活动产生的现金流量净额 120,632,955 -32,397,977.6 -32,750,167 468.34% 116,330,261. 115,982,766.
(元)                            .51          7        .49                  33        60

基本每股收益(元/股)            0.28        0.22      0.22  27.27%      0.59      0.59

稀释每股收益(元/股)            0.28        0.22      0.22  27.27%      0.57      0.57

加权平均净资产收益率          9.63%      8.17%    8.14%  1.49%    19.18%    19.14%

                                                          本年末比

                          2021 年末      2020 年末      上年末增      2019 年末

                                                              减

                                      调整前    调整后  调整后    调整前    调整后

总资产(元)              9,496,829,7 7,721,699,74 7,724,883,1  22.94% 7,460,560,29 7,460,953,52
                                59.91        6.56      82.53                2.68      4.83

归属于上市公司股东的净资产 4,384,586,5 4,040,506,44 4,042,920,1  8.45% 3,679,078,81 3,683,118,92
(元)                          14.05        7.75      07.32                1.36      9.64


        二、  主营业务收入及毛利率情况:

                                                                          单位:元

              营业收入      营业成本      毛利率  营业收入比上 营业成本比上 毛利率比上年
                                                      年同期增减  年同期增减  同期增减

抗生素类    1,204,203,189.68  535,359,944.17      55.54%      -5.80%      3.58%      -4.03%

消化系统类  1,137,331,561.17  216,340,937.72      80.98%    -11.89%      91.95%    -10.29%

呼吸系统类    753,341,114.69  113,381,448.39      84.95%      89.01%      66.05%      2.08%

其他类      841,519,027.83  187,270,418.63      77.75%      -4.94%      24.56%      -5.27%

代理产品    2,433,244,938.28 2,103,237,343.10      13.56%      12.76%      10.31%      1.92%

        三、  主营财务数据分析:

                                                                          单位:元

                      2021 年末            2021 年初      比重增

                    金额      占总资      金额    占总资  减        重大变动说明

                              产比例                产比例

 货币资金      2,001,721,904.54 21.08% 1,287,658,696.04 16.52% 4.56% 本期新增金融机构借款

 应收账款      3,133,838,241.96 33.00% 2,519,019,684.17 32.31% 0.69%

 存货            709,077,407.77  7.47%  646,334,419.98 8.29% -0.82%

 投资性房地产      31,084,048.67  0.33%  31,976,755.04 0.41% -0.08%

 固定资产      1,639,885,086.70 17.27% 1,647,293,774.38 21.13% -3.86%

 在建工程        362,380,503.45  3.82%  274,180,562.68 3.52% 0.30% 厂区建设持续投入

 使用权资产        68,803,253.63  0.72%  72,843,181.68 0.93% -0.21%

 短期借款      1,934,108,866.63 20.37%  837,403,586.20 10.74% 9.63% 本期新增金融机构借款、票
                                                                  据贴现融资款

 合同负债        148,800,272.60  1.57%  142,331,793.92 1.83% -0.26%

 长期借款        567,127,999.71  5.97%  303,327,464.80 3.89% 2.08% 本期新增金融机构借款

 租赁负债          57,132,450.03  0.60%  61,548,474.45 0.79% -0.19%

 交易性金融资产    12,578,613.36  0.13%                0.00% 0.13% 本期购买交易性金融资产

 衍生金融资产      49,065,600.03  0.52%                0.00% 0.52% 本期购买外汇套期保值以
                                                                  对冲外汇风险

 其他应收款        80,462,643.82  0.85%  58,715,737.16 0.75% 0.10% 本期应收暂付款增加

 其他流动资产    167,218,084.29  1.76%    113,471,300.05 1.46% 0.30% 本期新增银行理财产品

 递延所得税资产  183,669,390.20  1.93%  126,055,209.07 1.62% 0.31% 本期坏账准备有所增加

 其他非流动资产    58,059,256.83  0.61%  17,445,125.92 0.22% 0.39% 本期新增长期资产购置款

 应付账款        759,055,838.49  7.99%  568,609,629.82 7.29% 0.70% 本期采购额增加,期末应付
                                                                  采购款相应增加

        四、  主要费用变动分析:

                                                                          单位:元


                      2021 年        2020 年      同比增减          重大变动说明

销售费用          1,866,371,373.69 2,002,537,993.97        -6.80% 无重大变化

管理费用            367,197,
[点击查看PDF原文]