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首页 公告 麦格米特:2021年度财务决算报告

麦格米特:2021年度财务决算报告

公告日期:2022-04-22

麦格米特:2021年度财务决算报告 PDF查看PDF原文

        深圳麦格米特电气股份有限公司

            2021 年度财务决算报告

    深圳麦格米特电气股份有限公司(以下简称“公司”)2021年财务报表经中汇会计师事务所(特殊普通合伙)审计,并出具了“中汇会审[2022]2360号”标准无保留意见的审计报告认为公司财务报表在所有重大方面按照企业会计准则的规定编制,公允反映了公司2021年12月31日的合并及母公司财务状况以及2021年度的合并及母公司经营成果和现金流量。

  现将经审计后的公司 2021 年度的财务决算情况报告如下:

  一、主要财务数据和指标

                                                                单位:人民币元

                                      2021 年          2020 年    本年比上年
                                                                        增减

营业收入(元)                      4,155,737,650.65  3,376,442,661.13      23.08%

归属于上市公司股东的净利润(元)      388,847,684.08  402,967,482.32      -3.50%

归属于上市公司股东的扣除非经常性      261,925,255.32  304,991,174.68    -14.12%
损益的净利润(元)

经营活动产生的现金流量净额(元)      -113,413,767.76  464,096,475.01    -124.44%

基本每股收益(元/股)                        0.7775          0.8438      -7.86%

稀释每股收益(元/股)                        0.7775          0.8438      -7.86%

加权平均净资产收益率                        12.38%        17.89%      -5.51%

                                      2021 年末        2020 年末    本年末比上
                                                                      年末增减

总资产(元)                        6,212,967,074.45  5,206,361,297.77      19.33%

归属于上市公司股东的净资产(元)    3,156,962,539.25  3,069,401,048.21      2.85%

      二、报告期内股东权益变动情况

                                                                  单位:人民币元

                                      2021 年          2020 年    本年比上年增减

  股本(股)                          497,569,343.00    501,907,534.00        -0.86%

  资本公积                          1,019,109,254.99  1,216,135,896.28      -16.20%

  盈余公积                              91,465,403.29    70,734,341.98      29.31%

  未分配利润                        1,552,906,659.65  1,284,255,318.11        20.92%

  归属于母公司股东所有者权益        3,156,962,539.25  3,069,401,048.21        2.85%

  所有者权益总额                    3,191,674,791.11  3,094,198,431.78        3.15%

      三、报告期内公司财务状况、经营成果与现金流量

      (一)财务状况

                                                                  单位:人民币元

                    2021 年        2020 年    同比增减        主要变动原因

流动资产        4,453,912,924.16  3,829,308,453.83  16.31% 主要系本期未交付订单增加以
                                                          及战略性备货增加所致

                                                          主要系本期对外股权投资增加,
非流动资产        1,759,054,150.29 1,377,052,843.94    27.74% 长沙、株洲等地建设厂房以及机
                                                          器设备的持续投入所致

资产总额          6,212,967,074.45 5,206,361,297.77    19.33%

流动负债          2,914,464,120.52 2,057,683,768.30  41.64% 主要系人员增加,应付职工薪资
                                                          增加,应付材料采购款增加所致

非流动负债          106,828,162.82  54,479,097.69  96.09% 主要系新租赁准则影响,本期确
                                                          认租赁负债所致

负债总额          3,021,292,283.34 2,112,162,865.99  43.04%

归属于母公司所    3,156,962,539.25 3,069,401,048.21    2.85% 主要系本期净利润增加所致

有者权益合计

      (二)经营成果

                                                                  单位:人民币元

                  2021 年        2020 年    同比增减          主要变动原因

营业收入      4,155,737,650.65 3,376,442,661.13  23.08% 主要系市场回暖,订单增加所致

营业成本      3,050,649,084.69 2,418,021,772.20  26.16% 主要系营收增加所致

销售费用        196,157,769.96  137,786,745.02  42.36% 主要系公司规模扩大,人员费用及
                                                        业务推广费用增加所致

管理费用        110,074,249.44  84,294,480.02  30.58% 主要系公司规模扩大,人员费用增
                                                        加所致

研发费用        460,674,222.65  367,923,416.97  25.21% 主要系公司规模扩大,人员增加,
                                                        研发持续投入所致

财务费用        24,096,435.56  39,831,531.69  -39.50% 主要系上期确认可转债利息及汇兑
                                                        损失影响所致

营业利润        438,814,226.64  432,142,912.35    1.54%

利润总额        437,273,585.65  431,181,737.44    1.41%

净利润          412,912,801.03  403,460,718.15    2.34%

归属于母公司所  388,847,684.08  402,967,482.32  -3.50%

有者的净利润

      (三)现金流量

                                                                  单位:人民币元

          项目          2021 年          2020 年        同比增减      主要变动原因

    经营活动产生的现    -113,413,767.76    464,096,475.01        -124.44% 主要系本期购买材
    金流量净额                                                        料款增加所致

    投资活动产生的现                                                  主要系上期募集的
    金流量净额          159,654,157.43  -776,537,685.16        120.56% 资金用于购买理财
                                                                      产品所致

    筹资活动产生的现    -95,989,863.56    592,103,440.56        -116.21% 主要系上期发行可
    金流量净额                                                        转债所致

    现金及现金等价物    -55,521,955.98    263,875,469.03        -121.04%

    净增加额

      四、主要财务指标分析

                                                                  单位:人民币元

                                  2021 年          2020 年        同比增减

    销售毛利率                      26.59%          28.39%        -1.79%

    销售净利润率                      9.94%          11.95%    
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