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首页 公告 亿纬锂能:2021年度财务决算报告

亿纬锂能:2021年度财务决算报告

公告日期:2022-04-26

亿纬锂能:2021年度财务决算报告 PDF查看PDF原文

        证券代码:300014              证券简称:亿纬锂能              公告编号:2022-045

                      惠州亿纬锂能股份有限公司

                        2021 年度财务决算报告

              公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记

          载、误导性陈述或重大遗漏。

            在惠州亿纬锂能股份有限公司(以下简称“公司”)董事会及管理层的领导及全

        体员工的一致努力下,2021 年公司经营正常开展,现将 2021 年财务情况汇报如下:

            一、2021 年度公司财务报表的审计情况

            公司 2021 年财务报表已经容诚会计师事务所(特殊普通合伙)审计,出具了容诚

        审字[2022]200Z0032 号标准无保留意见的审计报告。

            二、财务状况

            1、资产构成情况

                                                                                                单位:元

    项目      2021 年 12 月 31 日 2020 年 12 月 31 日    增减金额    变动幅度          变动原因

                                                                            ① 孙 公 司 EVE BATTERY
货币资金          6,808,715,028.42  3,803,675,168.19  3,005,039,860.23  79.00% INVESTMENT LTD.发行可交换
                                                                            债券取得资金;②公司购买的理
                                                                            财产品到期赎回。

交易性金融资产      13,756,400.00  1,074,665,800.00  -1,060,909,400.00  -98.72% 公司购买的理财产品到期赎回。

应收票据            696,159,046.96    567,420,235.74    128,738,811.22  22.69%

                                                                            随着新建产能持续释放,为满足
应收账款          5,002,058,002.52  2,975,751,283.81  2,026,306,718.71  68.09% 客户需求,电池出货规模增长较
                                                                            大。给予客户一定信用期限,带
                                                                            来应收账款的增加。

应收款项融资        534,723,629.00    438,217,607.36      96,506,021.64  22.02%

预付款项            550,984,904.01    468,974,533.21      82,010,370.80  17.49%

                                                                            ①公司及子公司出口规模扩大,
其他应收款          299,417,955.53    60,488,103.08    238,929,852.45  395.00% 应收出口退税款增加;②子公司
                                                                            扩建产能,支付了买地保证金。

                                                                            随着新建产能持续释放,为满足
存货              3,712,025,866.83  1,714,205,853.85  1,997,820,012.98  116.54% 客户需求,电池生产规模增长,
                                                                            带来原材料、库存商品、在产品
                                                                            和半成品的增加。


合同资产            57,259,457.39    42,795,828.71      14,463,628.68  33.80% 随着销售规模的增长,应收客户
                                                                            质保金增加。

其他流动资产        546,335,046.15    195,608,173.28    350,726,872.87  179.30% 公司及子公司持续投入产线建
                                                                            设带来增值税进项税额的增加。

债权投资          1,382,114,859.44            0.00  1,382,114,859.44        - 子公司亿纬亚洲有限公司提供
                                                                            红土镍矿湿法冶炼项目借款。

                                                                            ①报告期内,权益法核算的联营
                                                                            企业思摩尔国际控股有限公司
                                                                            盈利,带来长期股权投资的增
                                                                            加;②公司及子公司对联营企业
长期股权投资      8,142,039,692.64  4,809,623,090.27  3,332,416,602.37  69.29% 出资;③按持股比例确认联营企
                                                                            业思摩尔国际控股有限公司除
                                                                            净损益、其他综合收益以及利润
                                                                            分配以外的所有者权益的其他
                                                                            变动,带来长期股权投资的增
                                                                            加。

其他权益工具投    562,371,391.41    170,656,794.98    391,714,596.43  229.53% 公司认购了浙江华友钴业股份
资                                                                          有限公司等非公开发行的股票。

                                                                            报告期内,公司及子公司投资的
固定资产          8,321,034,542.33  6,322,281,820.88  1,998,752,721.45  31.61% 厂房和设备验收合格,达到可使
                                                                            用状态,转化为可使用的固定资
                                                                            产,带来固定资产的增加。

                                                                            子公司采购的设备陆续到货以
在建工程          3,362,391,506.08  1,386,308,747.16  1,976,082,758.92  142.54% 及增加厂房建设投入,带来在建
                                                                            工程金额的增加。

使用权资产            53,043,706.31            0.00      53,043,706.31        - 公司自 2021 年 1 月 1 日起执行
                                                                            新租赁准则。

无形资产            857,702,699.21    405,663,663.95    452,039,035.26  111.43% 公司及子公司购置了土地使用
                                                                            权。

开发支出            61,174,694.32    55,893,796.68      5,280,897.64    9.
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