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向日葵:2021年度财务决算报告

公告日期:2022-04-25

向日葵:2021年度财务决算报告 PDF查看PDF原文

            浙江向日葵大健康科技股份有限公司

                  2021年度财务决算报告

        浙江向日葵大健康科技股份有限公司(以下简称“公司”或“向日葵”)财

    务报表经立信会计师事务所(特殊普通合伙)审计,出具了信会师报字[2022]第

    ZF10374号标准无保留意见的审计报告。会计师的审计意见是: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,公允反映了向日葵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。

    一、2021年度财务状况综述

        项  目            2021 年        2020 年    本年比上年增减      2019 年

营业收入(元)            297,289,900.36  286,955,031.33      3.60%        836,610,095.80

归属于上市公司股东的净利  53,416,638.38    55,867,920.60      -4.39%      -114,928,936.87
润(元)

归属于上市公司股东的扣除    3,808,918.11    17,104,435.21      -77.73%      -202,458,216.55
非经常性损益的净利润(元)

经营活动产生的现金流量净  99,269,612.43    53,314,057.11      86.20%        58,504,586.85
额(元)

基本每股收益(元/股)          0.05            0.05          0.00%            -0.1

稀释每股收益(元/股)          0.05            0.05          0.00%            -0.1

加权平均净资产收益率          24.44%        55.73%        -31.29%          -79.28%

        项  目            2021 年末      2020 年末  本年末比上年末增    2019 年末
                                                              减

资产总额(元)            631,632,604.49  564,444,831.14      11.90%      694,030,365.47

归属于上市公司股东的净资  286,902,155.39  150,165,363.71      91.06%        50,346,286.12
产(元)

    二、资产状况

          资产          2021 年 12 月 31日  2020 年 12 月 31日          变动幅度

        货币资金          206,088,446.43      225,642,535.14            -8.67%

        应收账款            93,618,540.84        64,913,744.59              44.22%

      应收款项融资          27,582,523.98        9,306,074.80              196.39%

        预付款项            820,497.34        6,186,429.31              -86.74%

      其他应收款          93,896,645.57        959,675.14              9,684.21%

          存货            75,178,330.47        74,357,718.99              1.10%

      其他流动资产          1,389,456.78        2,006,314.42              -30.75%


  流动资产合计        498,576,441.41      383,372,492.39            30.05%

  长期股权投资

 其他权益工具投资        457,144.00          435,232.00              5.03%

    固定资产            84,513,868.57      143,025,590.58            -40.91%

    在建工程            21,718,779.77        17,115,490.72              26.90%

    无形资产            16,714,040.48        16,633,592.08              0.48%

    开发支出            6,764,150.94        1,924,528.30              251.47%

  长期待摊费用          373,250.06        1,278,930.38              -70.82%

  递延所得税资产          395,638.46          35,683.69              1,008.74%

  其他非流动资产          865,276.47          623,291.00              38.82%

  非流动资产合计        133,056,163.08      181,072,338.75            -26.52%

    资产总计          631,632,604.49      564,444,831.14            11.90%

      2021 年公司资产总额较上期增加11.90%,主要变动原因如下:

      1、应收账款同比增加44.22%,主要系报告期内第四季度销售收入同比增长
  所致;

      2、应收款项融资同比增加196.39%,主要系报告期期末收回中民能控有限公
  司货款所致;

      3、其他应收款同比增加9,684.21%,主要系报告期期末收回中民能控有限公
  司违约金利息1000万元,期末计提业绩补偿款项8,330万元所致;

      4、固定资产同比减少40.91%,主要系报告期内处置光伏电站所致;

      5、在建工程同比增加26.90%,主要系报告期内制剂车间M片项目投入增加
  所致;

      6、开发支出同比增加251.47%,主要系报告期内研发项目资本化支出增加所
  致;

      7、长期待摊费用同比减少70.82%,主要系报告期内费用摊销导致余额减少
  所致。

  三、负债及所有者权益情况

负债及所有者权益情况 2021 年 12 月 31日  2020 年 12 月 31日          变动幅度

  短期借款                0.00              0.00                  0.00%

  应付票据            43,361,411.50      76,077,596.60              -43.00%

  应付账款            35,302,601.33      30,842,435.71              14.46%

  预收款项                              5,585,688.00              -100.00%

  合同负债            1,060,246.97      1,918,449.08              -44.73%

  应付职工薪酬        4,457,207.85      5,556,970.89              -19.79%


  应交税费            7,545,611.10        2,648,522.24              184.90%

  其他应付款          61,812,983.91      65,051,212.96              -4.98%

  其他流动负债          137,832.11        249,398.38              -44.73%

流动负债合计            154,610,819.96      187,930,273.86            -17.73%

  预计负债            65,151,646.88      72,549,660.58              -10.20%

  递延收益            1,617,021.28      32,905,087.67              -95.09%

非流动负债合计          66,768,668.16      105,454,748.25            -36.69%

负债合计                221,379,488.12      293,385,022.11            -24.54%

  股本              1,119,800,000.00    1,119,800,000.00            0.00%

  资本公积            332,760,443.34      249,462,202.04              33.39%

  其他综合收益        -7,542,856.00      -7,564,768.00              -0.29%

  盈余公积            74,841,535.04      74,841,535.04              0.00%

  未分配利润        -1,232,956,966.99  -1,286,373,605.37            -4.15%

归属于母公司所有者权益  286,902,155.39      150,165,363.71            91.06 %

合计

  少数股东权益        123,350,960.98      120,894,445.32              2.03%

所有者权益合计          410,253,116.37      271,059,809.03              51.35%

      1、应付票据同比减少43.00%,主要系上期开具的承兑汇票报告期内到期兑
  付所致;

      2、预收款项同比减少100%,主要系上期预收土地征收补偿款所致;

      3、合同负债同比减少44.73%,主要系报告期内预收客户款项减少所致;
      4、应交税费同比增加184.90%,主要系报告期内增值税与企业所得税增加所
  致;

      5、递延收益同比减少95.09%,主要系报告期内处置光伏电站所致;

      6、资本公积同比增加33.39%,主要系报告期内计提业
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