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首页 公告 先河环保:2021年度财务决算报告

先河环保:2021年度财务决算报告

公告日期:2022-04-28

先河环保:2021年度财务决算报告 PDF查看PDF原文

            河北先河环保科技股份有限公司

                2021 年度财务决算报告

    2021 年在公司董事会及管理层的领导下,通过管理团队及全体员工共同努力,积极拓
 展市场,认真贯彻落实年度经营计划。公司实现营业收入111,115.78万元,同比降幅10.97%; 归属于上市公司股东的净利润 7,121.41 万元,同比降幅 46.92%。

    一、 2021 年度财务决算情况

 (一) 资产                                                单位:人民币元

项目            2021 年 12 月 31 日  2020 年 12 月 31 日  本年比上年增  2019 年 12 月 31 日
                                                              减(%)

资产总额            2,504,814,296.04    2,537,316,863.57      -1.28        2,532,378,571.10

流动资产            1,962,046,945.94    1,979,077,845.48      -0.86        1,945,473,376.11

固定资产              227,370,091.71      241,711,331.97      -5.93          245,085,966.09

无形资产              18,811,816.18        20,342,419.96      -7.52            22,715,525.77

其他资产            296,585,442.21      296,185,266.16      0.14          319,103,703.13

    报告期末公司总资产 250,481.43 万元,比报告期初 253,731.69 万元减少了 3,250.26
 万元,降幅 1.28%。其中:流动资产 196,204.69 万元,占期末总资产 78.33%;固定资产

 22,737.01 万元,占期末总资产 9.08%;无形资产 1,881.18 万元,占期末总资产 0.75%;其
 他资产 29,658.54 万元,占期末总资产 11.84%。

    (二) 负债                                              单位: 人民币元

    项目          2021 年 12 月 31 日  2020 年 12 月 31 日  本年比上年  2019 年 12 月 31 日
                                                            增减(%)

    负债总额          382,682,465.96    432,940,696.12      -11.61      432,394,907.51

    流动负债          371,320,652.13    426,216,751.56      -12.88      424,042,852.18

    非流动负债        11,361,813.83      6,723,944.56      68.98        8,352,055.33

    报告期末公司总负债 38,268.25 万元,比报告期初 43,294.07 万元减少 5,025.82 万元,
 下降 11.61%。其中:流动负债 37,132.07 万元,占期末总负债 97.03%;非流动负债 1,136.18
 万元,占期末总负债 2.97%。

    (三) 股东权益                                            单位:人民币元

    项目    2021 年 12 月 31 日  2020 年 12 月 31 日    本年比上年增  2019 年 12 月 31 日

                                                          减(%)

      股本      545,374,010.00      551,032,550.00        -1.03        551,032,550.00

  股东权益    2,087,917,883.80      2,070,997,433.88        0.82      2,062,694,664.65


    报告期末,股本 54,537.40 万元,比报告期初 55,103.26 万元下降了 565.85 万元,下降
 1.03%。

    股东权益 208,791.79 万元,比报告期初 207,099.74 万元增加了 1,692.04 万元,增幅
 0.82%。

    (四) 利润相关财务数据                                      单位:人民币元

          项目              2021 年            2020 年      本年比上年增      2019 年

                                                                减(%)

      营业收入          1,111,157,818.73  1,248,100,875.60      -10.97    1,374,326,135.32

      营业成本            614,193,009.28    675,478,857.23      -9.07      700,014,430.25

      销售费用            137,006,980.36    161,772,574.09      -15.31      150,648,883.19

      管理费用            125,665,208.63    157,328,922.86      -20.13      149,771,589.27

      研发费用            76,524,185.11      64,247,683.93        19.11      61,077,116.84

      财务费用            -10,352,493.05      -13,648,541.14      24.15      -5,999,011.19

      其中:利息费用        719,631.76                                          2,357,034.46

            利息收入      8,735,121.83      12,453,592.40      -29.86      10,101,446.63

      其他收益            25,172,636.95      21,338,901.96        17.97      31,757,569.09

      营业利润            112,108,915.87    168,875,145.67      -33.61      301,608,646.85

      营业外收入          5,863,638.06        2,742,268.70        113.82      7,111,858.42

      营业外支出          2,409,668.20        2,729,202.44        -11.71      1,686,635.60

      净利润              74,123,840.97      137,503,766.71      -46.09      262,765,591.21

    2021 年度营业收入较 2020 年减少 13,694.31 万元, 降幅 10.97%,2021 年度营业成本
 较 2020 年减少 6,128.58 万元,降幅 9.07%。2021 年度净利润较 2020 年减少 6,337.99 万元,
 降幅 46.09%。

    销售费用 2021 年度发生额较 2020 年减少 2,476.56 万元,降幅 15.31%;管理费用 2021
 年度发生额较 2020 年减少 3,166.37 万元,降幅 20.13%,研发费用 2021 年度发生额较 2020
 年度增加 1,227.65 万元,增幅 19.11%,财务费用 2021 年度发生额较 2020 年度增加
 329.60 万元,增幅 24.15%,利息收入 2021 年度发生额较 2020 年度减少 371.85 万元,降
 幅 29.86%,存量资金存款利息减少所致。

        (五) 现金流量                                    单位: 人民币元

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

                                                                  增减(%)

经营活动现金流入小计        1,224,888,744.66  1,310,124,001.95        -6.51  1,636,882,609.77

经营活动现金流出小计        1,108,537,144.55  1,151,469,399.30        -3.73  1,284,160,217.77

经营活动产生的现金流量净额    116,351,600.11    158,654,602.65      -26.66    352,722,392.00

投资活动现金流入小计            3,780,239.03      28,242,165.96      -86.61      51,281,698.09

投资活动现金流出小计          18,131,294.69      30,764,001.76      -41.06      71,531,829.53


投资活动产生的现金流量净额    -14,351,055.66      -2,521,835.80      469.07    -20,250,131.44

筹资活动现金流入小计            2,040,000.00

筹资活动现金流出小计          63,792,696.11    134,812,227.09      -52.68    155,702,903.92

筹资活动产生的现金流量净额    -61,752,696.11    -134,812,227.09      -54.19    -155,702,903.92

    报告期经营活动现金流入 122,488.87 万元,现金流出 110,853.71 万元,经营活动现金
 流量净额 11,635.16 万元;投资活动现金流入 378.02 万元,投资活动现金流出 1,813.13

 万元,投资活动现金流量净额-1,435.11 万元;
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