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首页 公告 博雅生物:2021年度财务决算报告

博雅生物:2021年度财务决算报告

公告日期:2022-03-23

博雅生物:2021年度财务决算报告 PDF查看PDF原文

                              博雅生物制药集团股份有限公司

                                  2021 年度财务决算报告

  博雅生物制药集团股份有限公司(以下简称“公司”)2021年12月31日合并及母公司资产负债表,2021年度合并及母公司利润表、合并及母公司现金流量表、合并及母公司所有者权益变动表,以及财务报表附注业经安永华明会计师事务所(特殊普通合伙)审计,并且被出具标准无保留意见的审计报告。

  现将公司(合并)2021年度财务决算的相关情况汇报如下:

  一、主要会计数据和财务指标

                                                                                单位:元

                                                                    本年比

      项目            2021 年                  2020 年            上年增            2019 年

                                                                      减

                                        调整前        调整后    调整后    调整前        调整后

营业收入(元)      2,650,528,421.87 2,683,754,348.35 2,513,038,687.41  5.47%  2,908,769,255.35 2,760,925,046.07

归属于上市公司股东

的净利润(元)        344,528,999.52  260,060,146.52  260,060,146.52 32.48%  426,146,775.92  426,146,775.92

归属于上市公司股东

的扣除非经常性损益    293,492,852.21  248,721,937.76  248,721,937.76 18.00%  408,795,458.34  408,795,458.34
的净利润(元)
经营活动产生的现金

流量净额(元)      1,345,377,085.21  718,583,048.24  718,583,048.24 87.23%  -114,512,591.73 -114,512,591.73

基本每股收益(元/

股)                            0.79            0.61            0.61 29.51%            1.00          1.00

稀释每股收益(元/

股)                            0.79            0.61            0.61 29.51%            1.00          1.00

加权平均净资产收益

率                            7.83%          6.49%          6.49%  1.34%        11.38%        11.38%

                                                                    本年末

      项目          2021 年末                2020 年末            比上年            2019 年末

                                                                    末增减

                                        调整前        调整后    调整后    调整前        调整后

资产总额(元)      7,621,775,902.48  5,158,535,284.56 5,158,535,284.56 47.75% 5,256,690,601.18 5,256,690,601.18

归属于上市公司股东

的净资产(元)      6,829,074,243.57  4,107,903,650.55 4,107,903,650.55 66.24%  3,911,734,528.48 3,911,734,528.48

  二、财务状况、经营成果、现金流量分析

  (一)财务状况分析

  资产、负债项目重大变动情况

                                                                                  单位:元

                        2021 年末                2021 年初          比重增

    项目            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          1,583,695,335.14  20.78%  753,894,253.78  14.59%    6.19%  主要系收到定向增发项目款项所致

应收账款          445,060,525.73  5.84%    451,900,811.21    8.75%  -2.91%  无重大变化

存货              676,835,713.39  8.88%  689,463,965.19  13.34%  -4.46%  无重大变化

                                                                              主要系公司对诸暨睿安、深圳睿宝投
长期股权投资                                136,462,611.36    2.64%  -2.64%  资、前海优享的会计核算由长期股权投
                                                                              资调整为其他非流动金融资产

固定资产          716,319,824.64  9.40%  728,614,187.68  14.10%  -4.70%  无重大变化

在建工程            40,858,023.69  0.54%    80,904,547.89    1.57%  -1.03%  主要系在建工程转固所致

使用权资产          14,153,938.42  0.19%      9,427,811.19    0.18%    0.01%  主要系非短期经营租赁增加所致

短期借款                                    220,197,434.73    4.26%  -4.26%  主要系银行短期借款减少所致

合同负债            12,974,614.43  0.17%    14,513,456.59    0.28%    -0.11%  无重大变化

长期借款            22,145,000. 00  0.29%    55,000,000.00    1.06%  -0.77%  主要系银行长期借款减少所致

租赁负债                                                                      主要系非短期经营租赁的办公场所计
                    11,300,593.97  0.15%    5,034,097.48    0.10%    0.05%  入使用权资产增加所致

应交税费            62,901,210.32  0.83%    38,424,709.74    0.74%    0.09%  主要系业绩增长,企业所得税增加所致

一年内到期的非                                                                主要系归还一年以内的长期借款所致
流动负债            2,139,238.72  0.03%    59,014,259.75    1.14%    -1.11%

其他流动负债        4,235,666.21  0.06%    1,306,504.07    0.03%    0.03%  无重大变化

资本公积                                    1,946,866,631.6                    主要系向华润医药控股定向发行股票
                  4,258,075,665.16  55.87%                  37.68%  18.19%  所致

                                                        6

应收票据                                                                      主要系应收票据结算减少及承兑到期
                    9,351,473.60  0.12%    97,896,176.84    1.89%  -1.77%  所致

预付款项            13,009,297.05  0.17%  733,446,296.98  14.19%  -14.02%  主要系收回丹霞生物血浆预付款所致

递延所得税资产      27,439,019.81  0.36%    20,567,553.10    0.40%  -0.04%  无重大变化

其他非流动资产      37,198,503.26  0.49%    60,273,391.59    1.17%  -0.68%  主要计提资产减值所致

交易性金融资产    2,700,000,000.00  35.42%                            35.42%  主要系购买理财产品所致

其他非流动金融                                                              主要系公司对诸暨睿安、深圳睿宝投
资产              144,964,431.70  1.90%                              1.90%  资、前海优享的会计核算由长期股权投
                                                                              资调整为其他非流动金融资产

  (二)经营成果分析

  1、营业总收入

                                                                      
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