联系客服

300443 深市 金雷股份


首页 公告 金雷股份:2021年度财务决算报告

金雷股份:2021年度财务决算报告

公告日期:2022-02-26

金雷股份:2021年度财务决算报告 PDF查看PDF原文

                  金雷科技股份公司

                2021 年度财务决算报告

    金雷科技股份公司(以下简称“公司”或“本公司”)2021 年 12
月 31 日的合并及公司资产负债表,2021 年度的合并及公司利润表、合并及公司现金流量表、合并及公司股东权益变动表以及相关财务报表附注,业经致同会计师事务所(特殊普通合伙)审计,并且出具标准无保留意见的审计报告。公司 2021 年度财务决算的相关情况如下:

    一、2021 年度公司主要财务指标

                                                                  单位:人民币元

            项  目              2021 年度/2021 年  2020 年度/2020  本年比上年
                                    12 月 31 日      年 12 月 31 日      增减

营业收入                            1,650,839,299.81  1,476,556,394.27      11.80%

归属于上市公司股东的净利润          496,377,835.35    522,230,745.07      -4.95%

归属于上市公司股东的扣非后净利    442,346,894.77    456,444,909.10      -3.09%


经营活动产生的现金流量净额          293,800,047.64    165,056,963.35      78.00%

资产总额                            3,577,289,217.57  3,114,845,303.03      14.85%

负债总额                            324,484,122.02    203,718,577.97      59.28%

归属于上市公司股东的净资产          3,252,805,095.55  2,911,126,725.06      11.74%

期末总股本                          261,753,484.00    261,753,484.00        0.00%

流动比率                                      8.01            11.02      -27.31%

速动比率                                      6.11            9.02      -32.26%

资产负债率                                  9.07%          6.54%      38.70%

存货周转率                                    2.47            2.48      -0.40%

加权平均净资产收益率                      16.31%          23.24%      -29.82%

加权平均净资产收益率(扣非后)            14.54%          20.31%      -28.41%

基本每股收益(元/股)                          1.90            2.16      -12.04%

稀释每股收益(元/股)                          1.90            2.16      -12.04%

    二、2021 年 12 月 31 日公司主要财务状况

                                                                  单位:人民币元

                2021 年 12 月 31 日        2020 年 12 月 31 日    比例增  重大变

  项目                      占总资                  占总资    减    动情况

                  金额      产比例      金额      产比例            说明

货币资金        642,003,356.17  17.95%  419,508,302.42  13.47%  4.48%

应收票据        121,547,950.35  3.40%  125,224,457.71  4.02%  -0.62%

应收账款        518,084,221.97  14.48%  452,503,805.71  14.53%  -0.05%

存货            476,472,407.87  13.32%  336,017,650.27  10.79%  2.53%

固定资产        954,442,071.94  26.68%  737,139,954.07  23.67%  3.01%

在建工程        185,237,053.32  5.18%  197,988,308.31  6.36%  -1.18%

应付账款        100,640,589.30  2.81%    88,495,854.96  2.84%  -0.03%

股本            261,753,484.00  7.32%  261,753,484.00  8.40%  -1.08%

资本公积      1,153,492,167.64  32.24%  1,153,492,167.64  37.03%  -4.79%

未分配利润    1,667,816,546.28  46.62%  1,328,490,801.33  42.65%  3.97%

    三、2021 年度经营成果分析

                                                                  单位:人民币元

        项目              2021 年度            2020 年度        本年比上年增减

营业收入                    1,650,839,299.81      1,476,556,394.27              11.80%

营业成本                    1,004,472,552.34        816,801,326.77              22.98%

税金及附加                    16,443,383.40        14,401,502.93              14.18%

销售费用                      7,900,074.81          5,664,153.40              39.47%

管理费用                      53,319,447.98        45,441,637.39              17.34%

研发费用                      51,140,437.41        48,606,012.08              5.21%

财务费用                      2,497,855.01          7,692,684.42            -67.53%

营业外收入                    1,675,095.39          3,248,945.05            -48.44%

营业外支出                      259,681.45          675,895.06            -61.58%

    1、营业收入较上年同期增长 11.80%,主要原因是公司加强市场
调研分析,紧密关注行业政策,不断开拓市场,合理组织生产,实现了营业收入的稳定增长;


    2、销售费用较上年同期增长 39.47%,主要是随销量增加而增长
所致;

    3、财务费用较上年同期增长-67.53%,主要是利息收入增加所致。
    四、2021 年现金流量情况分析

                                                                  单位:人民币元

            项目                  2021 年度          2020 年度    本年比上年增
                                                                        减

 经营活动现金流入小计              1,586,357,915.56  1,226,847,193.84      29.30%

 经营活动现金流出小计              1,292,557,867.92  1,061,790,230.49      21.73%

 经营活动产生的现金流量净额          293,800,047.64    165,056,963.35      78.00%

 投资活动现金流入小计                381,855,723.16    407,898,743.74        -6.38%

 投资活动现金流出小计                389,906,459.77    658,163,611.03      -40.76%

 投资活动产生的现金流量净额          -8,050,736.61    -250,264,867.29      96.78%

 筹资活动现金流入小计                102,497,412.96    574,747,833.65      -82.17%

 筹资活动现金流出小计                169,098,550.47    163,379,022.51        3.50%

 筹资活动产生的现金流量净额          -66,601,137.51    411,368,811.14      -116.19%

 现金及现金等价物净增加额            218,383,779.18    324,100,034.30      -32.62%

    1、经营活动现金流入较上年同期增长 29.30%,主要是外销占比
提升,现汇结算比例提高所致;

    2、投资活动产生的现金流出较上年同期增长-40.76%,主要是报告期理财产品收回净额所致;

    3、筹资活动现金流入较上年同期增长-82.17%,主要是上期收到非公开发行募集资金所致。

                                    金雷科技股份公司董事会
                                        2022 年 2 月 25 日

[点击查看PDF原文]