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首页 公告 德尔股份:阜新德尔汽车部件股份有限公司2021年度财务决算报告

德尔股份:阜新德尔汽车部件股份有限公司2021年度财务决算报告

公告日期:2022-04-28

德尔股份:阜新德尔汽车部件股份有限公司2021年度财务决算报告 PDF查看PDF原文

            阜新德尔汽车部件股份有限公司

              2021 年度财务决算报告

    阜新德尔汽车部件股份有限公司(以下简称“本公司”或“公司”)2021 年度公
司财务报表已经普华永道中天会计师事务所(特殊普通合伙)审计,并出具了普华永道中天审字(2022)第 10052 号的标准无保留意见的审计报告。现将公司有关的财务决算情况汇报如下:
一、主要会计数据和财务指标

                                                                            单位:人民币元

                    项目                          2021 年          2020 年      增减(%)

营业总收入(元)                              3,663,844,900.34  3,386,292,919.88      8.20%

归属于上市公司股东的净利润(元)                  23,561,503.66  -422,805,340.24    105.57%

归属于上市公司股东的扣除非经常性损益的净利润    12,889,863.53  -436,082,860.44    102.96%
(元)

经营活动产生的现金流量净额(元)                  39,340,870.34    319,511,467.63    -87.69%

基本每股收益(元/股)                                    0.18            -3.71    104.85%

稀释每股收益(元/股)                                    0.18            -3.71    104.85%

加权平均净资产收益率                                    1.09%          -19.70%      20.79%

                    项目                          2021 年          2020 年      增减(%)

资产总额(元)                                4,660,433,598.71  4,607,026,883.56      1.16%

归属于上市公司股东的净资产(元)              2,108,606,958.43  1,940,911,947.62      8.64%

二、资产情况及主要变动原因分析

                                                                            单位:人民币元

        资产              2021 年            2020 年            增减额        增减(%)

货币资金                  243,244,400.27    312,639,236.40    -69,394,836.13      -22.20%

交易性金融资产                450,889.53                  -        450,889.53      100.00%

应收票据                  99,539,720.88    167,693,671.24    -68,153,950.36      -40.64%

应收账款                  663,091,207.17    628,600,078.18      34,491,128.99        5.49%

应收款项融资              22,976,041.65      15,466,153.97      7,509,887.68        48.56%

预付款项                  41,422,325.80      42,630,534.00      -1,208,208.20        -2.83%

其他应收款                43,934,270.97      59,207,574.78    -15,273,303.81      -25.80%

存货                      774,727,517.79    698,930,211.68      75,797,306.11        10.84%

其他流动资产              59,649,723.69      55,030,604.88      4,619,118.81        8.39%

长期应收款                31,008,947.32      47,132,640.42    -16,123,693.10      -34.21%

投资性房地产              39,676,518.29      26,078,619.48      13,597,898.81        52.14%

固定资产                  981,342,356.19    999,405,306.49    -18,062,950.30        -1.81%

在建工程                  75,431,579.94    126,644,570.56    -51,212,990.62      -40.44%

使用权资产                230,256,016.15                  -    230,256,016.15      100.00%

无形资产                  316,743,917.02    346,114,782.37    -29,370,865.35        -8.49%

开发支出                  36,274,678.01      39,665,719.14      -3,391,041.13        -8.55%

商誉                      721,104,352.79    801,537,796.73    -80,433,443.94      -10.03%

长期待摊费用              65,154,511.79      66,421,069.45      -1,266,557.66        -1.91%

递延所得税资产            102,597,378.88      89,459,584.79      13,137,794.09        14.69%

其他非流动资产            111,807,244.58      84,368,729.00      27,438,515.58        32.52%

资产总计                4,660,433,598.71  4,607,026,883.56      53,406,715.15        1.16%

1、 货币资金较上年减少 6,939.48 万元,降幅 22.20%,主要系生产经营所需存货
  增加使得经营活动的现金净流入减少所致。
2、 应收票据较上年减少 6,815.40 万元,降幅 40.64%,主要系期末持有的未到期
  的银行承兑汇票减少。
3、 存货较上年增加 7,579.73 万元,增幅 10.84%,主要系出口海运物流周期变长
  以及新产品开始量产使得备货增加。
4、 在建工程较上年减少 5,121.30 万元,降幅 40.44%,主要系在建工程完工结转
  至固定资产所致。
5、 使用权资产较上年增加 23,025.60 万元,增幅 100%,主要系本报告期首次执
  行新租赁准则所致。

6、 商誉较上年减少 8,043.34 万元,降幅 10.03%,主要系收购 CCI 形成的商誉

  以欧元计价,欧元汇率下跌使得商誉折合人民币的金额减少。
三、负债情况及主要变动原因分析

                                                                            单位:人民币元

        负债                2021 年            2020 年            增减额        增减(%)

短期借款                    410,734,512.57    308,129,369.72    102,605,142.85        33.30%

应付票据                    77,999,998.52    150,000,000.00    -72,000,001.48      -48.00%

应付账款                    661,557,272.45    706,139,359.55    -44,582,087.10        -6.31%

合同负债                    20,032,338.26      6,747,541.19    13,284,797.07      196.88%

应付职工薪酬                63,832,298.28    82,735,431.68    -18,903,133.40      -22.85%

应交税费                    36,117,890.30    52,952,229.47    -16,834,339.17      -31.79%

其他应付款                  122,656,906.00    146,657,539.68    -24,000,633.68      -16.37%

一年内到期的非流动负债      232,590,726.19    519,922,410.00  -287,331,683.81      -55.26%

其他流动负债                    613,512.62        383,566.81        229,945.81        59.95%

长期借款                    330,429,053.15    260,802,122.39    69,626,930.76        26.70%

应付债券                    236,481,856.98    221,637,290.06    14,844,566.92        6.70%

租赁负债                    180,589,037.75                -    180,589,037.75      100.00%

长期应付职工薪酬            15,980,793.72    16,299,640.84      -318,847.12        -1.96%

长期应付款                  16,323,355.54    23,540,214.35    -7,216,858.81      -30.66%

预计负债                
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