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新易盛:2021年度财务决算报告

公告日期:2022-04-22

新易盛:2021年度财务决算报告 PDF查看PDF原文

            成都新易盛通信技术股份有限公司

                2021 年度财务决算报告

  成都新易盛通信技术股份有限公司(以下简称“公司”)2021 年度财务报表已经信永中和会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告,现将财务决算(合并报表数)情况报告如下:

    一、 主要会计数据

                                                      单位:人民币元

            项目                本报告期          上年同期      变动幅度

 营业收入                    2,908,376,063.76  1,997,937,746.27      45.57%

 归属于上市公司股东的净利润    661,926,139.05    491,758,403.47      34.60%

 归属于上市公司股东的扣除非    597,638,412.97    458,686,496.16      30.29%
 经常性损益的净利润

 基本每股收益                            1.31              0.97      35.05%

 稀释每股收益                            1.31              0.97      35.05%

 加权平均净资产收益率                  17.85%            31.71%    -13.86%

 归属于上市公司股东的净资产  3,958,723,671.45  3,444,027,401.85      14.94%

注1:报告期内因资本公积转增股本,按最新股本调整上年同期每股收益。

    二、财务状况、经营成果和现金流量分析

  1、资产、负债、所有者权益项目变化情况及重大变化的原因

                                                      单位:人民币元

            资产                报告期末          报告期初      变动幅度

 货币资金                    1,579,778,179.45  1,931,399,986.19    -18.21%

 应收账款                      577,209,379.92    368,873,595.36      56.48%

 应收款项融资                  135,342,164.29    149,315,426.17      -9.36%

 预付款项                        3,324,464.33      1,581,861.99    110.16%

 其他应收款                      12,400,436.18      4,445,790.31    178.93%

 存货                        1,526,182,348.47    971,785,656.28      57.05%

 其他流动资产                    89,912,217.90    79,895,078.68      12.54%


长期股权投资                    40,558,562.87    43,598,746.80      -6.97%

其他非流动金融资产              87,279,590.48    51,245,804.32      70.32%

固定资产                      608,851,838.42    523,030,767.64      16.41%

在建工程                      148,024,254.19    36,524,931.02    305.27%

无形资产                        6,324,138.79      6,594,314.42      -4.10%

递延所得税资产                  37,123,456.61    33,389,999.17      11.18%

其他非流动资产                  11,923,731.12    15,433,684.50    -22.74%

短期借款                                    -    71,567,899.44    -100.00%

衍生金融负债                      549,400.00                -          -

应付票据                      231,811,485.43    234,091,872.37      -0.97%

应付账款                      520,489,985.13    334,105,253.65      55.79%

合同负债                        17,047,852.33    15,597,235.46      9.30%

应付职工薪酬                    55,211,544.28    62,348,913.47    -11.45%

应交税费                        66,277,601.14    35,776,761.79      85.25%

其他应付款                      2,897,759.89      8,276,362.46    -64.99%

其他流动负债                        48,962.46        207,741.40    -76.43%

递延收益                        11,176,500.91    11,116,200.96      0.54%

股本                          507,086,219.00    362,204,466.00      40.00%

资本公积                    1,755,785,233.81  1,900,666,986.81      -7.62%

减:库存股                      48,811,343.99                -          -

其他综合收益                    -1,109,854.36      -910,611.81      21.88%

盈余公积                      111,570,380.16    88,538,953.71      26.01%

未分配利润                  1,634,203,036.83  1,093,527,607.14      49.44%

  (1) 应收账款增加 56.48% ,主要系本报告期末销售收入增加,应收账款
      增加;

  (2) 预付款项增加 110.16%,主要系报告期内预付货款增加;

  (3) 其他应收款增加 178.93%,主要系报告期内保证金及代垫款增加;
  (4) 存货增加 57.05%,主要系报告期内公司营业收入增长,公司综合考

      虑在手及预期订单和备货周期,备货增加;

  (5) 其他非流动金融资产增加 70.32%,主要系期末以公允价值计量且其
      变动计入当期损益的金融资产的公允价值增加;

  (6) 在建工程增加 305.27%,主要系报告期内公司高速率光模块生产线项
      目工程建设投入增加;

  (7) 短期借款减少 100%,主要系报告期内短期借款已还清;

  (8) 本期新增衍生金融负债,主要系报告期内远期结售汇产品产生的浮
      动盈亏;

  (9) 应付账款增加 55.79%,主要系报告期内材料采购增加, 应付货款增
      加;

  (10) 应交税费增加 85.25%,主要系报告期利润总额增加,应付企业所得
      税增加;

  (11) 其他应付款减少 64.99%,主要系是本期末代垫款减少;

  (12) 股本增加 40%,主要系报告期内实施 2020 年年度权益分派,资本公
      积转增股本所致;

  (13) 本期新增库存股,主要系报告期内公司实施股份回购。

  (14) 未分配利润增加 49.44%,主要系报告期内净利润增加。

    2、损益项目变化情况及重大变化的原因

                                                    单位:人民币元

          项 目                本报告期          上年同期      变动幅度

营业收入                      2,908,376,063.76  1,997,937,746.27    45.57%

营业成本                      1,972,708,900.67  1,265,443,170.75    55.89%

税金及附加                        7,921,203.53      7,660,804.08    3.40%

销售费用                        35,690,910.42    29,379,230.55    21.48%

管理费用                        33,888,913.22    31,563,372.72    7.37%

研发费用                        108,424,232.18    85,082,819.93    27.43%

财务费用                        -7,551,293.62      9,282,511.82  -181.35%

其他收益                        23,193,358.34    13,023,083.56    78.09%

投资收益(损失以“-”号填列)        4,272,569.79      4,671,001.88    -8.53%


 公允价值变动收益(损失以“-”号    41,433,786.16    21,245,804.32    95.02%
 填列)

 信用减值损失(损失以“-”号填列)  -10,738,307.74    -3,104,576.79  245.89%

 资产减值损失(损失以“-”号填列)  -55,467,909.48    -44,011,707.34    26.03%

 营业外收入                        3,109,692.74        658,341.50  372.35%

 营业外支出                          23,211.46        408,687.00  -94.32%

 所得税费用                      101,147,036.66    69,840,693.08    44.83%

 净利润           
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