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首页 公告 贝斯特:2021年度财务决算报告

贝斯特:2021年度财务决算报告

公告日期:2022-04-22

贝斯特:2021年度财务决算报告 PDF查看PDF原文

                无锡贝斯特精机股份有限公司

                    2021 年度财务决算报告

      公司 2021 年 12 月 31 日资产负债表、2021 年度利润表、2021 年度现金流量
  表及相关报表附注已经公证天业会计师事务所(特殊普通合伙)审计,并出具苏公
  W[2022]A450 号标准无保留意见的审计报告。结合公司实际运营中的具体情况,
  做了研究分析,现将公司有关财务决算情况汇报如下:

      报告期内,公司实现营业收入 105,709.77 万元,同比增长 13.53%;实现归
  属于母公司的净利润19,670.35万元,同比增长 11.37%;实现基本每股收益0.9835
  元,同比增长 11.37%。

      一、主要经营指标

                                                                        单位:万元

          项目                  2021 年            2020 年            同比增减

营业收入                        105,709.77          93,114.14            13.53%

营业利润                          22,547.72            20,257.46            11.31%

归属于上市公司股东的净利润        19,670.35            17,661.65            11.37%

扣除非经常性损益的净利润          16,351.41            16,108.91            1.51%

基本每股收益(元)                0.9835              0.8831              11.37%

资产负债率                        34.32%              32.07%              2.25%

流动比率(倍)                      3.87                4.79                -0.92

速动比率(倍)                      3.33                4.30                -0.97

应收账款周转率(次)                2.79                2.49                0.3

      二、资产情况

                                                                        单位:万元

                                                                      占总资产比重
      项目      2021 年 12 月 31 日  2020 年 12 月 31 日  同比增减

                                                                  2021 年    2020 年

 货币资金            13,186.85          6,464.92      103.98%    4.44%    2.40%

 交易性金融资产        68,384.93          73,308.57      -6.72%    23.01%    27.25%

 应收票据            12,112.03          6,232.35      94.34%    4.08%    2.32%

 应收账款            37,037.97          38,668.97      -4.22%    12.46%    14.37%

 应收款项融资          8,456.59          8,723.33      -3.06%    2.85%    3.24%

 预付账款              571.70            503.31        13.59%    0.19%    0.19%

 其他应收款            115.47            131.62        -12.27%    0.04%    0.05%

 存货                22,445.69          15,647.41      43.45%    7.55%    5.82%

 其他流动资产          20.97            3,022.03      -99.31%    0.01%    1.12%

 长期股权投资          3,329.01          3,058.61        8.84%    1.12%    1.14%

 投资性房地产          404.14            433.47        -6.77%    0.14%    0.16%

 固定资产            98,042.81          76,881.13      27.53%    32.99%    28.58%

 在建工程              6,923.51          8,411.46      -17.69%    2.33%    3.13%

 无形资产            11,443.97          11,637.09      -1.66%    3.85%    4.33%

 商誉                  1,480.45          1,480.45          -      0.50%    0.55%

 递延所得税资产        2,045.36          1,947.56        5.02%    0.69%    0.72%

 其他非流动资产        11,218.83          12,488.20      -10.16%    3.77%    4.64%

 资产总计            297,220.28        269,040.47      10.47%  100.00%  100.00%

      项目说明:

      1、货币资金期末数较期初数增加 103.98%,主要系理财赎回所致。

      2、应收票据期末数较期初数增加 94.34%,主要系应收票增加所致。

      3、存货期末数较期初数增加 43.45%,主要系材料、在制品等存货增加所致。
      4、其他流动资产较期初数减少 99.31%,主要系保本保收益理财产品减少所
  致。

      5、固定资产期末数较期初数增加 27.53%,主要系新增厂房、设备所致。

      三、负债情况

                                                                        单位:万元

                    2021 年 12 月  2020 年 12 月                    占总负债比重

      项目                                      同比增减

                        31 日        31 日                    2021 年      2020 年

短期借款                  -            -            -          0.00%        0.00%

应付票据              12,883.59    8,705.30      48.00%      12.63%      10.09%

应付账款              20,980.46    15,738.71      33.30%      20.57%      18.24%

预收账款                  -            -        -100.00%      0.00%        0.00%

合同负债              1,261.06      1,103.27      14.30%      1.24%        1.28%

应付职工薪酬          3,003.50      2,944.34      2.01%        2.94%        3.41%

应交税费              1,941.45      2,130.55      -8.88%      1.90%        2.47%

其他应付款              817.49      1,051.87      -22.28%      0.80%        1.22%

其他流动负债          1,105.47      201.11      449.70%      1.08%        0.23%

应付债券              46,539.58    43,593.14      6.76%      45.63%      50.52%

预计负债                24.44        31.76      -23.04%      0.02%        0.04%

递延收益              11,131.84    10,782.96      3.24%      10.91%      12.50%

递延所得税负债        2,308.06        9.03      25,459.91%      2.26%        0.01%

负债合计              101,996.95    86,292.04      18.20%      100.00%      100.00%

      项目说明:

      1、应付票据期末数较期初增加 48.00%,主要系扩大产能增加采购所致。

      2、应付账款期末数较期初数增加 33.30%,主要系扩大产能增加采购所致。

      3、其他流动负债期末数较期初增加 449.70%,主要系未终止确认的已背书
  未到期的应收票据增加所致。

      4、递延所得税负债较期初增加 25,453.98%,主要系可转债权益价值及利息
  资本化增加所致。

      四、所有者权益情况

                                                                        单位:万元

                                                                    占总权益比重

      项目      2021 年 12 月 31 日  2020 年 12 月 31 日  同比增减

                                              
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