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首页 公告 英飞特:2021年度财务决算报告

英飞特:2021年度财务决算报告

公告日期:2022-03-30

英飞特:2021年度财务决算报告 PDF查看PDF原文

              英飞特电子(杭州)股份有限公司

                    2021年度财务决算报告

  英飞特电子(杭州)股份有限公司(以下简称“公司”)2021 年度财务报表经毕马威华振会计师事务所(特殊普通合伙)杭州分所审计,并出具了毕马威华振审字第 2202461号标准无保留意见的审计报告。现将公司 2021 年度财务决算的相关内容报告如下:
    一、2021 年度公司主要财务指标

                                                                              单位:元

          项  目                  本报告期            上年同期      增减变动幅度

营业收入                            1,416,211,287.11      1,053,074,403.34        34.00%

营业利润                              213,775,030.24      178,470,328.94        20.00%

利润总额                              214,247,322.57      179,265,117.01        20.00%

归属于上市公司股东的净利润            181,977,783.46      161,677,893.03        13.00%

基本每股收益                                    0.62                0.56        11.00%

加权平均净资产收益率                        13.69%            14.12%        -0.43%

          项  目                  本报告期末          本报告期初      增减变动幅度

总资产                              2,361,225,029.79      1,979,719,533.55        19.00%

归属于上市公司股东的所有者权益      1,430,616,873.92      1,230,087,327.70        16.00%

股本                                  296,583,279.00      197,931,800.00        50.00%

归属于上市公司股东的每股净资产                  4.56                3.95        15.00%

  归属于上市公司股东的净利润增长的主要原因是:

  得益于公司保持稳健经营,始终聚焦主营业务,通过前瞻性的研发创新和全球化的战略布局,完善的产品线和良好的产品性能,持续提升供应链能力,把握行业机会和市场需求,扩大市场份额和竞争优势,营业收入和净利润保持良好增长。


  二、财务状况
 (一)资产负债表分析

                                                                          单位:元

        项  目                2021年12月31日      2020年12月31日    增减比例

货币资金                              222,078,490.36      187,741,472.41      18.00%

应收票据                              157,034,150.46        79,857,856.94      97.00%

应收账款                              281,096,670.09      303,403,405.08      -7.00%

应收款项融资                          29,805,272.35        24,332,021.30      22.00%

预付款项                                2,592,596.02        1,976,250.43      31.00%

其他应收款                            23,028,539.08        6,607,656.09      249.00%

存货                                  324,680,914.24      198,834,438.56      63.00%

其他流动资产                          36,162,512.06        12,671,899.60      185.00%

流动资产合计                        1,076,479,144.66      815,425,000.41      32.00%

其他非流动金融资产                    104,712,795.98        58,762,560.84      78.00%

投资性房地产                          540,035,009.12      566,037,042.65      -5.00%

固定资产                              456,575,809.81      466,398,143.96      -2.00%

在建工程                              79,488,685.44        1,850,242.83    4196.00%

使用权资产                            32,452,448.36                  -

无形资产                              36,319,354.77        38,425,028.89      -5.00%

长期待摊费用                            8,140,410.27        8,356,089.26      -3.00%

递延所得税资产                        23,747,639.54        23,452,140.71        1.00%

其他非流动资产                          3,273,731.84        1,013,284.00      223.00%

非流动资产合计                      1,284,745,885.13      1,164,294,533.14      10.00%

资产总计                            2,361,225,029.79      1,979,719,533.55      19.00%
上述资产结构发生变化的主要原因是:
1、 应收票据增长 97.00%,主要系报告期内,营业收入持续增长所致;
 2、其他应收款增长 249.00%,主要系报告期内,支付采购保证金所致;
 3、存货增长 63.00%,主要系报告期内,营业收入增长及增加战略性备货所致; 4、其他流动资产增长 185.00%,主要系报告期内,待抵扣税金增加所致;
 5、其他非流动金融资产增长 78.00%,主要系报告期内,投资项目的公允价值变动
  所致;
 6、在建工程增长 4196.00%,主要系报告期内,增加桐庐二期工程建设投资所致; 7、其他非流动资产增长 223.00%,主要系报告期内,预付工程及设备款项所致。 (二)负债所有者权益构成情况分析

                                                                          单位:元

        项    目              2021年12月31日    2020年12月31日    增减比例

短期借款                            381,340,080.30      151,523,462.21      152.00%

应付票据                              11,610,718.91      31,318,679.91      -63.00%

应付账款                            272,362,692.23      271,991,082.44        0.00%

预收款项                              6,289,684.52        175,353.67    3487.00%

合同负债                              7,352,279.99        4,712,311.33      56.00%

应付职工薪酬                          30,499,079.64      28,839,829.34        6.00%

应交税费                              13,268,193.48      21,113,777.82      -37.00%

其他应付款                          104,332,292.75      87,251,218.23      20.00%

应付股利                                283,198.79        180,713.26      57.00%

一年内到期的非流动负债                3,115,303.58      69,470,990.00      -96.00%

其他流动负债                          7,089,289.84        5,426,578.36      31.00%

流动负债合计                        837,259,615.24      671,823,283.31      25.00%

长期借款                              39,793,989.00      43,548,576.60      -9.00%

  租赁负债                              30,568,185.85                  -

  预计负债                              9,569,286.96      20,405,014.64      -53.00%

  递延收益                              13,417,078.82      13,855,331.30      -3.00%

  非流动负债合计                        93,348,540.63      77,808,922.54      20.00%

  负债合计                            930,608,155
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