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首页 公告 扬帆新材:2021年度财务决算报告

扬帆新材:2021年度财务决算报告

公告日期:2022-04-25

扬帆新材:2021年度财务决算报告 PDF查看PDF原文

          关于 2021 年度财务决算报告的议案

    一、2021 年度财务报表的审计情况

    浙江扬帆新材料股份有限公司 2021 年度财务报表已经中汇会计师事务(特
 殊普通合伙)审计,并出具了标准无保留意见的审计报告。

    二、主要会计数据及财务指标变动情况

                                                                                  单位:万元

                        项目                          2021 年      2020 年      同比增减

营业收入                                                72,086.19    49,441.00        45.80%

归属于上市公司股东的净利润                                660.01      2,764.92      -76.13%

归属于上市公司股东的扣除非经常性损益的净利润              892.13      2,521.72      -64.62%

经营活动产生的现金流量净额                              4,385.45      6,473.98      -32.26%

基本每股收益(元/股)                                        0.03          0.12          -75%

稀释每股收益(元/股)                                        0.03          0.12          -75%

加权平均净资产收益率                                        0.87%        3.56%        -2.69%

资产总额                                              139,952.65    123,222.58        13.58%

归属于上市公司股东的净资产                              76,607.46    76,029.25        0.76%

    报告期内,营业收入 72,086.19 万元,同比 49,441.00 万元增长 45.80%,
 归属于上市公司股东的净利润 660.01 万元,同比 2,764.92 万元下降 76.13%。
 资产总额 139,952.65 万元,同比 123,222.58 万元增长 13.58%,2021 年末资产
 负债率为 45.26%。

    报告期内,营业收入快速增长主要是内蒙古公司产能释放。2021 年公司销
 售毛利率为 18.77%,比 2020 年毛利率 26.71%下降了 7.94 个百分点。从产品分
 类来看,光引发剂毛利率下降了 6.49 个百分点,巯基化合物及衍生品毛利率下 降了9.2个百分点。从地区来看,外销毛利率下降了4.85%,内销毛利率下降9.65%。
    三、财务状况、经营成果和现金流量分析

    (一)资产、负债和净资产情况:

    1、资产构成及变动情况


    截止2021年12月31日,公司资产总额139,952.65万元,比年初123,222.58万元增加 16,730.07 万元,增长 13.58%。资产构成及变动情况如下:

                                                                                单位:万元

                      2021 年      占总资产      2020 年      占总资产

      项目                                                                    增加金额

                      12 月 31 日        比例      12 月 31 日      比例

货币资金                  7,030.01      5.02%      5,954.28      4.83%          1075.73

应收票据及应收账款          10,666.76      7.62%      8,172.37      6.63%        2,494.39

预付款项                  1,480.83      1.06%        535.22      0.43%          945.61

其他应收款                  548.08      0.39%        455.84      0.37%            92.24

存货                    19,151.94      13.68%    14,828.98      12.03%        4,322.96

其他流动资产              5,165.73      3.69%      5,131.94      4.16%            33.79

其他权益工资投资          7,503.81      5.36%      6,544.49      5.31%          959.32

固定资产                73,810.08      52.74%    70,460.71      57.18%        3,349.37

在建工程                  4,793.48      3.43%      4,862.84      3.95%          -69.36

使用权资产                  517.59      0.37%                                      517.59

无形资产                  3678.31      2.63%      3,698.92      3.00%          -20.61

长期待摊费用                99.43      0.07%        238.59      0.19%          -139.16

递延所得税资产            3,159.96      2.26%      1,988.93      1.61%        1,171.03

其他非流动资产              530.16      0.38%        349.46      0.28%          180.70

资产总计                139,952.65    100.00%    123,222.58    100.00%        16,730.07

    2、负债结构及变动情况

    2021 年末,负债总额为 63,345.19 万元,比 2020 年末 47,193.32 万元增加
16,151.86 万元。

                                                                                单位:万元

                        2021 年        占总负债    2020 年      占总负债

      项目                                                                    增加金额

                      12 月 31 日        比例    12 月 31 日      比例

 短期借款                  24551.61    38.76%    17,520.21      37.12%        7,031.40

 应付票据及应付

                          12,933.96    20.42%    12,163.87      25.77%          770.09
 账款

 合同负债                  1,050.17    1.66%        648.43      1.37%          401.74

 应付职工薪酬                601.90    0.95%        493.03      1.04%          108.87

 应交税费                    648.48    1.02%        766.58      1.62%          -118.1

 其他应付款                  321.14    0.51%        226.50      0.48%            94.64

 一年内到期的非

                          18,453.27    29.13%      4,017.19      8.51%        14,436.08
 流动负债


 长期借款                  3,550.00    5.60%    11,000.00      23.31%        -7,450.00

 租赁负债                    448.41    0.71%                                    448.41

 预计负债                    454.85    0.72%                                    454.85

 递延收益                    261.08    0.41%        289.23      0.61%          -28.15

 负债合计                  63,345.19  100.00%    47,193.33        100%        16,151.86

    3、主要资产负债变动原因:

  报表项目        2021 年末      2021 年初      变动率            变动原因说明

应收票据              1,044.97        187.43      457.52%  主要是承兑汇票结算增加

应收账款              7,998.45      6,018.84        32.89%  主要是销售收入增加

预付账款              1,480.83        535.22      176.68%  主要是预付原材料款增加

长期待摊费用            99.43        238.59      -58.33%  主要是摊销减少

递延所得税资产        3,159.96      1,988.93        58.88%  主要是未扣抵亏损增加

短期借款            24,551.61      17,520.21      
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