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首页 公告 富满微:2021年年度财务报告

富满微:2021年年度财务报告

公告日期:2022-04-19

富满微:2021年年度财务报告 PDF查看PDF原文

              2021年度财务决算报告

    本期内,富满微电子集团股份有限公司(以下简称“公司”)严格按照《公司法》、《会计法》、《企业会计准则》等规定进行会计核算,公司编制的 2021 年度财务报表经立信会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告(年报:信会师报字[2022]第 ZI10113 号)。现将公司 2021 年度的财务决算情况报告如下:
一、2021 年主要财务指标

                                              单位:人民币元

                        2021 年        2020 年    本年比上年增    2019 年

                                                        减

 营业收入(元)        1,369,917,11  836,246,964.        63.82%  598,224,427.
                              0.93            50                          85

 归属于上市公司股东的  456,443,806.  100,467,578.      354.32%  36,850,464.4
 净利润(元)                    47            77                          0

 归属于上市公司股东的  410,667,563.  85,313,619.9                26,176,677.6
 扣除非经常性损益的净            42            2      381.36%            8
 利润(元)

 经营活动产生的现金流  363,928,194.  -82,481,052.      541.23%  -36,600,504.
 量净额(元)                    78            75                          30

 基本每股收益(元/股)        2.23          0.51      337.25%          0.26

 稀释每股收益(元/股)        2.19          0.51      329.41%          0.26

 加权平均净资产收益率        35.29%        11.92%        23.37%        6.43%

                        2021 年末      2020 年末    本年末比上年    2019 年末
                                                      末增减

 资产总额(元)        2,964,845,84  1,652,292,54        79.44%  1,033,812,91
                              6.47          7.90                        8.60

 归属于上市公司股东的  2,385,004,68  1,036,381,06      130.13%  592,096,995.
 净资产(元)                  3.46          5.86                          68

    主要项目重大变动说明:

    1、报告期,公司通过研发创新、技术创新、产品创新及优良的产品品质、技术性能夯实了市场地位,扩大了市场份额,赢得了公司
报告期相对去年同期销售额、毛利、净利润大幅增长的好成绩。2021年共实现营业收入 1,369,917,110.93 元,同比增长 63.82%;归属于上市公司股东净利润 456,443,806.47 元,同比增长 354.32%。

    2、报告期,公司多项经营举措并举,在销售额加大的前提下加快客户回款力度,赢得经营活动产生的现金流量净额363,928,194.78元,较上年同期增长 541.23%,。
二、资产负债情况

                                                      单位:人民币元

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

 (一)、 流动资产:

    1    货币资金        907,815,774.14    201,363,981.66      350.83%

    2    交易性金融资    377,609,807.36    110,660,020.90      241.23%
        产

    3    应收账款        272,716,963.03    447,961,977.37      -39.12%

    4    应收款项融资    167,875,331.77    174,981,654.19        -4.06%

    5    预付款项        231,245,776.81    27,053,039.74      754.79%

    6    其他应收款      17,932,476.84    13,213,641.72        35.71%

    7    存货            372,641,329.30    246,704,285.56        51.05%

    8    持有待售资产                          234,455.06      -100.00%

    9    其他流动资产    18,558,456.30      3,261,174.98      469.07%

    10 流动资产合计      2,366,395,915.55  1,225,434,231.18        93.11%

 (二)、 非流动资产:

    11    投资性房地产      1,745,838.62      1,843,736.18        -5.31%

    12    固定资产        399,687,303.35    331,802,300.75        20.46%

    13    在建工程        28,405,410.48      2,590,082.89      996.70%

    14    使用权资产      67,108,758.66                        100.00%

    15    无形资产        38,524,100.92    31,390,906.94        22.72%

    16    长期待摊费用    46,242,962.36    34,022,688.55        35.92%

    17    递延所得税资      5,301,059.31      4,321,743.25        22.66%
        产

    18    其他非流动资    11,434,497.22    20,886,858.16      -45.26%
        产

    19 非流动资产合计      598,449,930.92    426,858,316.72        40.20%

    20 资产总计          2,964,845,846.47  1,652,292,547.90        79.44%

 (三)、 流动负债:

    21    短期借款        155,041,111.11    186,244,820.00      -16.75%

    22    应付票据        24,052,055.76    116,474,776.46      -79.35%

    23    应付账款        138,232,773.68    142,858,416.57        -3.24%

    24    合同负债        14,932,544.40      8,184,464.29        82.45%

    25    应付职工薪酬      9,955,076.68      8,852,188.62        12.46%

    26    应交税费        27,425,611.52    17,513,414.40        56.60%

    27    其他应付款        4,281,384.07      5,645,947.62      -24.17%

    28      其中:应付                          265,205.15      -100.00%
        利息

    29    一年内到期的    95,332,164.38    20,342,208.28      368.64%
        非流动负债

    30    其他流动负债        24,852.91        494,999.01      -94.98%

    31 流动负债合计        469,277,574.51    506,611,235.25        -7.37%

 (四)、 非流动负债:

    32    长期借款        12,673,828.18    56,500,000.00      -77.57%

    33    租赁负债        49,724,008.65                        100.00%

    34    长期应付款        3,951,165.37    22,075,885.20      -82.10%

    35    预计负债          5,609,493.06                        100.00%

    36    递延收益        32,251,305.20    27,357,347.76        17.89%

    37      递延所得税          2,213.98                        100.00%
        负债

    38 非流动负债合计      104,212,014.44    105,933,232.96        -1.62%

    39 负债合计            573,489,588.95    612,544,468.21        -6.38%

 (五)、 所有者权益:

    40    股本            216,684,993.00    157,655,765.00        37.44%

    41    资本公积      1,412,740,563.73    547,726,246.57      157.93%

    42    其他综合收益        189,574.24        522,155.27      -63.69%

    43    盈余
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