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首页 公告 维康药业:2021年度财务决算报告

维康药业:2021年度财务决算报告

公告日期:2022-04-29

维康药业:2021年度财务决算报告 PDF查看PDF原文

                        浙江维康药业股份有限公司

                        2021年度财务决算报告

          一、2021年度财务报表审计情况

          2021年度财务报表经天健会计师事务所(特殊普通合伙)审计,出具了标准

      无保留意见的审计报告(天健审〔2022〕4888 号),天健会计师事务所认为公

      司的财务报表已经按照企业会计准则以及有关规定编制,在所有重大方面公允地

      反映了公司2021年12月31日的财务状况以及2021年度经营成果和现金流量。

          二、经营利润情况

                                                                        单位:人民币元

        项 目          2021年度        2020年度      增减幅度    大额变动原因说明

      营业总收入          632,953,240.27      622,766,990.78        1.64%

      营业成本          204,376,208.82      171,419,361.62        19.23%

      税金及附加            4,795,258.15        3,473,603.53        38.05%  主要系本期进项税抵扣减

                                                                              少,缴纳增值税增加所致

      销售费用          269,988,691.21      268,079,813.90        0.71%

      管理费用            24,749,342.08        28,473,002.63        -13.08%

      研发费用            37,015,323.92        20,408,872.40        81.37%  主要系本期增加新的研发项

                                                                              目及委外研发费增加所致

      财务费用            -3,031,783.87        -5,308,241.28        42.89%  主要系本期开始执行新租赁

                                                                              准则,增加财务费用所致

      其他收益            12,246,591.55        30,930,967.14        -60.41%  主要系本期收到的政府补助

                                                                              减少所致

    信用减值损失          -8,408,887.53        -8,109,410.37        3.69%

    资产减值损失            -87,772.83                          100.00%

    资产处置收益            67,578.16            -3,346.36      2119.45%  主要系本期处置固定资产而

                                                                              产生的利得较多所致

      营业利润            99,142,039.84      159,038,788.39        -37.66%  主要系本期研发投入增加和

                                                                              政府补助减少所致


      营业外收入            1,029,712.51          999,104.92        3.06%

      营业外支出            143,691.62        1,336,018.44        -89.24%  主要系上期因疫情原因捐款

                                                                              所致

      利润总额          100,028,060.73      158,701,874.87        -36.97%  主要系本期研发投入增加和

                                                                              政府补助减少所致

      所得税费用            3,480,914.78        22,997,391.55        -84.86%  主要系本期计提递延所得税

                                                                              资产所致

        净利润            96,547,145.95      135,704,483.32        -28.85%

    归属于母公司股        96,495,377.13      135,815,760.84        -28.95%

      东的净利润

    少数股东损益            51,768.82          -111,277.52      146.52%  主要系本期收购子公司盈利

                                                                              所致

      每股收益                    1.20                2.03        -40.79%  主要系本期归属于母公司股

                                                                              东的净利润减少所致

          三、资产负债情况

                                                                        单位:人民币元

        项 目      2021年12月31日  2020年12月31日  增减幅度    大额变动原因说明

      货币资金            280,795,523.15        595,227,638.55      -52.83%  主要系本期在建工程和研发

                                                                              投入增加所致

                                                                              主要系受疫情影响,公司客

      应收账款            373,660,578.13        285,253,339.93      30.99%  户销售回款进度有所推迟所

                                                                              致

    应收款项融资          36,235,827.05        14,422,823.64      151.24%  主要系收到银行承兑汇票增

                                                                              加所致

      预付款项            37,455,419.71        16,811,782.92      122.79%  主要系预付药品采购款及工

                                                                              程设备款增加所致

      其他应收款            2,755,294.65          2,847,828.06      -3.25%

        存货              129,492,497.74        82,305,973.44      57.33%  主要系公司原材料价格上

                                                                              涨,及产品备货所致

    其他流动资产            9,690,787.23          1,746,710.14      454.80%  主要系子公司待抵扣增值税

                                                                              进项税额增加所致

    流动资产合计          870,085,927.66        998,616,096.68      -12.87%

    其他非流动金融          19,964,000.00        19,964,000.00        0.00%

        资产

    投资性房地产            5,710,751.66          5,850,247.46      -2.38%


      固定资产            301,928,929.86        126,596,577.63      138.50%  主要系本期部分在建工程转

                                                                              固定资产所致

      在建工程            366,565,426.53        422,358,271.68      -13.21%

      使用权资产            37,600,444.05                          100.00%  主要系本期开始执行新租赁

                                                                              准则所致

      无形资产        
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