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首页 公告 雅创电子:2021年年度财务报告

雅创电子:2021年年度财务报告

公告日期:2022-04-25

雅创电子:2021年年度财务报告 PDF查看PDF原文
上海雅创电子集团股份有限公司
合并资产负债表

2021 年度                                              单位:人民币元

合并资产负债表

资产                        附注五    2021年12月31日    2020年12月31日
流动资产

 货币资金                    1        275,636,145.99      49,331,661.38
 交易性金融资产              2        84,193,052.27      76,107,493.12
 应收票据                    3        21,176,639.37                  -
 应收账款                    4        523,869,745.04    431,548,228.50
 预付款项                    5        41,665,314.63        6,800,991.52
 其他应收款                  6          8,744,127.38        3,077,967.27
 存货                        7        167,113,562.22      80,823,033.62
 合同资产                    8            750,855.20        1,184,824.15
 其他流动资产                9          7,962,927.54        6,712,255.97
流动资产合计                          1,131,112,369.64    655,586,455.53
非流动资产

 其他权益工具投资            10        5,900,000.00        4,600,000.00
 固定资产                    11        29,464,976.75      31,061,658.81
 使用权资产                  12        2,439,888.15                  -
 无形资产                    13        6,832,268.17      11,199,953.66
 长期待摊费用                14        3,705,485.95        2,498,054.18
 递延所得税资产              15        8,457,028.18        6,855,032.88
 其他非流动资产              16        1,230,590.00        1,023,700.00
非流动资产合计                          58,030,237.20      57,238,399.53
资产总计                              1,189,142,606.84    712,824,855.06
本财务报表由以下人士签署:

法定代表人:                    主管会计工作负责人:            会计机构负责人:
后附财务报表附注为本财务报表的组成部分

上海雅创电子集团股份有限公司
合并资产负债表(续)

2021 年度                                              单位:人民币元

负债和股东权益              附注五    2021年12月31日    2020年12月31日
流动负债

  短期借款                    17        215,287,224.20      192,143,605.44
  应付票据                    18                    -          796,112.80
  应付账款                    19        90,861,560.62      123,362,579.43
 合同负债                    20          7,429,991.80        5,453,105.29
 应付职工薪酬                21        12,873,831.40        7,015,174.68
 应交税费                    22        14,782,253.13      17,502,919.17
 其他应付款                  23          6,392,021.31        4,042,783.78
 其他流动负债                24          469,481.42          258,204.89
 一年内到期的非流动负债                  1,900,440.26                  -
流动负债合计                            349,996,804.14      350,574,485.48
非流动负债

 租赁负债                    25          446,557.95                  -
非流动负债合计                              446,557.95                  -
负债合计                                350,443,362.09      350,574,485.48
股东权益

  股本                        26        80,000,000.00      60,000,000.00
 资本公积                    27        523,197,125.51      159,383,850.31
 其他综合收益                28        (2,638,838.12)    (2,491,664.97)
 盈余公积                    29        13,150,653.31        6,690,790.80
 未分配利润                  30        227,358,482.63      141,411,770.75
归属于母公司股东权益合计                841,067,423.33      364,994,746.89
少数股东权益                            (2,368,178.58)    (2,744,377.31)
股东权益合计                            838,699,244.75      362,250,369.58
负债和股东权益总计                    1,189,142,606.84      712,824,855.06
本财务报表由以下人士签署:

法定代表人:                  主管会计工作负责人:                会计机构负责人:
后附财务报表附注为本财务报表的组成部分

上海雅创电子集团股份有限公司
合并利润表
2021 年度
合并利润表

                                    附注五            2021年            2020年
营业收入                              31    1,417,847,418.25  1,097,734,001.29
减:营业成本                          31    1,160,664,205.05    935,871,632.08
    税金及附加                        32        1,847,113.27      1,948,242.16
    销售费用                          33      45,502,787.77    32,464,873.54
    管理费用                          34      34,321,956.84    25,175,115.31
    研发费用                          35      36,790,920.82    22,218,259.78
    财务费用                          36      14,951,038.11      8,900,551.09
      其中:利息费用                  36      13,394,988.18    12,855,866.63
            利息收入                  36          205,035.23        157,239.07
加:其他收益                          37        1,010,063.73      4,022,362.87
    投资收益                          38          205,000.00                -
    公允价值变动收益                  39        (466,895.75)      367,378.09
    信用减值损失                      40        (522,977.88)    (193,106.85)
    资产减值损失                      41      (3,951,593.23)    1,072,766.86
    资产处置收益                      42            4,456.72                -
营业利润                                        120,047,449.98    76,424,728.30
加:营业外收入                        43          388,350.31      1,098,738.55
减:营业外支出                        44          104,964.25        68,472.26
利润总额                                        120,330,836.04    77,454,994.59
减:所得税费用                        46      27,439,947.90    18,388,523.09
净利润                                          92,890,888.14    59,066,471.50
按经营持续性分类

  持续经营净利润                                92,890,888.14    59,0
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