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首页 公告 军信股份:2021年度财务决算报告

军信股份:2021年度财务决算报告

公告日期:2022-04-27

军信股份:2021年度财务决算报告 PDF查看PDF原文

                  湖南军信环保股份有限公司

                    2021 年度财务决算报告

    湖南军信环保股份有限公司 2021 年财务报表,经天职会计师事务所(特殊普通合伙)审
计并出具了标准无保留意见的审计报告,会计师的审计意见是:公司财务报表在所有重大方面
按照企业会计准则的规定编制,公允反映了湖南军信环保股份有限公司 2021 年 12 月 31 日
的合并及母公司财务状况,以及 2021 年度的合并及母公司经营成果和现金流量。现将公司2021 年度财务决算情况报告如下:

    一、报表合并对象和合并范围

    母公司:湖南军信环保股份有限公司

    全资子公司:湖南平江军信环保有限公司

    控股子公司:浦湘生物能源股份有限公司

    控股子公司:湖南浦湘环保能源有限公司

    二、主要财务数据和指标

    2021 年,公司实现营业收入 205,454.79 万元(其中建设期服务收入 75,002.84 万元),比
上年增加 86.55%(除建设期服务收入外增加 18.45%);实现净利润 52,874.28 万元,比上年增加 8.42%,其中,归属于母公司股东的净利润为 43,924.93 万元,同比增长 5.76%。经营性现
金净额 79,832.17 万元,同比上升 6.02%;基本每股收益 2.1427 元,同比上升 5.75%。截止
2021 年 12 月 31 日,公司资产总额 746,222.73 万元,比 2020 年末增加 113,322.58 万元,增
幅 17.91%。报告期内,在董事会的正确领导下,在管理层以及全体员工的共同努力下,公司的财务状况、经营业绩均保持了稳定良好的发展态势。

  主要财务数据和指标如下:

          项目                2021 年        2020 年        本年比上年增减

      营业收入(元)          2,054,547,868.23  1,101,327,726.54          86.55%

      营业总成本(元)        1,565,785,663.12    608,495,399.23          157.32%

                                                                            %

      营业利润(元)          559,360,566.40    509,264,380.47          9.84%

      利润总额(元)          563,343,003.00    503,307,925.58          11.93%

 归属于上市公司股东的净利润    439,249,323.77    415,344,503.17          5.76%

          (元)

 归属于上市公司股东的扣除非经    433,356,257.56    415,510,150.07          4.29%

  常性损益的净利润(元)


  经营活动产生的现金流量净额    798,321,738.14    752,956,878.11          6.02%

            (元)

    基本每股收益(元/股)            2.14              2.03              5.75%

    稀释每股收益(元/股)            2.14              2.03              5.75%

  加权平均净资产收益率(%)        20.76            23.91              -3.15

 扣除非经常性损益后的加权平均        20.48            23.38              -2.90

    净资产收益率(%)

              项目                    期末          期初      期末比期初增减

 发行在外的普通股加权平均数(股)    205,000,000      205,000,000

            资产总额(元)            7,462,227,288.22  6,334,976,419.17      17.79%

            负债总额(元)            4,685,196,358.33  4,079,550,965.21      14.85%

 归属于上市公司股东的所有者权益(元) 2,346,163,232.66  1,886,103,533.15      24.39%

              资产负债率                  62.79%          64.40%          1.61%

    三、财务状况、经营成果和现金流量情况

    (一)资产负债情况同比分析:

                      期末                  期初

    项目                    占总资                占总资  比重增减  重大变动说
                金额(元)  产比例  金额(元)  产比例  (%)        明

                              (%)                (%)

  货币资金                                                                                  主要系业务规模
                779,218,786.94  10.44%  649,768,667.39  10.26%    0.18%        增加所致

  应收票据      10,371,000.92    0.14%    8,354,042.29    0.13%    0.01%

  应收账款                                                                                  主要系业务规模
                295,106,985.55    3.95%  177,517,681.98  2.80%    1.15%        增加所致

  预付款项      4,102,866.84    0.05%    2,349,685.34    0.04%    0.01%

其他应收款    1,380,315.00    0.02%    14,250,609.61    0.22%    -0.20%

    存货        15,913,520.97    0.21%    5,987,500.50    0.09%    0.12%

  合同资产      25,480,393.06    0.34%    36,742,639.60    0.58%    -0.24%

一年内到期的非  12,456,182.19    0.17%    9,564,293.05    0.15%    0.02%

  流动资产

                                                                                              主要系 2021 年末
 其他流动资产  144,162,422.99    1.93%    95,650,770.54    1.51%    0.42%    未抵扣进项税额
                                                                                                    增加

长期应收款    256,869,115.66    3.44%  169,988,942.33  2.68%    0.76%

  固定资产      12,652,638.49    0.17%    12,845,494.23    0.20%    -0.03%

  在建工程      5,265,800.30    0.07%    1,132,319.88    0.02%    0.05%

使用权资产    8,343,978.14    0.11%    6,062,394.27    0.10%    0.01%

  无形资产    5,828,064,576.01  78.10%  5,065,431,737.67  79.96%    -1.86%    主要系垃圾焚烧


                                                                                              项目(二期)、灰
                                                                                                渣填埋处置项目
                                                                                                特许经营权项目
                                                                                                完工结转所致

 长期待摊费用    5,112,140.57    0.07%    6,506,360.72    0.10%    -0.03%

递延所得税资产  40,320,331.86    0.54%    33,382,986.03    0.53%    0.01%

其他非流动资产  17,406,232.73    0.23%    39,440,293.74    0.62%    -0.39%

    (二)所有者权益情况:

        项目          期末数(元)      期初数(元)  同比增减(%)    说明

        股本            205,000,000.00      205,000,000.00      0.00%

      资本公积          474,569,087.66      453,758,711.92      4.59%

      盈余公积                                                                          主要系本期计提法
                        101,308,286.97      77,519,317.21      30.69%        定盈余公积

    未分配利润                                                                        主要系业务规模增
                        1,565,285,858
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