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聆达股份:2021年度财务决算报告

公告日期:2022-03-22

聆达股份:2021年度财务决算报告 PDF查看PDF原文

                聆达集团股份有限公司

                2021 年度财务决算报告

聆达集团股份有限公司全体股东:

    2021年度,太阳能电池业务成为主要的业务增长点,公司收入水平较上年同期大幅提升,实现营业收入105,137.63万元,同比增加272.40%。受光伏产业链上游主要原材料价格上涨的影响,太阳能电池业务的成本增加,加大研发费用投入,财务利息费用增加,导致经营业绩下滑,营业利润-9,187.20万元,同比减少38.44%。归属于上市公司股东的净利润-7,269.67万元,同比减少29.78%。归属于上市公司股东的扣除非经常性损益的净利润-9,761.22万元,同比减少25.70%。

    现将公司2021年度财务决算情况报告如下:

    一、  2021 年度经营成果

  报告期内,利润表相关项目变动情况如下表所示:

                                                                        单位:元

            项目                  2021 年          2020 年      同比变动幅度
营业收入                          1,051,376,254.73    282,327,984.92      272.40%
营业成本                          1,021,951,231.55    189,757,438.62      438.56%
税金及附加                          3,557,382.59        622,996.71      471.01%
销售费用                            7,562,699.45      4,447,248.92        70.05%
管理费用                            45,136,883.04    54,619,995.52        -17.36%
研发费用                            44,172,991.13    15,758,673.96      180.31%
财务费用                            42,435,623.93    22,374,460.38        89.66%
其他收益                            30,783,306.65      3,264,326.99      843.02%
投资收益                            6,122,337.02      5,983,467.10        2.32%
公允价值变动收益                        72,177.89        113,730.15        -36.54%
信用减值损失                        -9,026,081.30      -9,882,849.91        -8.67%
资产减值损失                        -6,399,121.58    -60,626,381.20        -89.44%
资产处置收益                            15,917.73        36,458.52        -56.34%
营业利润                            -91,872,020.55    -66,364,077.54        -38.44%
营业外收入                              42,346.77    12,170,695.89        -99.65%
营业外支出                            618,777.15      -1,387,140.36      144.61%

            项目                  2021 年          2020 年      同比变动幅度
利润总额                            -92,448,450.93    -52,806,241.29        -75.07%
所得税费用                          -16,527,906.46      5,392,898.62      -406.48%
净利润                              -75,920,544.47    -58,199,139.91        -30.45%
归属于上市公司股东的净利润          -72,696,726.86    -56,016,653.76        -29.78%
归属于上市公司股东的扣除非经      -97,612,172.36    -77,653,671.04      -25.70%
常性损益的净利润

    报告期内,归属于上市公司股东的净利润为-7,269.67 万元,较上年同期减少
1,668.01 万元,同比减少 29.78%。

    1、营业收入较上年同期增加 272.40%,营业成本较上年同期增加 438.56%,
主要系报告期太阳能电池业务营业收入和营业成本增加所致;营业成本涨幅大于营业收入涨幅,主要系光伏产业链上游主要原材料价格上涨而太阳能电池价格未能追涨所致。

    2、税金及附加较上年同期增加 471.01%,主要系报告期太阳能电池业务税费
增加所致。

    3、销售费用较上年同期增加 70.05%,主要系报告期主要系报告期太阳能电池
业务销售费用增加所致。

    4、研发费用较上年同期增加 180.31%,主要系报告期加大对太阳能电池等项
业务的研发投入所致。

    5、财务费用较上年同期增加 89.66%,主要系报告期太阳能电池业务利息费用
增加所致。

    6、其他收益较上年同期增加 843.02%,主要系报告期收到的政府补助增加所
致。

    7、资产减值损失较上年同期减少 89.44%,主要系上年同期计提长期股权投资
和固定资产减值准备所致。

    8、营业外收入较上年同期减少 99.65%,主要系上年同期非同一控制下企业合
并金寨嘉悦取得较高收益所致。

    9、营业外支出较上年同期减少 144.61%,主要系上年同期福建金银湖项目和
解,冲回 2019 年度计提的预计负债所致。

    10、所得税费用较上年同期减少 406.48%,主要系报告期递延所得税费用减少
所致。


    2021 年末财务状况

  报告期末,资产负债表相关项目变动情况如下表所示:

                                                                      单位:元

            项目                  2021 年            2020 年      同比变动幅度

货币资金                          103,879,616.64      332,326,292.05      -68.74%
交易性金融资产                                        3,113,730.15      -100.00%
应收票据                          241,809,391.31      123,915,774.36        95.14%
应收账款                          180,595,041.35      218,688,827.16      -17.42%
应收款项融资                        5,299,343.78        6,409,982.00      -17.33%
预付款项                          110,544,607.54      43,559,247.47      153.78%
其他应收款                        41,956,037.93      46,851,355.05      -10.45%
存货                              46,718,213.02      43,289,707.25        7.92%
其他流动资产                      36,888,237.85      25,437,001.86        45.02%

流动资产合计                      767,690,489.42      843,591,917.35        -9.00%

长期股权投资                        5,962,753.43        6,434,045.30        -7.32%
固定资产                        1,192,163,528.95    1,099,438,430.85        8.43%
在建工程                          171,349,591.16      142,400,904.88        20.33%
使用权资产                          3,141,079.00                          100.00%
无形资产                          77,420,836.43      105,325,691.78      -26.49%
商誉                                  920,299.19      85,869,936.09      -98.93%
长期待摊费用                        7,357,600.80        4,224,812.35        74.15%
递延所得税资产                    15,527,670.48        1,584,244.96      880.13%
其他非流动资产                    59,009,406.55      68,808,952.52      -14.24%

非流动资产合计                  1,532,852,765.99    1,514,087,018.73        1.24%

资产总计                        2,300,543,255.41    2,357,678,936.08        -2.42%

短期借款                          90,135,027.78      80,171,069.45        12.43%
应付票据                          38,207,946.21      24,794,629.86        54.10%
应付账款                          194,742,490.23      322,666,067.22      -39.65%
合同负债                            8,358,973.50   
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