1、 1 649.37 973.09 1136.65 1311.58 1.41%49.85%16.81%15.39%130.20 152.44 181.96 211.87-15.25%17.09%19.36%16.44%0.58 0.68 0.81 0.94 37.70%32.48%32.58%32.50%20.80%16.25%16.60%16.76%利润表(百万元)利润表(百万元)2021A2021A2022E2022E2023E2023E2024E2024E 营业收入1903.182554.293254.394120.55 减:营业成本863.261191.011606.622007.28
2、营业税金及附加12.8216.3513.6721.43 销售费用420.65434.23539.25784.96 管理费用448.73523.89634.61758.18 财务费用9.97-14.82-19.25-33.23 资产减值损失-8.4210.0010.0010.00 加:投资收益16.5620.0015.0015.00 公允价值变动损益10.145.316.126.52 其他经营损益0.000.000.000.00 营业利润 营业利润295.85418.95490.61593.45 加:其他非经营损益-4.22-47.50-38.00-23.00 利润总额 利润总额291.6337
3、1.45452.61570.45 减:所得税1.951.672.172.86 净利润 净利润289.68369.78450.44567.59 减:少数股东损益-4.65-1.76-4.69-4.30 归属母公司股东净利润 归属母公司股东净利润294.34371.54455.13571.89资产负债表(百万元)资产负债表(百万元)2021A2021A2022E2022E2023E2023E2024E2024E 货币资金1018.24957.121160.001480.38 应收和预付款项622.68700.56836.09973.42 存货377.11471.95657.18834.47 其他流
4、动资产676.04662.58733.89807.56 长期股权投资21.4421.4421.4421.44 投资性房地产0.000.000.000.00 固定资产和在建工程334.25541.06658.42660.00 无形资产和开发支出186.61163.82141.03118.24 其他非流动资产160.00171.55182.39192.53 资产总计 资产总计3396.373690.084390.445088.04 短期借款169.840.000.000.00 应付和预收款项466.33659.93877.701100.71 长期借款30.5130.5130.5130.51 其他负
5、债493.43431.83562.41669.21 负债合计 负债合计1160.111122.281470.631800.42 股本378.71533.72533.72533.72 资本公积1086.751086.751086.751086.75 留存收益767.971010.301302.331674.43 归属母公司股东权益 归属母公司股东权益2189.372522.672879.373251.48 少数股东权益46.8945.1340.4436.14 股东权益合计 股东权益合计2236.252567.802919.823287.61 负债和股东权益合计3396.373690.084390
6、.445088.04现金流量表(百万元)现金流量表(百万元)2021A2021A2022E2022E2023E2023E2024E2024E 经营活动现金流净额271.45361.82430.93535.42 投资活动现金流净额-597.94-224.69-168.88-68.48 筹资活动现金流净额843.49-198.26-59.17-146.56 现金流量净额 现金流量净额508.21-61.13202.88320.38报表预测20242025E2026E2027E营业收入354.83404.50462.34529.39增长率8.32%14.00%14.30%14.50%毛利率30.24