Annual Report 2021

112 Sunny Optical Technology (Group) Company Limited • ANNUAL REPORT 2021 Directors’ Report 董事會報告 MAJOR CUSTOMERS AND SUPPLIERS Details of the Group’s transactions with its major customers and suppliers during the year are set out below: In 2021, the revenue from the largest customer accounted for approximately 20.4% of the Group’s total revenue as compared to approximately 26.5% of last year. In 2021, revenue from the top five largest customers accounted for approximately 61.1% (2020: approximately 67.7%) of the Group’s total revenue. In 2021, the purchases from the Group’s largest supplier accounted for approximately 16.2% (2020: approximately 19.2%) and the aggregate purchases attributable to the top five largest suppliers accounted for approximately 52.4% (2020: approximately 51.3%) of the total purchases of the Group. For the year ended 31 December 2021, no Directors, their close associates or any Shareholder (which to the knowledge of the Directors own more than 5% of the number of issued shares of the Company) have any interest in any of the Group’s five largest suppliers or customers. PROPERTY, PLANT AND EQUIPMENT Details of movements of property, plant and equipment of the Group during the year are set out in Note 14 to the consolidated financial statements. SHARE CAPITAL Details of changes during the year in the share capital of the Company are set out in Note 34 to the consolidated financial statements. DISTRIBUTABLE RESERVES OF THE COMPANY Distributable reserves of the Company as at 31 December 2021, calculated under the Cayman Islands Companies Act (formerly known as Companies Law) amounted to approximately RMB20,106.4 million (2020: approximately RMB16,076.1 million). 主要客戶及供應商 年內,本集團與主要客戶及供應商的交易詳情 如下: 於二零二一年,來自最大客戶的收入佔本集團 總收入約 20.4% ,去年佔比約 26.5% 。於二零 二一年,來自前五大客戶的收入佔本集團總收 入約 61.1% (二零二零年:約 67.7% )。 於二零二一年,本集團向最大供應商的採購 額佔本集團採購總額約 16.2% (二零二零年: 約 19.2% ),而向前五大供應商的採購額合共 佔本集團採購總額約 52.4% (二零二零年:約 51.3% )。 截至二零二一年十二月三十一日止年度,概無 任何董事、董事的緊密聯繫人或任何股東(據 董事會所知擁有 5% 以上的本公司已發行股份數 目者)持有本集團五大供應商或客戶的任何權 益。 物業、機器及設備 有關本集團於本年度物業、機器及設備的變動 詳情載於綜合財務報表附註 14 。 股本 有關本公司股本於本年度的變化詳情載於綜合 財務報表附註 34 。 本公司的可分派儲備 按開曼群島公司法(以前稱為公司法)計算, 本公司於二零二一年十二月三十一日的可分派 儲備約為人民幣 20,106,400,000 元(二零二零 年:約人民幣 16,076,100,000 元)。

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