Annual Report 2021

29 舜宇光學科技(集團)有限公司 • 2021 年報 Management Discussion and Analysis 管理層討論與分析 Net Profit and Net Profit Margin The net profit of the Group for the year ended 31 December 2021 was approximately RMB5,055.9 million, representing an increase of approximately 2.3% as compared to that of last year. The increase in net profit was mainly attributable to the increase in gross profit and the decrease in income tax expense. The net profit margin was approximately 13.5% (2020: approximately 13.0%). Profit for the Year Attributable to Owners of the Company and Basic Earnings per Share The profit for the year attributable to owners of the Company for the year ended 31 December 2021 was approximately RMB4,988.0 million, representing an increase of approximately 2.4% as compared to that of last year. The basic earnings per share for the year ended 31 December 2021 was approximately RMB456.52 cents, representing an increase of approximately 2.4% as compared to that of last year. LIQUIDITY AND FINANCIAL RESOURCES Cash Flows The table below summarises the Group’s cash flows for the years ended 31 December 2021 and 31 December 2020: For the year ended 31 December 截至十二月三十一日止年度 2021 2020 二零二一年 二零二零年 RMB million RMB million 人民幣百萬元 人民幣百萬元 Net cash from operating activities 經營活動所得現金淨額 6,979.0 7,160.0 Net cash used in investing activities 投資活動所用現金淨額 (2,901.5) (5,976.2) Net cash used in financing activities 融資活動所用現金淨額 (1,241.4) (222.3) 淨利及淨利率 截至二零二一年十二月三十一日止年度,本集 團的淨利約人民幣 5,055,900,000 元,較去年 增加約 2.3% 。淨利增加主要是因為毛利增加及 所得稅開支減少。淨利率則約 13.5% (二零二零 年:約 13.0% )。 本公司股東應佔年內溢利及每股基本 盈利 截至二零二一年十二月三十一日止年度,本公 司股東應佔年內溢利約人民幣 4,988,000,000 元,較去年增加約 2.4% 。截至二零二一年十二 月三十一日止年度,每股基本盈利約人民幣 456.52 分,較去年增加約 2.4% 。 流動資金及財政來源 現金流量 下表載列本集團截至二零二一年十二月三十一 日及二零二零年十二月三十一日止年度的現金 流量概要:

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