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天音控股:2020年度财务决算报告

公告日期:2021-04-30

天音控股:2020年度财务决算报告 PDF查看PDF原文

            天音通信控股股份有限公司

              2020 年度财务决算报告

    天音通信控股股份有限公司(以下简称“公司”)2020 年财务决算工作已完
成,2020 年度公司财务报表及相关报表附注已经中审华会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告。 现就公司 2020 年度财务情况报告如下:

    一、2020 年度公司主要财务指标

                        2020 年        2019 年    本年比上年增    主要原因

                                                        减

营业收入(元)      59,783,755,163.71 52,941,830,846.84  12.92%  手机销售增加

归属于上市公司股东的 186,094,345.43  50,686,998.18    267.14%  转让赣州长江实业
净利润(元)                                                    有限责任公司 95%
                                                                股权和江西章贡酒
                                                                业有限责任公司

                                                                95%股权,投资收益
                                                                增加

归属于上市公司股东的  7,674,433.22    169,196,069.05    -95.46%  疫情影响毛利率降
扣除非经常性损益的净                                            低

利润(元)

经营活动产生的现金流 1,468,074,479.69 1,110,248,714.69    32.23%  销售增加回款增加
量净额(元)

基本每股收益(元/股)    0.180          0.050        260.00%  净利润增加

稀释每股收益(元/股)    0.18            0.05        260.00%  净利润增加

加权平均净资产收益率    7.63%          2.06%        5.57%    净利润增加

                      2020 年末      2019 年末    本年末比上年

                                                      末增减

总资产(元)        14,270,865,631.53 13,515,196,139.21    5.59%    流动资产及投资增
                                                                加

归属于上市公司股东的 2,468,309,254.73 2,494,339,353.37    -1.04%    子公司收购少数股
净资产(元)                                                    权减少留存收益

    二、合并财务报表范围的变动情况

            公司名称                      变动原因            出资额    出资比例(%)

Telling Telecom Europe SL                      设立                817,730.00

                                                                                    100.00

Telling Telecom Colombia                      设立                144,997.76

                                                                                    100.00

Telling France S.A.S.                          设立                408,865.00


Telling Telecom Latin Ame                      设立                          -

                                                                                    100.00

Telling Germany GmbH                        设立                408,865.00

                                                                                    100.00

上海势成信息技术有限公司                    设立                100,000.00

                                                                                    100.00

上海知子电子商务有限公司                    设立                1,550,000.00

                                                                                    100.00

上海执象电子商务有限公司                    设立                260,000.00

                                                                                    100.00

天乐联线科技有限公司                        注销              130,000,000.00

                                                                                    100.00

    三、公司主要财务报表项目的异常情况及原因说明

                                                            单位:元

    报表项目      期末数(本期数)  期初数(上期数)    本期增减变动    变动幅              变动原因

                                                                      度%

应收账款融资        62,711,774.08                -      62,711,774.08        -  主要系部分客户采用票据结算所
                                                                                致。

预付款项                            771,103,216.39                      135.71  主要系本期预付供应商货款增加所
                  1,817,563,696.6                    1,046,460,480.24            致。

                              3

其他应收款        335,165,384.65    198,710,329.15    136,455,055.50      68.67  主要系本期合并范围变化导致应收
                                                                                股利增加所致。

存货                                                                    -34.68  主要系受手机市场环境影响,期末
                  2,547,646,953.2  3,900,236,290.3  -1,352,589,337.1            备货减少所致。

                              3              3                0

其他流动资产      105,352,209.95    255,820,562.70    -150,468,352.75    -58.82  主要系本期待抵扣进项税减少所
                                                                                致。

其他权益工具投  842,050,661.98    352,416,199.75    489,634,462.23    138.94  主要系本期新增其他权益工具投资
资                                                                              所致。

固定资产          116,704,543.96    252,788,235.87    -136,083,691.91    -53.83  主要系本期合并范围变化所致。

在建工程          385,856,962.16    196,347,979.92    189,508,982.24      96.52  主要系本期超级总部工程施工投入
                                                                                增加所致。

其他非流动资产      4,066,232.87    21,836,817.51    -17,770,584.64    -81.38  主要系本期预付投资款减少所致。

应付账款          366,921,643.38    586,130,313.09    -219,208,669.71    -37.40  主要系期末应付供应商货款减少所
                                                                                致。

预收款项                      -
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