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鲁西化工:2020年度财务决算报告

公告日期:2021-03-23

鲁西化工:2020年度财务决算报告 PDF查看PDF原文

        鲁西化工集团股份有限公司

          2020 年度财务决算报告

    报告期内,公司财务部门严格按照《会计法》、《企业会计准则》、《企业会计制度》的规定进行财务核算,公司所编制的年度财务报表及报表附注已经信永中和会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告。现将 2020 年度财务决算情况报告如下:


                                                                                                                        单位:元

                                                              2019 年                  本年比上年                  2018 年

                                2020 年                                                  增减

                                                    调整前              调整后          调整后          调整前              调整后

    营业收入(元)        17,592,454,573.01  18,081,576,304.00  18,206,818,457.80      -3.37%  21,286,470,482.13  21,460,322,340.03

归属于上市公司股东的净利      824,832,775.12    1,691,616,406.13    1,726,343,770.40    -52.22%    3,067,752,732.30    3,098,696,485.30
      润(元)

归属于上市公司股东的扣除      729,445,764.23      937,618,901.32      937,618,901.32    -22.20%    3,147,813,367.63    3,147,813,367.63
非经常性损益的净利润(元)

经营活动产生的现金流量净    3,010,574,926.58    3,095,808,905.78    3,182,106,765.17      -5.39%    5,266,749,802.64    5,280,872,043.92
      额(元)

 基本每股收益(元/股)                0.563              1.147              1.170    -51.88%              2.015              2.036

 稀释每股收益(元/股)                0.563              1.147              1.170    -51.88%              2.015              2.036

  加权平均净资产收益率                7.30%              15.76%              15.89%      -8.59%              32.81%              32.76%

                                                            2019 年末                本年末比上                2018 年末

                              2020 年末                                                年末增减

                                                    调整前              调整后          调整后          调整前              调整后

      总资产(元)        31,874,017,821.44  30,210,327,953.03  30,930,421,192.24      3.05%  27,790,615,681.11  28,779,002,452.84

归属于上市公司股东的净资  14,260,831,630.50  11,191,509,541.77  11,333,213,153.52      25.83%  10,749,388,957.72  10,880,371,921.10
      产(元)

说明:报告期内,公司同一控制下企业合并增加鲁西新能源装备集团有限公司和鲁西催化剂有限公司,对上年度末和上年同期数据进行追溯调整。


    二、公司主营业务经营及财务状况

    公司所处的行业为化工新材料、基础化工。主要产品有聚碳酸酯、己内酰胺、尼龙 6、双氧水、有机硅、甲酸、多元醇、甲烷氯化物、甲胺、DMF 等。

    1、报告期内公司营业收入构成情况

                                                                              单位:元

                            2020 年                      2019 年

                        金额        占营业收        金额        占营业收 同比增减
                                      入比重                      入比重

营业收入合计        17,592,454,573.01    100%  18,206,818,457.80    100%    -3.37%

分行业

化工新材料行业      12,305,065,042.66  69.95%  12,821,958,008.53  70.42%    -4.03%

基础化工行业        3,676,514,676.75  20.90%    3,141,233,777.14  17.25%    17.04%

化肥行业            1,530,323,442.68    8.70%    1,990,302,642.93  10.93%  -23.11%

其他行业                80,551,410.92    0.45%      253,324,029.20    1.40%  -68.20%

分产品

化工新材料产品      12,305,065,042.66  69.95%  12,821,958,008.53  70.42%    -4.03%

基础化工产品        3,676,514,676.75  20.90%    3,141,233,777.14  17.25%    17.04%

化肥产品            1,530,323,442.68    8.70%    1,990,302,642.93  10.93%  -23.11%

其他产品                80,551,410.92    0.45%      253,324,029.20    1.40%  -68.20%

分地区

国内                16,463,917,431.59  93.59%  17,034,493,946.68  93.56%    -3.35%

国外                1,128,537,141.42    6.41%    1,172,324,511.12    6.44%    -3.74%

    2、报告期内主要经营数据如下

                                                                        单位:万元

              项目                本年金额        上年金额      变动幅度(%)

            营业收入              1,759,245.46    1,820,681.85          -3.37%

            营业成本              1,481,064.02    1,474,011.22            0.48%

            税金及附加                14,275.52        11,956.73          19.39%

            销售费用                  6,559.86        62,056.93          -89.43%

            管理费用                39,853.48        34,145.37          16.72%

            研发费用                58,029.38        58,628.87          -1.02%

            财务费用                53,921.98        58,402.72          -7.67%

    经营活动产生的现金流量净额      301,057.49      318,210.68          -5.39%

    投资活动产生的现金流量净额      -258,942.25      -315,889.29          18.03%

    筹资活动产生的现金流量净额      -56,603.00      -10,534.26        -437.32%


    与上年度相比:

    (1)营业收入本期发生额较上年减少 3.37%,主要原因系上
 半年受疫情影响所致;

    (2)销售费用本期发生额较上年减少 89.43%,主要原因系根
 据新收入准则,将销售费用中的“运输费”“港杂费”调整至合 同履约成本所致;

    (3)管理费用本期发生额较上年增加 16.72%,主要原因系职
 工薪酬增加所致;

    (4)筹资活动产生的现金流量净额较上年减少 437.32%,主
 要原因系公司偿还有息负债所致。

    3、报告期内资产负债项目变动情况

                                                                          单位:元

                    2020 年末                2020 年初                  重大变动说明
                    金额      占总资      金额      占总资 比重增减      金额

                                产比例                  产比例

货币资金        363,853,904.62  1.14%  558,653,989.27 1.81%  -0.67%

应收账款          57
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