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首页 公告 景兴纸业:2020年年度财务决算

景兴纸业:2020年年度财务决算

公告日期:2021-04-22

景兴纸业:2020年年度财务决算 PDF查看PDF原文

                浙江景兴纸业股份有限公司

                  2020 年年度财务决算

    根据公司的财务状况和经营成果,公司完成了 2020 年度财务决算工作。财务报
 表经天健会计事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告。
    一、主要财务数据及指标完成情况

                                                      金额单位:元,下同

    指标        本期数/年末数    上期数/年初数    变动比率            变动原因

                                                          (%)

营业收入        4,874,550,663.87  5,251,104,950.02      -7.17

营业利润          380,125,758.23    237,003,779.68      60.39

利润总额          369,014,527.61    220,415,761.44      67.42

归属于母公司股                                                      主要系产品盈利能力上升所
东的净利润        311,949,833.53    188,668,135.80      65.34  致。

基本每股收益                0.28              0.17      64.71

资产总额        7,291,734,218.26  5,660,155,867.37      28.83

负债总额        2,375,746,992.16  1,132,346,537.06      109.81  主要系公司发行可转债所致。

归属于母公司股  4,761,717,345.78  4,368,228,069.05        9.01

东的净资产

经营活动产生的    617,225,360.23  1,261,013,682.16      -51.05  主要系上期经营性应收项目
现金流量净额                                                        的减少幅度较大所致。

加权平均净资产            6.88                4.40        2.48

收益率(%)

每股净资产                  4.29              3.93        9.16

    二、2020 年度财务状况

    (一)资产结构及同比变动分析

                              占资产总                    占资产总  变动比率

  项目          年末数        额比重        年初数        额比重    (%)      变动原因
                              (%)                        (%)

                                                                                主要系公司发
货币资金  1,575,613,747.10    21.61    494,737,800.17      8.74    218.47  行可转债收到
                                                                                资金所致。

                                                                                主要系公司将
交易性金      34,638,701.12      0.48    21,249,994.05      0.38    63.01  拟处置的股权
融资产                                                                          资产转列所
                                                                                致。

应收票据    738,527,600.73    10.13    818,841,489.02    14.47    -9.81


应收账款    449,527,550.20      6.16    438,209,973.44      7.74      2.58

                                                                                主要系预付材
预付款项      31,738,769.01      0.44    15,474,348.71      0.27    105.11  料动力款增加
                                                                                所致。

其他应收                                                                        主要系应收股
款            2,943,009.63      0.04      5,513,810.49      0.10    -46.62  权转让款减少
                                                                                所致。

存货        500,823,944.84      6.87    451,539,108.54      7.98    10.91

                                                                                主要系利用闲
其他流动    221,175,731.75      3.03    100,011,122.10      1.77    121.15  置募集资金购
资产                                                                            买结构性存款
                                                                                余额增加。

流动资产  3,554,989,054.38    48.75  2,345,577,646.52    41.44    51.56  主要系以上因
合计                                                                            素综合所致。

长期股权    240,412,342.47      3.30    269,701,079.99      4.76    -10.86

投资

其他非流                                                                        主要系股权投
动金融资    152,647,560.20      2.09    98,390,000.00      1.74    55.15  资增加所致。


投资性房                                                                        主要系购入房
地产        119,465,635.06      1.64    91,644,803.89      1.62    30.36  屋、土地增加
                                                                                所致。

固定资产  2,363,760,987.18    32.42  2,462,620,712.09    43.51    -4.01

                                                                                主要系公司消
                                                                                防系统改造、
在建工程      24,714,447.74      0.34    62,703,523.01      1.11    -60.59  施胶机技改工
                                                                                程完工结转所
                                                                                致。

无形资产    550,396,937.52      7.55    175,090,815.44      3.09    214.35  主要系土地增
                                                                                加所致。

商誉                  0.00      0.00        789,725.66      0.01  -100.00  主要系计提商
                                                                                誉减值所致。

递延所得      12,352,874.82      0.17    12,420,318.75      0.22    -0.54

税资产

其他非流                                                                        主要系预付设
动资产      272,994,378.89      3.74    141,217,242.02      2.49    93.32  备款增加所
                                                                                致。

非流动资  3,736,745,163.88    51.25  3,314,578,220.85    58.56    12.74

产合计

资产总额  7,291,734,218.26    100.00  5,660,155,867.37    100.00    28.83
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