联系客服

002195 深市 二三四五


首页 公告 二三四五:2020年度财务决算报告

二三四五:2020年度财务决算报告

公告日期:2021-04-29

二三四五:2020年度财务决算报告 PDF查看PDF原文
上海二三四五网络控股集团股份有限公司
      2020 年度财务决算报告

 报告期间(2020 年 1 月 1 日—2020 年 12 月 31 日)

                上海二三四五网络控股集团股份有限公司

                        2020 年度财务决算报告

                (会计期间:2020 年 1 月 1 日—2020 年 12 月 31 日)

          公司 2020 年度财务报表已经立信会计师事务所(特殊普通合伙)审计,并出

      具了标准无保留意见的审计报告,其简要情况如下:

    一、利润表概况

                                                                      (单位:人民币元)

                                              2020 年度                                2019 年度

          项  目                              合并数同比

                                合 并 数        增长率      母公司数        合 并 数        母公司数

营业收入                    1,225,792,782.73    -49.78%    44,421,870.77  2,440,761,431.33    49,150,661.56

减:营业成本                  610,573,404.56    163.90%                    231,362,489.94                -

  税金及附加                  3,723,299.08    -57.73%      402,882.54      8,807,384.12      291,652.88

毛利率                                50.19%  下降 40.33                -          90.52%                -
                                                个百分点

减:销售费用                    28,044,620.20    -96.32%                -  762,652,109.13                -

  管理费用                  176,720,365.00    -11.72%    63,009,270.87  200,192,086.30    61,537,374.68

  财务费用                    -35,876,595.03  -1891.15%    25,918,224.11      2,002,989.41    38,938,631.23

  研发费用                  177,790,842.89    -28.05%                -  247,091,510.71                -

  信用减值损失                42,946,654.31    -90.20%                -  438,176,235.48      5,000,000.00

  资产减值损失              1,285,972,411.75    100.00%                -                -                -

加:其他收益                    43,299,635.00    -41.17%      574,089.33    73,597,203.88      198,223.37

  投资收益                  169,620,957.40      -2.20%  665,593,165.75  173,431,661.35  1,048,600,254.40

  资产处置收益                    20,270.43      -7.27%                -        21,859.71                -

公允价值变动损益                -8,630,845.22    -137.02%    24,961,761.75    23,313,020.20    15,625,675.56

营业利润                      -859,792,202.42    -204.75%  646,220,510.08  820,840,371.38  1,007,807,156.10

加:营业外收入                  2,758,784.92  1924.89%                -      136,243.85                -

减:营业外支出                  4,289,996.34    -23.83%      588,679.24      5,632,002.68                -

利润总额                      -861,323,413.84    -205.64%  645,631,830.84  815,344,612.55  1,007,807,156.10

减:所得税                      51,679,862.17    13.65%    13,205,862.83    45,474,539.99    -2,880,384.42

税后净利                      -913,003,276.01    -218.59%  632,425,968.01  769,870,072.56  1,010,687,540.52

减:少数股东损益                  154,881.15    -98.56%                -    10,749,816.21                -

归属于母公司所有者的净利润    -913,158,157.16    -220.29%  632,425,968.01  759,120,256.35                -

主要项目分析:
1、公司本期营业收入较上期减少49.78%,主要系公司报告期内业务规模下降所致;2、公司本期营业成本较上期增加163.90%,主要系公司根据新收入准则将推广费调
  整至营业成本所致;
3、公司本期税金及附加较上期减少57.73%,主要系公司报告期内营业收入减少所
  致;
4、公司本期销售费用较上期减少96.32%,主要系公司报告期内根据新收入准则将
  推广费调整至营业成本所致;
5、公司本期财务费用较上期减少1891.15%,主要系公司报告期内利息支出减少所
  致;
6、公司本期信用减值损失较上期下降90.20%,主要系公司报告期汽车金融业务计
  提的信用减值损失减少所致;
7、公司本期资产减值损失较上期增加100.00%,主要系公司报告期内计提商誉减值
  准备所致;
8、公司本期其他收益较上期下降41.17%,主要系公司报告期内获得的政府补助减
  少所致;
9、公司本期公允价值变动损益较上期减少137.02%,主要系公司报告期内理财产品
  公允价值变动所致;
10、公司本期营业外收入较上期增加1924.89%,主要系公司报告期内收到诉讼赔款
  所致;
11、公司本期归属于母公司所有者的净利润较上期减少220.29%,主要系公司报告
  期内计提商誉减值准备所致。


    二、资产负债表概况

    (1)资产类项目

                                                                    (单位:人民币元)

                                                              资 产

        项  目            2020 合并    合并数同比    2020 母公司        2019 合并        2019 母公司

                                            增长率

货币资金                2,856,672,213.12    -4.54%  1,086,350,261.33  2,992,671,815.70    312,955,915.82

交易性金融资产          2,706,058,689.21    17.06%  1,130,959,329.73  2,311,641,578.54  1,353,896,540.43

应收账款                  705,091,275.56    57.23%        418,523.92    448,448,950.74    13,517,825.77

预付款项                    3,376,168.92    -87.85%        823,009.42    27,779,850.28      1,248,207.57

其他应收款                  17,709,248.41    55.98%  1,695,338,636.03      11,353,667.35    18,292,058.76

存货                                    -                            -                -                -

一年内到期的非流动资产  1,102,984,318.00    24.39%                      886,743,716.20                -

其他流动资产                58,193,003.85    -47.18%        461,726.64    110,171,958.03        66,515.72

流动资产合计            7,450,084,917.07      9.74%  3,914,351,487.07  6,788,811,536.84  1,699,977,064.07

发放贷款和垫款              26,552,504.93    -73.87%                      101,634,227.09                -

债权投资                  135,985,819.44    -70.14%                      455,450,636.86                -

可供出售的金融资产                                                                      -                -

长期应收款         
[点击查看PDF原文]