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科华数据:2020年度财务决算报告

公告日期:2021-04-28

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                        科华数据股份有限公司

                        2020年度财务决算报告

        科华数据股份有限公司(以下简称:“科华数据”)2020年度财务报表已经容
    诚会计师事务所(特殊普通合伙)审计,出具标准无保留意见的《审计报告》容
    诚审字[2021]361Z0133号。会计师的审计意见是:科华数据财务报表在所有重大
    方面按照企业会计准则的规定编制,公允反映了科华数据公司2020年12月31日的
    合并及公司财务状况以及2020年度的合并及公司经营成果和合并及公司现金流
    量。

        一、2020年度财务指标完成情况

        (一)实现经济效益情况

        2020年度实现营业总收入4,167,587,617.58元,比上年度增加 298,279,462.98
    元,增长 7.71%;2020年度实现归属于母公司所有者的净利润 381,888,685.37 元,
    比上年增加 174,724,797.59 元, 增长 84.34%。具体如下:

                                                                      单位:人民币元

        项 目                2020 年            2019 年            增加      增长率(%)

一、营业总收入            4,167,587,617.58    3,869,308,154.60    298,279,462.98      7.71

减:营业成本              2,840,447,003.20    2,669,188,496.66    171,258,506.54      6.42

营业税金及附加            21,767,089.86        23,471,608.42      -1,704,518.56      -7.26

销售费用                  385,858,009.56      403,448,196.96    -17,590,187.40      -4.36

管理费用                  168,401,906.48      169,283,322.29      -881,415.81      -0.52

研发费用                  222,423,907.18      221,641,194.69      782,712.49        0.35

财务费用                  82,545,092.39        71,010,306.26      11,534,786.13      16.24

加:其他收益              49,910,090.99        46,549,614.83      3,360,476.16      7.22

投资收益(损失以“-”号填    6,338,292.03        1,628,409.19      4,709,882.84      289.23
列)

其中:对联营企业和合营    -2,081,227.49        1,138,153.26      -3,219,380.75    -282.86
企业的投资收益
公允价值变动收益(损失
以“-”号填列)

信用减值损失(损失以“-”    -31,794,820.40      -31,161,857.02      -632,963.38      2.03
号填列)


        项 目                2020 年            2019 年            增加      增长率(%)

资产减值损失(损失以“-”    -20,028,393.44      -81,196,977.13    61,168,583.69      -75.33
号填列)

资产处置收益(损失以“-”      -7,037.23          3,123,842.90      -3,130,880.13    -100.23
号填列)

二、营业利润              450,562,740.86      250,208,062.09    200,354,678.77    80.08

加:营业外收入            5,989,639.56        3,235,096.99      2,754,542.57      85.15

减:营业外支出            8,692,711.54        13,941,549.97      -5,248,838.43      -37.65

三、利润总额              447,859,668.88      239,501,609.11    208,358,059.77    87.00

减:所得税费用            57,217,273.57        23,195,700.84      34,021,572.73    146.67

四、净利润                390,642,395.31      216,305,908.27    174,336,487.04    80.60

其中:归属于母公司所有    381,888,685.37      207,163,887.78    174,724,797.59    84.34
者的净利润

少数股东损益              8,753,709.94        9,142,020.49      -388,310.55      -4.25

        (二)2020年度财务状况指标

                                                                      单位:人民币元

      项 目        2020 年 12月 31日  2019年 12月 31日        增加        增长率(%)

资产总额            8,329,230,104.73    7,831,789,865.53      497,440,239.20      6.35

负债总额            4,838,419,395.11    4,390,682,988.63      447,736,406.48      10.20

归属于母公司所有  3,234,604,059.99    3,196,326,712.46      38,277,347.53        1.20

者权益

        1、全年资产变动情况

        2020 年年末资产总额 8,329,230,104.73 元,比 2019 年年末增加

    497,440,239.20 元,主要变动因素如下:

        流动资产 3,403,882,838.64 元,比 2019 年年末增加 137,704,255.15 元;非流
    动资产 4,925,347,266.09 元,比 2019 年年末增加 359,735,984.05 元。具体如下:
                                                                        单位:人民币元

        项目          2020 年 12 月 31 日  2019 年 12 月 31 日    增加金额      增长率(%)

流动资产:

货币资金                772,334,111.98      645,800,047.09    126,534,064.89      19.59

交易性金融资产                            180,000,000.00    -180,000,000.00    -100.00

以公允价值计量且其变
动计入当期损益的金融
资产


        项目          2020 年 12 月 31 日  2019 年 12 月 31 日    增加金额      增长率(%)

应收票据                26,726,965.27      14,464,041.28      12,262,923.99      84.78

应收账款              1,703,565,415.40    1,611,912,356.05    91,653,059.35      5.69

应收款项融资            113,459,503.70      82,646,715.38      30,812,788.32      37.28

预付款项                44,302,671.16      45,690,298.94      -1,387,627.78      -3.04

其他应收款              100,239,713.04      157,690,666.04    -57,450,953.00      -36.43

存货                    427,927,035.47      418,202,954.92      9,724,080.55        2.33

合同资产                82,581,434.05        不适用        82,581,434.05

持有待售资产
一年内到期的非流动资


其他流动资产            132,745,988.57      109,771,503.79      22,974,484.78      20.93

    流动资产合计      3,403,882,838.64    3,266,178,583.49    137,704,255.15      4.22

非流动资产:
可供出售金融资产
长期应收款

长期股权投资            28,063,971.95      13,846,332.44      14,217,639.51      102.68

投资性房地产            5,087,759.90        7,313,172.31      -2,225,412.41      -30.43

固定资产              2,478,238,101.88    1,684,581,563.15    793,656,538.73      47.11

在建工程                889,442,485.63    1,386,995,838.08    -497,553,352.45    -35.87

无形资产                413,544,438.51      414,714,536.73      -1,170,098.22      -0.28

开发支出                99,359,480.81      73,626,611.43      25,732,869.38      34.95

商誉                    702,765,963.22      702,919,351.52      
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