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新纶科技:2020年度财务决算报告

公告日期:2021-04-28

新纶科技:2020年度财务决算报告 PDF查看PDF原文

                  深圳市新纶科技股份有限公司

                    2020 年度财务决算报告

      经中证天通会计师事务所(特殊普通合伙)审计,2020年度深圳市新纶科技

  股份有限公司(以下简称“公司”)经营业绩情况如下:

      一、主要财务数据

          单位:万元

              项目              2020 年度          2019 年度    ±变动比例

            营业收入            224,699.97      332,196.96        -32.36%

            营业成本            179,684.55      271,306.71        -33.77%

            利润总额            -133,408.43        -708.92    -18,718.55%

    归属于母公司所有者的净      -128,956.05          988.08    -13,151.18%

              利润

      基本每股收益(元)            -1.1190          0.0086    -13,111.63%

    经营活动产生的现金流量        35,018.88      -73,369.28      147.73%

              净额

            资产总额            774,900.67      956,373.74        -18.98%

            负债总额            413,095.08      466,546.07        -11.46%

    二、公司财务状况

      1、资产构成情况

                                                      单位:万元

              2020 年 12 月 31 日      2019 年 12 月 31 日      ±变动比

    资产        金额    占资产比      金额      占资产比    例            变动原因

                            率                        率

  货币资金    14,729.46    1.90%        45,114.83    4.72%  -67.35%    主要系本期偿还债务
                                                                                  较大所致

交易性金融资    1,893.55    0.24%              -        -

    产

  应收账款    52,647.81    6.79%      121,872.65  12.74%  -56.80%  主要系本期收入规模下
                                                                                  降所致

应收款项融资    2,914.00    0.38%        8,893.32    0.93%  -67.23%    主要系本期应收票据
                                                                                  减少所致

              6,635.13    0.86%        21,029.10    2.20%  -68.45%  主要系本期将难以回收
  预付款项                                                                  和存在风险款项调至其
                                                                                他应收款所致

              78,844.01    10.17%        14,767.09    1.54%  433.92%  主要系处置子公司新晨
 其他应收款                                                                新材股权形成的资金往
                                                                          来款及因历史原因形成

                                                                          的难以回收和存在风险
                                                                          的应收款项调至该科目
                                                                          所致

              33,020.51    4.26%        66,151.94    6.92%  -50.08%  主要系本期执行新收入
    存货                                                                  准则,将建造合同已施工
                                                                            未结算部分调至合同资
                                                                                  产所致

  合同资产    14,507.49    1.87%              -        -        -  主要系本期执行新收入
                                                                                  准则所致

其他流动资产  12,395.74    1.60%        14,940.33    1.56%  -17.03%

流动资产合计  217,587.69    28.08%      292,769.25  30.61%  -25.68%

 长期应收款    3,126.58    0.40%        3,585.03    0.37%  -12.79%

              11,769.59    1.52%        5,002.31    0.52%  135.28%  主要系本期处置全资子
长期股权投资                                                              公司上海瀚广 51%股权所
                                                                                    致

                      -        -      122,202.37  12.78%  -100.00%  主要系本期深圳鸿银投
其他权益工具                                                              资合伙企业(有限合伙)
    投资                                                                    股权款调整至其他非流
                                                                                动资产所致

其他非流动金    1,260.00    0.16%              -        -

  融资产

投资性房地产  36,271.23    4.68%        34,694.74    3.63%    4.54%

  固定资产    173,022.45    22.33%      187,693.85  19.63%    -7.82%

  在建工程    27,154.46    3.50%        54,544.35    5.70%  -50.22%  主要系本期转让成都新
                                                                                  晨所致

  无形资产    50,484.11    6.51%        53,203.25    5.56%    -5.11%

  开发支出    12,090.52    1.56%        9,642.81    1.01%    25.38%

            100,711.90    13.00%      172,227.59  18.01%  -41.52%  主要系本期计提子公司
    商誉                                                                    安徽新纶及金耀辉商誉
                                                                          减值准备、出让子公司上
                                                                              海瀚广控制权所致

长期待摊费用    4,413.54    0.57%        1,695.27    0.18%  160.34%  主要系长期借款利息费
                                                                                用分摊所致

递延所得税资  15,345.52    1.98%        11,288.40    1.18%    35.94%  主要系本期计提商誉减
    产                                                                          值准备所致

            121,663.07    15.70%        7,824.52    0.82%  1454.89%    主要系深圳鸿银投资
其他非流动资                                                              合伙企业(有限合伙)投
    产                            
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