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光正眼科:2020年度财务决算报告

公告日期:2021-04-28

光正眼科:2020年度财务决算报告 PDF查看PDF原文
光正眼科医院集团股份有限公司

          光正眼科医院集团股份有限公司

              2020 年度财务决算报告

  公司2020年财务报表已经立信会计师事务所(特殊普通合伙)审计,出具了信
会师报字[2021]第ZA12277号标准无保留意见的审计报告。会计师的审计意见是:
公司财务报表在所有重大方面按照企业会计准则的规定编制,公允反映了光正集
团股份有限公司2020年12月31日的合并及母公司财务状况,以及 2020年度的合
并及母公司经营成果和现金流量。

  一、2020 年度主要财务数据及经营指标:

    1.主要财务数据:                                            单位:元

          项  目              2020 年度        2019 年度        本年较上年增减

 营业收入                      921,048,603.87  1,284,867,050.87            -28.32%

 归属于上市公司股东的净利润      42,595,372.72    72,665,393.43            -41.38%

 归属于上市公司股东的扣除非

                                -13,837,805.75    -23,428,137.78              40.94%
 经常性损益的净利润

 经营活动产生的现金流量净额    154,988,066.23    79,045,976.01              96.07%

          项  目              2020 年末        2019 年末      本年末较上年末增减

 资产总额                    1,490,246,817.08  1,776,181,216.01            -16.10%

 归属于上市公司股东的净资产    324,981,968.68    888,217,712.67            -63.41%

    2.主要经营指标:

          项  目                2020 年度        2019 年度        变动幅度

 流动比率                                0.45              0.99        -54.43%

 速动比率                                0.36              0.80        -54.81%

 资产负债率                            77.39%            40.40%          36.97%

 应收帐款周转率                          4.57              5.17        -11.58%

 存货周转率                              7.96              9.61        -17.21%

 每股收益                                0.08              0.14        -42.86%

 加权平均净资产收益率                  9.26%              8.57%          0.69%

  二、财务状况、经营成果和现金流量分析(合并)


  光正眼科医院集团股份有限公司

      1.报告期资产、负债及变动情况状况:                        单位:元

          主要项目          2020 年期末余额    2019 年期末余额    变动比例

    货币资金                      150,810,281.63    244,849,118.24      -38.41%

    应收票据                        3,600,001.00      1,193,903.40      201.53%

    应收账款                      110,416,957.52    165,965,157.14      -33.47%

    应收款项融资                    1,250,000.00      4,037,713.71      -69.04%

    预付款项                      16,845,149.86      29,501,651.79      -42.90%

    其他应收款                    26,525,926.73      22,781,663.09        16.44%

    存货                          70,678,240.84      70,048,156.38        0.90%

    合同资产                      12,070,785.40

    其他流动资产                    8,142,337.35      5,110,355.26        59.33%

    长期股权投资                    30,491,697.81      13,685,273.27      122.81%

    投资性房地产                    31,960,462.91      86,297,405.55      -62.96%

    其他非流动金融资产              10,000,000.00      43,879,800.00      -77.21%

    固定资产                      280,557,195.10    299,688,694.25        -6.38%

    在建工程                      33,481,649.18      27,596,818.30        21.32%

    无形资产                      103,959,829.27    145,876,342.07      -28.73%

    商誉                          512,227,713.19    527,475,836.86        -2.89%

    长期待摊费用                    40,821,337.98      52,876,288.16      -22.80%

    递延所得税资产                  46,407,251.31      35,317,038.54        31.40%

    短期借款                      120,000,000.00      10,000,000.00      1100.00%

    应付票据及应付账款            255,975,256.88    234,540,542.96        9.14%

    预收款项及合同负债              11,925,043.92      18,833,827.19      -36.68%

    应付职工薪酬                    20,867,464.90      16,942,020.04        23.17%

    应交税费                      14,881,749.76      23,993,804.31      -37.98%

    其他应付款                    381,699,803.62    144,742,361.19      163.71%

    一年内到期的非流动负债          80,000,000.00    100,670,000.00      -20.53%

    长期借款                      260,000,000.00    160,000,000.00        62.50%

      2.报告期收益状况:                                          单位:元

          主要项目              2020 年度金额    2019 年度金额    变动比例

营业总收入                          921,048,603.87  1,284,867,050.87      -28.32%

利润总额                              45,952,260.59    216,196,015.34      -78.75%

  光正眼科医院集团股份有限公司

净利润                                32,097,235.37    157,111,239.71      -79.57%

其中:归属于母公司所有者的净利润      42,595,372.72    72,665,393.43      -41.38%

      2020 年度公司实现营业收入 92,104.86 万元,比上年同期 128,486.71 万元
  下降 28.32%;其中:

      钢结构行业收入 15,016.37 万元,较上年同期 13,302.08 万元,增长 12.89%,
  占营业收入的比重为 16.30%;

      能源行业收入 9,168.85 万元,较上年同期 31,375.06 万元,下降 70.78%,占
  营业收入的比重为 9.95%;

      大健康行业收入 67,919.63 万元,,较上年同期入 83,809.56 万元,下降
  18.96%,占营业收入的比重为 73.74%

        3、报告期现金流量情况:

      报告期末公司货币资金余额 10,825.25 万元(不含受限货币资金),现金及现
  金等价物净额减少 13,659.67 万元 ,其中:

      (1)经营活动产生的现金流量净额为 15,498.81 万元;

      (2)投资活动产生的现金流量净额为-36,961.11 万元;

      (3)筹资活动产生的现金流量净额为 7,802.64 万元。

    三、减值损失计提与核销情况

      报告期公司本年信用、资产减值损失合计-2,684.31 万元,其中:应收账款、
  其他应收款、合同资产计提减值损失 1142.03 万元;在建工程本期计提减值损失
  70.55万元;存货本期转回跌价损失53.08万元,商誉本期计提减值损失1,524.81
  万元。对利润产生了一定的影响。

      其他情况详见 2020 年审计报告。

                                          光正眼科医院集团股份有限公司
                                                    董事会

                                            
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