联系客服

002595 深市 豪迈科技


首页 公告 豪迈科技:2020年财务决算报告

豪迈科技:2020年财务决算报告

公告日期:2021-03-31

豪迈科技:2020年财务决算报告 PDF查看PDF原文

                                                          山东豪迈机械科技股份有限公司 2020 年度财务决算报告

                山东豪迈机械科技股份有限公司

                  2020 年度财务决算报告

    一、2020 年度公司财务报表的审计情况

    公司 2020 年财务报表已经信永中和会计师事务所(特殊普通合伙)审计,并出具了
XYZH/2021JNAA30113 号标准无保留意见的审计报告。

    二、关于资产、负债、股东权益情况

    报告期内公司总资产 6,972,147,328.88 元,同比增长 2.66%;总负债 1,196,481,839.53 元,
同比减少 34.78%;归属于母公司股东权益合计 5,769,854,730.45 元,同比增长 16.54%。

    三、财务状况分析

    公司 2020 年度相关财务状况分析如下:

    (一)财务状况分析

    1、资产结构

                                                                                              单位:人民币元

        资产项目                  2020 年 12 月 31 日                  2020 年 01 月 01 日          变动幅度

                                    金额            比重            金额            比重

    货币资金                      293,462,662. 16      4.21%      480,952,249. 79        7.08%      -38.98%

    应收票据                        80,648,642.88      1.16%      106,895,182. 51        1.58%      -24.55%

    衍生金融资产                      141,680.00      0.00%

    应收账款                      1,553,811,569.43      22.29%    1,456,409,479.88        21.44%      6.69%

    应收款项融资                  720,640,360. 77      10.34%      523,162,640. 11        7.70%      37.75%

    预付款项                      120,612,760. 40      1.73%      48,997,053.04        0.72%      146.16%

    其他应收款                      8,562,315. 43      0.12%      14,864,671.47        0.22%      -42.40%

    存货                          943,328,033. 94      13.53%      863,358,200. 85        12.71%      9.26%

    一年内到期的非流动资产                            0.00%      380,000,000. 00        5.60%    -100.00%

    其他流动资产                  457,182,459. 72      6.56%      260,904,291. 68        3.84%      75.23%

    流动资产合计                  4,178,390,484.73      59.94%    4,135,543,769.33        60.89%      1.04%

    长期股权投资                  419,239,042. 92      6.01%      298,904,687. 16        4.40%      40.26%

    其他权益工具投资                10,144,925.00      0.15%

    投资性房地产                    17,939,189.58      0.26%      18,501,346.19        0.27%      -3.04%

    固定资产                      1,957,423,107.56      28.07%    1,750,337,432.45        25.77%      11.83%

    在建工程                        50,180,116. 46      0.72%      229,153,424. 15        3.38%      -78.10%

    无形资产                      295,834,417. 02      4.24%      303,643,682. 54        4.47%      -2.57%

    递延所得税资产                  1,642,188. 48      0.02%        2,305,512. 70        0.03%      -28.77%

    其他非流动资产                  41,353,857.13      0.59%      53,376,666.81        0.79%      -22.52%

    非流动资产合计                2,793,756,844.15      40.06%    2,656,222,752.00        39. 11%        5.18%

    资产总计                      6,972,147,328.88    100.00%    6,791,766,521.33      100. 00%        2.66%


                                                          山东豪迈机械科技股份有限公司 2020 年度财务决算报告

    报告期内,货币资金年末金额较年初减少 187,489,587.63 元,降幅为 38.98%,主要是报
告期偿还银行借款使得银行存款和其他货币资金减少所致。衍生金融资产年末金额较年初增加141,680.00 元,期初无余额,主要是报告期为规避外汇风险而开展的远期结售汇业务所致。应收款项融资年末金额较年初增加 197,477,720.66 元,增幅为 37.75%,主要是报告期末银行承兑汇票增加所致。预付款项年末金额较年初增加 71,615,707.36 元,增幅为 146.16%,主要是报告期末预付的材料款增加所致。其他应收款年末金额较年初减少 6,302,356.04 元,降幅为 42.40%,主要是报告期末应收利息减少所致。一年内到期的非流动资产年末金额较年初减少
380,000,000.00 元,降幅为 100%,主要是年初委托贷款已于 2020 年 11 月 24 日收回所致。其
他流动资产年末金额较年初增加 196,278,168.04 元,增幅为 75.23%。长期股权投资年末金额较年初增加 120,334,355.76 元,增幅为 40.26%,主要是报告期济南豪迈动力其他综合收益增多所致。其他权益工具投资年末金额较年初增加 10,144,925.00 元,期初无余额,主要是报告期新增对北京金橙子科技股份有限公司投资所致。在建工程年末金额较年初减少 178,973,307.69 元,降幅为 78.10%,主要是报告期达到预定可使用状态的设备和房屋转固所致。

    2、负债结构

                                                                                              单位:人民币元

          负债项目                2020 年 12 月 31 日                2020 年 01 月 01 日          变动幅度

                                      金额            比重            金额          比重

    短期借款                        370,141,153.01  30.94%          974,954,311.29  53.14%      -62.04%

    应付账款                        283,849,893.36  23.72%          300,656,401.58  16.39%      -5.59%

    合同负债                        56,096,664.67    4.69%          129,067,659.21    7.04%      -56.54%

    应付职工薪酬                    318,501,585.91  26.62%          259,699,548.69  14.15%      22.64%

    应交税费                        49,704,034.22    4.15%          49,276,142.46    2.69%        0.87%

    其他应付款                        8,814,629.91    0.74%          16,695,508.47    0.91%      -47.20%

    一年内到期的非流动负债            4,529,949.68    0.38%                          0.00%

    其他流动负债                      1,813,049.68    0.15%            8,075,566.17    0.44%      -77.55%

    流动负债合计                  1,093,450,960.44  91.39%        1,738,425,137.87  94.76%      -37.10%

    长期借款                          2,256,855.11    0.19%          18,106,834.44    0.98%      -87.54%

    预计负债                        41,816,242.22    3.49%          32,405,119.45    1.77%      29.04%

    递延收益                        18,105,799.95    1.51% 
[点击查看PDF原文]