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岭南股份:2020年度财务决算报告

公告日期:2021-04-29

岭南股份:2020年度财务决算报告 PDF查看PDF原文

          岭南生态文旅股份有限公司

              2020 年度财务决算报告

    公司 2020 年财务报表及相关报表附注已经华兴会计师事务所(特殊普通合
伙)审计,出具了华兴审字[2021]20000110013 号标准无保留意见的审计报告,现将决算情况报告如下:
一、主要财务数据和指标

                                                      单位:人民币元

        项目                2020年            2019年      本年比上年增减

    营业收入(元)          6,651,284,618.54    7,956,638,205.58          -16.41%

归属于上市公司股东的净      -460,117,239.98      327,673,190.45        -240.42%
      利润(元)

归属于上市公司股东的扣

除非经常性损益的净利润      -503,346,029.88      324,486,990.97        -255.12%
        (元)

经营活动产生的现金流量      651,604,328.11    1,269,509,898.97          -48.67%
      净额(元)

 基本每股收益(元/股)                -0.30              0.21        -242.86%

 稀释每股收益(元/股)                -0.28              0.20        -240.00%

 加权平均净资产收益率              -10.02%            7.04%  下降17.06个百分
                                                                          点

                            2020 年末          2019 年末      本年末比上年末
                                                                  增减

    总资产(元)          19,590,566,114.40  19,545,770,109.79          0.23%

归属于上市公司股东的净      4,459,109,062.94    4,880,965,853.95          -8.64%
      资产(元)

注:上述数据以合并报表数据填列。
二、财务状况分析

    公司 2020 年度相关财务状况分析如下,年初指 2020 年 1 月 1 日:

 (一)财务状况分析
 1、资产结构

                                                        单位:人民币元

    项目            年末余额          年初余额          变动额      增减幅
                                                                        度

  货币资金        2,654,361,625.63    2,606,692,546.07    47,669,079.56    1.83%

  应收票据            5,194,532.71        8,713,834.54    -3,519,301.83  -40.39%

  应收账款        1,802,951,617.71    1,681,207,454.65  121,744,163.06    7.24%

 应收款项融资          2,119,200.00        7,010,000.00    -4,890,800.00  -69.77%

  预付款项            92,518,827.40      51,047,593.82    41,471,233.58  81.24%

  其他应收款          366,186,089.80      290,851,264.83    75,334,824.97  25.90%

    存货            278,715,676.05      301,384,233.59    -22,668,557.54  -7.52%

  合同资产        6,994,940,153.31    6,945,105,784.55    49,834,368.76    0.72%

 持有待售资产        153,760,770.61      70,629,673.89    83,131,096.72  117.70%

一年内到期的非        525,595,322.94      326,570,304.81  199,025,018.13  60.94%
  流动资产

 其他流动资产        172,281,340.12      113,384,973.17    58,896,366.95  51.94%

 流动资产合计      13,048,625,156.28    12,402,597,663.92  646,027,492.36  5.21%

  长期应收款        2,082,399,768.65    2,556,961,437.39  -474,561,668.74  -18.56%

 长期股权投资      2,624,417,493.23    2,230,728,805.75  393,688,687.48  17.65%

其他权益工具投        186,290,000.00      153,290,000.00    33,000,000.00  21.53%
    资

其他非流动金融        32,619,624.70      33,236,385.67      -616,760.97  -1.86%
    资产

  固定资产          424,887,632.05      446,990,244.51    -22,102,612.46  -4.94%

  在建工程            12,774,771.23        9,083,535.14    3,691,236.09  40.64%

  无形资产            27,886,800.70      32,017,204.77    -4,130,404.07  -12.90%

    商誉            866,737,121.28    1,094,144,313.05  -227,407,191.77  -20.78%

 长期待摊费用          64,937,179.34      86,562,518.12    -21,625,338.78  -24.98%

递延所得税资产        207,376,747.72      144,603,808.61    62,772,939.11  43.41%

其他非流动资产        11,613,819.22        8,975,870.83    2,637,948.39  29.39%

非流动资产合计      6,541,940,958.12    6,796,594,123.84  -254,653,165.72  -3.75%

  资产总计        19,590,566,114.40    19,199,191,787.76  391,374,326.64  2.04%

    2020 年末,公司资产总额为 1,959,056.61 万元,比年初增长 2.04%,其中:
 流动资产为 1,304,862.52 万元,比年初增长 5.21%,非流动资产为 654,194.10
 万元,比年初减少 3.75%,资产变动的主要原因是:

    (1)应收票据为 519.45 万元,较年初减少 40.39%,主要系期末票据结算减
少所致。

    (2)应收款项融资为 211.92 万元,较年初减少 69.77%,主要系收到的银行
承兑汇票到期所致。

    (3)预付款项为 9,251.88 万元,较年初增加 81.24%,主要系预付供应商款
项增加所致。

    (4)持有待售资产为 15,376.08 万元,较年初增加 117.70%,主要系将预计
于 2021 年转让的子公司资产和负债划分为持有待售类别所致。

    (5)一年内到期的非流动资为 52,559.53 万元,较年初增加 60.94%,主要系
一年内到期的分期收款项目工程款增加所致。

    (6)在建工程为 1,277.48 万元,较年初增加 40.64%,主要系在建工程项目
投入增加所致。

    (7)递延所得税资产为 20,737.67 万元,较年初增加 43.41%,主要系确认资
产减值损失及可抵扣亏损递延所得税资产增加所致。
2、负债结构

                                                      单位:人民币元

    项目          年末余额        年初余额          变动额      增减幅度

  短期借款      2,272,061,396.60  2,583,544,352.00  -311,482,955.40  -12.06%

  应付票据        414,812,885.82    638,472,823.63  -223,659,937.81  -35.03%

  应付账款      7,432,255,495.22  7,229,922,020.53    202,333,474.69    2.80%

  预收款项            346,305.84                          346,305.8    不适用

  合同负债        676,323,184.14    518,583,354.83    157,739,829.3    30.42%

 应付职工薪酬      58,322,678.43      86,433,997.43    -28,111,319.00  -32.52%

  应交税费        630,108,980.34    717,221,321.74    -87,112,341.40  -12.15%

  其他应付款      439,191,976.46    197,946,182.82    241,245,793.64  121.87%

 持有待售负债      102,020,194.75      18,960,213.38    83,059,981.37  438.08%

 一年内到期的非    493,693,633.25    566,513,824.77    -72,820,191.52  -12.85%
  流动负债

 其他流动负债      139,083,978.37      34,820,744.10    104,263,234.3  299.43%

 流动负债合计    12,658,220,709.22  12,592,
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