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永和智控:永和智控2020年度财务决算报告

公告日期:2021-04-30

永和智控:永和智控2020年度财务决算报告 PDF查看PDF原文

                                                                            2020 年度财务决算报告

                永和流体智控股份有限公司

                  2020年度财务决算报告

      公司 2020 年度财务报表已经立信会计师事务所(特殊普通合伙)审计,出
  具了标准无保留意见的审计报告。根据该《审计报告》并按照企业会计准则的规
  定,公司编制了 2020 年度的财务决算报告。

      一、主要财务数据和指标:

                                                            单位:元

        项目            本报告期末      上年度末        增减额        同比增减

总资产                  1,185,934,827.59  756,494,685.39    429,440,142.20    56.77%

归属于上市公司股东的所    639,140,711.44  608,222,991.42    30,917,720.02    5.08%
有者权益

                        年初至报告期末  上年初至上年报      增减额        同比增减
                                            告期末

营业收入                  647,691,188.74  592,058,026.89    55,633,161.85    9.40%

利润总额                  28,762,104.29    75,426,363.63    -46,664,259.34    -61.87%

归属于上市公司股东的净    12,924,662.58    60,199,518.00    -47,274,855.42    -78.53%
利润

经营活动产生的现金流量    56,472,415.67    73,571,356.00    -17,098,940.33    -23.24%
净额

股本(股)                200,000,000.00  200,000,000.00

每股收益(元/股)                  0.06            0.30            -0.24    -80.00%

每股净资产(元)                  3.20            3.04            0.15    5.08%

加权平均净资产收益率        2.07%          9.98%      下降 7.91 个百分    -79.26%
                                                                    点

      二、报告期内财务状况、经营成果情况分析

      1、资产负债表变化较大的主要项目分析

                                                                      单位:元

  报表项目        本期期末数    上期期末数  变动比率            变动原因


                                                                            2020 年度财务决算报告

 交易性金融资产      1,958,171.55  88,000,000.00  -97.77%  主要系理财产品本期到期赎回所
                                                          致。

  长期应收款        1,687,562.01                          系因本期分期收款销售商品所致。

其他权益工具投资    8,799,200.00                          系因本期不以交易为目的的股权投
                                                          资增加所致。

 投资性房地产      58,147,100.00                          系因本期收购成都山水上,合并增
                                                          加投资性房地产所致。

                                                          主要系本期收购达州医科肿瘤医
  固定资产      426,878,552.86  71,974,763.55  493.09%  院、成都山水上、昆明医科肿瘤医
                                                          院,合并增加固定资产,以及在建
                                                          工程完工转入所致。

  在建工程        7,331,078.85  60,674,830.00  -87.92%  主要系工程完工结转所致。

                                                          系因本期收购达州医科肿瘤医院、
    商誉        141,662,630.87  13,344,404.00  961.59%  昆明医科肿瘤医院,非同一控制下
                                                          合并形成商誉所致。

                                                          主要系本期收购达州医科肿瘤医
 长期待摊费用      18,835,869.95    1,535,513.21  1,126.68% 院、昆明医科肿瘤医院,合并增加
                                                          长期待摊费用所致。

 其他非流动资产      4,568,442.31  36,023,876.10  -87.32%  主要系期初预付股权收购款本期结
                                                          转所致。

  短期借款      284,933,986.25  20,000,000.00 1,324.67% 系因本期新借入银行流动资金借款
                                                          所致。

  预收款项                        652,410.84  -100.00%  系因本期执行新收入准则所致。

  合同负债        3,002,920.55                          系因本期执行新收入准则所致。

  应交税费        12,794,824.82    9,289,554.64  37.73%  主要系期末应交企业所得税增加所
                                                          致。

一年内到期的非流    44,203,194.45                          系因期末一年内到期的长期借款增
    动负债                                              加所致。

  长期借款        66,000,000.00                          系因本期新借入银行并购贷款所
                                                          致。

 递延所得税负债    10,527,435.90    163,942.22 6,321.43% 系因本期收购成都山水上,合并增
                                                          加递延所得税负债所致。

 其他综合收益      -1,318,559.69    -60,813.48  2,068.20% 主要系本期其他权益工具投资公允
                                                          价值变动所致。

 少数股东权益      1,833,901.69                          主要系本期收购达州医科肿瘤医
                                                          院,合并增加少数股东权益所致。

        2、经营情况分析

      (1)经营成果


                                                                          2020 年度财务决算报告

                                                                      单位:元

  项目      年初至报告期末  上年初至上年  同比增减          变动原因

                                  报告期末

 营业收入      647,691,188.74  592,058,026.89  9.40%

                                                        主要系公司经营规模扩大,本期
 利润总额        28,762,104.29  75,426,363.63  -61.87%  医疗产业所属公司管理费用增
                                                        加、银行借款利息费用增加,以
                                                        及外币汇兑损失增加所致。

  净利润        13,104,132.77  60,199,518.00  -78.23%  同利润总额变动原因一致。

      (2)期间费用

                                                                    单位:元

  项目      年初至报告期末  上年初至上年  同比增减          变动原因

                                  报告期末

  销售费用        27,124,811.94    32,133,309.41  -15.59%

                             
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