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首页 公告 深南电路:2020年度财务决算报告

深南电路:2020年度财务决算报告

公告日期:2021-03-13

深南电路:2020年度财务决算报告 PDF查看PDF原文

              2020 年度财务决算报告

    一、2020 年度公司财务报表的审计情况

  深南电路股份有限公司(以下简称“公司”)2020 年财务报表已经致同会
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。会计师
的审计意见是:深南电路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,公允反映了深南电路公司 2020 年 12 月 31 日合并及公司的财务状况以及

2020 年度合并及公司的经营成果和现金流量。

    二、主要财务数据和指标

                                                            单位:元

                            2020 年        2019 年    本年比上年    2018 年

                                                            增减

营业收入(元)                11,600,456,950.24    10,524,196,882.92      10.23%  7,602,141,701.41

归属于上市公司股东的净利    1,430,111,325.18    1,232,775,470.34      16.01%    697,252,358.02
润(元)

归属于上市公司股东的扣除    1,294,094,538.71    1,151,701,243.26      12.36%    647,335,618.09
非经常性损益的净利润(元)

经营活动产生的现金流量净    1,799,999,047.12    1,262,866,434.48      42.53%    879,133,564.83
额(元)

基本每股收益(元/股)                    3.00              2.62      14.50%            1.48

稀释每股收益(元/股)                    2.98              2.61      14.18%            1.48

加权平均净资产收益率                  23.86%            29.11%      -5.25%          20.38%

                            2020 年末      2019 年末    本年末比上  2018 年末
                                                          年末增减

总资产(元)                  14,007,819,588.20    12,219,367,752.05      14.64%  8,525,409,856.54

归属于上市公司股东的净资    7,441,079,748.97    5,000,803,881.38      48.80%  3,722,440,662.83
产(元)

    三、财务状况、经营成果和现金流量情况分析

  (一) 主要资产变动情况


                                                            单位:元

                          2020 年末                  2019 年末

      项目                        占总资产                  占总资产  同比变动
                      金额        比例        金额        比例

 流动资产:

 货币资金              506,884,874.33      3.62%    1,443,644,507.69      11.81%      -64.89%

 交易性金融资产        165,100,019.18      1.18%                                      /

 衍生金融资产              747,000.00      0.01%                                      /

 应收票据              222,224,375.62      1.59%      99,928,187.60      0.82%      122.38%

 应收账款            2,053,051,637.88      14.66%    2,091,660,219.81      17.12%        -1.85%

 应收款项融资          493,177,556.55      3.52%      619,024,397.56      5.07%      -20.33%

 预付款项                6,002,758.47      0.04%        3,190,104.25      0.03%        88.17%

 其他应收款            30,199,036.07      0.22%      21,450,862.01      0.18%        40.78%

 存货                  2,205,895,255.84      15.75%    1,504,293,117.26      12.31%      46.64%

 其他流动资产          257,591,734.88      1.84%      193,880,296.10      1.59%        32.86%

 流动资产合计        5,940,874,248.82      42.41%    5,977,071,692.28      48.91%        -0.61%

 非流动资产:

 长期股权投资            4,336,797.35      0.03%        4,688,309.78      0.04%        -7.50%

 其他权益工具投资      58,841,510.71      0.42%      37,367,813.75      0.31%      57.47%

 投资性房地产            6,074,673.98      0.04%        6,341,867.19      0.05%        -4.21%

 固定资产            6,485,406,145.15      46.30%    4,310,083,978.48      35.27%      50.47%

 在建工程              885,420,610.70      6.32%    1,147,394,593.37      9.39%      -22.83%

 无形资产              321,986,965.56      2.30%      296,829,021.79      2.43%        8.48%

 长期待摊费用          173,199,130.41      1.24%      123,522,248.02      1.01%        40.22%

 递延所得税资产        72,045,603.00      0.51%      67,558,225.99      0.55%        6.64%

 其他非流动资产        59,633,902.52      0.43%      248,510,001.40      2.03%      -76.00%

 非流动资产合计      8,066,945,339.38      57.59%    6,242,296,059.77      51.09%      29.23%

  资产总计          14,007,819,588.20    100.00%  12,219,367,752.05    100.00%        14.64%

报告期内:

  (1)货币资金:减少 64.89%,主要为可转换债券募集资金逐渐使用所致;
  (2)交易性金融资产:增加 1.65 亿元,主要为闲置募集资金现金管理所致;
  (3)应收票据:增加 122.38%,主要为重分类至应收款项融资金额减少所
致;

  (4)预付款项:增加 88.17%,主要为新增项目增加预付账款所致;

  (5)其他应收款:增加 40.78%,主要为押金保证金增加所致;

  (6)存货:增加 46.64%,主要为新工厂生产爬坡及原材料备库所致;

  (7)其他流动资产:增加 32.86%,主要为待抵扣进项税额增加所致;


      (8)其他权益工具投资:增加 57.47%,主要为对应投资的公允价值增加所
  致;

      (9)固定资产:增加 50.47%,主要为数通用高速高密度多层印制电路板投
  资项目(二期)建设及各工厂新增设备所致;

      (10)长期待摊费用:增加 40.22%,主要为厂房大修改造工程转入长期待
  摊费用所致;

      (11)其他非流动资产:减少 76.00%,主要为预付设备款减少所致。

      (二)负债变动情况

                                                              单位:元

                              2020 年末              2019 年末

                            金额      占总负      金额      占总负  同比变动
                                      债比例                债比例

流动负债:

 短期借款                  232,176,259.71    3.54%  157,784,871.67    2.19%      47.15%

 应付票据                  858,032,315.09    13.07%  765,305,733.68    10.61%      12.12%

 应付账款                1,515,105,748.48    23.08%  1,555,477,944.28    21.55%      -2.60%

 预收款项                    1,873,277.16    0.03%    46,325,061.14    0.64%    -95.96%

 合同负债                  97,276,338.02    1.48%                                  /

 应付职工薪酬            341,954,755.18    5.21%  396,898,440.50    5.50%    -13.84%

 应交税费                  21,843,020.72    0.33%    45,759,781.92    0.63%   
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