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首页 公告 亿纬锂能:2020年度财务决算报告

亿纬锂能:2020年度财务决算报告

公告日期:2021-04-20

亿纬锂能:2020年度财务决算报告 PDF查看PDF原文

        证券代码:300014            证券简称:亿纬锂能            公告编号:2021-057

                      惠州亿纬锂能股份有限公司

                        2020 年度财务决算报告

              公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记

          载、误导性陈述或重大遗漏。

            在惠州亿纬锂能股份有限公司(以下简称“公司”)董事会及管理层的领导及全

        体员工的一致努力下,2020 年公司经营正常开展,现将 2020 年财务情况汇报如下:

            一、2020 年度公司财务报表的审计情况

            公司 2020 年财务报表已经容诚会计师事务所(特殊普通合伙)审计,出具了容诚

        审字[2021]201Z0008 号标准无保留意见的审计报告。

            二、财务状况

            1、资产构成情况

                                                                                                单位:元

    项目    2020 年 12 月 31 日 2019 年 12 月 31 日    增减金额    变动幅度            变动原因

                                                                        ①报告期内,公司向特定对象发行股
货币资金      3,803,675,168.19  2,097,325,100.79  1,706,350,067.40  81.36% 票募集资金到位,带来货币资金的增
                                                                        加;②公司业务增长,现金流入增加,
                                                                        带来货币资金的增加。

交易性金融资产 1,074,665,800.00  1,140,000,000.00  -65,334,200.00  -5.73%

                                                                        随着票据陆续到期,期末已背书的信
应收票据        567,420,235.74  1,244,070,371.13  -676,650,135.39  -54.39% 用等级不高的银行承兑的汇票和商业
                                                                        承兑汇票金额低于期初,带来确认的
                                                                        应收票据和其他流动负债的减少。

应收账款      2,975,751,283.81  2,094,087,448.63  881,663,835.18  42.10% 随着公司经营规模的扩大,应收账款
                                                                        增加。

                                                                        报告期末未到期由信用等级较高的银
应收款项融资    438,217,607.36    321,940,639.07  116,276,968.29  36.12% 行承兑的汇票多于期初,带来重分类
                                                                        为应收款项融资的应收票据金额增

                                                                        加。

预付款项        468,974,533.21      75,703,007.42  393,271,525.79  519.49% ①子公司湖北亿纬动力有限公司预付
                                                                        股权回购款;②子公司预付部分货款。


其他应收款        60,488,103.08      50,714,599.46    9,773,503.62  19.27%

存货          1,714,205,853.85  1,129,723,669.83  584,482,184.02  51.74% 随着公司经营规模的扩大,存货增
                                                                        加。

                                                                        公司自 2020 年 1 月 1 日起执行新收
合同资产          42,795,828.71            0.00    42,795,828.71        - 入准则,部分应收款项重分类为合同
                                                                        资产。

其他流动资产    195,608,173.28    148,820,205.30    46,787,967.98  31.44% 公司及子公司持续投入产线建设带来
                                                                        增值税进项税额的增加。

                                                                        ①按持股比例确认联营企业思摩尔国
                                                                        际控股有限公司除净损益、其他综合
                                                                        收益以及利润分配以外的所有者权益
长期股权投资  4,809,623,090.27    727,966,756.57  4,081,656,333.70  560.69% 的其他变动,带来长期股权投资的增
                                                                        加;②报告期内,权益法核算的联营
                                                                        企业思摩尔国际控股有限公司盈利,
                                                                        带来长期股权投资的增加。

其他权益工具投  170,656,794.98    159,156,794.98    11,500,000.00    7.23%



                                                                        报告期内,公司及子公司投资的设备
固定资产      6,322,281,820.88  4,022,061,269.23  2,300,220,551.65  57.19% 验收合格,达到可使用状态,转化为
                                                                        可使用的固定资产,带来固定资产的
                                                                        增加。

在建工程      1,386,308,747.16    970,594,022.98  415,714,724.18  42.83% 子公司采购的设备陆续到货,带来在
                                                                        建工程金额的增加。

无形资产        405,663,663.95    377,520,317.25    28,143,346.70    7.45%

开发支出          55,893,796.68      47,670,570.31    8,223,226.37  17.25%

商誉              65,798,821.25      65,798,821.25            0.00    0.00%

长期待摊费用    172,842,004.98      49,361,002.40  123,481,002.58  250.16% 子公司装修改造工程完成,从在建工
                                                                        程转入长期待摊费用。

                                                                        报告期内,公司及子公司将适用财税
                                                                        〔2018〕54 号文规定的单位价值 500
递延所得税资产  265,744,331.81    192,101,091.65    73,643,240.16  38.34% 万元以下的设备、器具,当期成本费
                                                                        用在计算应纳税所得额时扣除,当期
                                                                        产生可抵扣暂时性差异,带来递延所
                                                                        得税资产的增加。

                                                                        公司及子公司采购的设备陆续到货,
其他非流动
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