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上海凯宝:2020年度财务决算报告

公告日期:2021-04-23

上海凯宝:2020年度财务决算报告 PDF查看PDF原文

            上海凯宝药业股份有限公司

              2020 年度财务决算报告

    2020 年,面对医药行业的新机遇与新挑战,公司紧紧围绕年度经营计划及目标,
扎实推进各项业务并积极拓展大健康领域,努力实现多元化发展。报告期内,营业
收入 9.08 亿元,较去年同期下降 36.01%,归属于母公司股东的净利润 1.06 亿元,
较去年同期下降 57.72%。公司对内抓落实,积极开展节能降耗、增收节支活动;对外加大销售力度,努力拓展销售市场,不断提升公司的核心竞争力。现将 2020 年度财务决算报告如下:

    一、2020 年度财务报表审计情况

    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(信会师报字[2021]第 11749 号),立信会计师事务所认为:公司的财务报表已经按照企业会计准则以及有关规定编制,在所有重大方面公允地
反映了公司 2020 年 12 月 31 日的财务状况以及 2020 年度经营成果和现金流量。

    二、2020 年度财务决算情况

    (一)经营利润情况

                                                                                单位:元

            项目                    2020 年度              2019 年度          同比变动

营业收入                                908,008,861.43          1,419,026,170.35      -36.01%

营业成本                                179,850,579.87          251,211,907.25      -28.41%

税金及附加                                8,199,170.12            11,243,162.29      -27.07%

销售费用                                514,247,464.70          747,651,071.83      -31.22%

管理费用                                69,202,374.02            83,966,115.89      -17.58%

研发费用                                59,118,892.81            54,563,083.16      8.35%

财务费用                                -38,821,123.79            -20,244,448.58      91.76%

其他收益                                17,395,107.94            13,044,510.49      33.35%

投资收益                                11,335,053.84            13,971,338.47      -18.87%

公允价值变动收益                        -11,934,778.93            -17,667,098.72      -32.45%

信用减值损失                              2,176,322.22            2,691,393.62      -19.14%

资产减值损失                              -698,886.93              -804,670.69      -13.15%

资产处置收益                                -66,120.83              -30,152.44    119.29%

营业利润                                134,418,201.01          301,840,599.24      -55.47%

营业外收入                                  2,000.00              331,076.67      -99.40%

营业外支出                                2,815,903.16              965,129.15    191.76%

利润总额                                131,604,297.85          301,206,546.76      -56.31%

所得税费用                              25,481,551.25            50,220,094.63      -49.26%

净利润                                  106,122,746.60          250,986,452.13      -57.72%

综合收益总额                            113,432,746.60          297,396,452.13      -61.86%

    1.本报告期,营业收入较去年同期下降36.01%,主要是医药市场变化销售收入减少所致;

    2.本报告期,销售费用较去年同期下降31.22%,主要是收到疫情影响销售活动减少所致;

    3.本报告期,财务费用较去年同期上升91.76%,主要是公司银行存款利息收入增加所致;

    4.本报告期,其他收益较去年同期增加33.35%,主要是日常活动相关的政府补助所致;

    5.本报告期,公允价值变动收益较去年同期下降32.45%,主要是二级市场股票基金公允价值变动所致;

    6.本报告期,资产处置收益较去年同期上升119.29%,主要是设备处置损失所致;
    7.本报告期,营业利润较去年同期下降55.47%,主要是营业收入减少所致;

    8.本报告期,营业外收入较去年同期下降99.40%,主要是收到的非日常相关的政府补贴减少所致;

    9.本报告期,营业外支出较去年同期上升191.76%,主要是疫情期间对外捐赠支出增加所致;

    10.利润总额较去年同期下降56.31%,主要是营业收入减少所致;

    11.所得税费用较去年同期下降49.26%,主要是公司销售收入下降影响所得税减
少所致;

    12.净利润较去年同期下降57.72%,主要是公司受疫情影响销售收入下降所致;
    13.综合收益总额较去年同期下降61.86%,主要是净利润下降及公司投资谊众生物公允价值变动影响所致。

    (二)资产情况

                                                                                单位:元

            资产                    期末余额            上年年末余额        同比变动

 流动资产:

  货币资金                          1,307,082,118.06      809,522,584.26          61.46%

  交易性金融资产                      114,647,286.37        485,566,410.6          -76.39%

  以公允价值计量且其变动计
 入当期损益的金融资产

  应收票据                            209,205,673.27      264,478,101.59          -20.91%

  应收账款                            319,556,080.91      424,259,963.07          -24.68%

  预付款项                              7,493,587.72        3,801,603.61          97.12%

  其他应收款                            32,324,524.78        11,095,407.13          191.33%

  存货                                191,538,604.78      190,007,659.33          0.81%

  一年内到期的非流动资产                36,127,000.00        53,698,986.27          -32.72%

  其他流动资产                          1,887,773.21        21,249,421.00          -91.12%

 流动资产合计                        2,219,862,649.10      2,263,680,136.86          -1.94%

 非流动资产:

  债权投资                              20,446,293.70

  其他权益工具投资                    248,190,000.00      188,200,000.00          31.88%

  其他非流动金融资产                    11,602,147.97        10,552,902.12          9.94%

  固定资产                            293,874,731.98      320,952,683.84          -8.44%

  在建工程                              1,991,718.20        5,857,264.92          -66.00%

  无形资产                              45,263,283.47        41,333,122.65          9.51%

  商誉                                18,499,766.85

  长期待摊费用                                                213,226.92        -100.00%

  递延所得税资产                        17,553,609.64        11,709,957.77          49.90%

 非流动资产合计                        657,421,551.81      578,819,158.22          13.58%

 资产总计                            2,877,284,200.91      2,842,499,295.08          1
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