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中创环保:2020年度财务决算报告

公告日期:2021-02-27

中创环保:2020年度财务决算报告 PDF查看PDF原文

 证券代码:300056          证券简称:中创环保      公告编号:2021-026
              厦门中创环保科技股份有限公司

            2020 年度财务决算报告

    厦门中创环保科技股份有限公司〔简称“公司”〕2020 年财务报表已经大华
 会计师事务所(特殊普通合伙)审计,会计师事务所出具了大会审字[2021]001004 号“标准的无保留意见”的年度审计报告。会计师的审计意见是:公司财务报表
 已经按照企业会计准则规定编制,在所有重大方面公允反映了公司 2020 年 12 月
 31 日的财务状况以及 2020 年度的经营成果和现金流量。

    现将财务决算情况汇报如下:

    一、主要会计数据

                                                            单位:万元

            项目                2020 年    2019 年    本年比上年增减

营业收入                              182,438.87    147,573.91          23.63%

利润总额                              4,704.25    -1,663.91          382.72%

归属于上市公司股东的净利润            2,093.59    -2,012.57          204.03%

归属于上市公司股东的扣除非经常性    -5,166.72      361.62        -1,528.79%

损益的净利润

经营活动产生的现金流量净额          -16,615.31    19,572.53        -184.89%

            项目              2020 年末  2019 年末  本年比上年增减

总资产                                161,980.08    190,321.56        -14.89%

归属于上市公司股东的所有者权益      97,083.67    94,833.04          2.37%

股本                                38,549.04    38,549.04          0.00%


      二、主要财务指标

          项目              2020 年    2019 年  本年比上年增减  2018 年

基本每股收益(元/股)                  0.0550    -0.0524            204.96%      -1.11

稀释每股收益(元/股)                  0.0550    -0.0524            204.96%      -1.11

扣除非经常性损益后的基本每股收      -0.1358      0.0094          -1544.68%      -1.14
益(元/股)

加权平均净资产收益率                  2.18%      -2.09%              4.27%    -36.21%

扣除非经常性损益后的加权平均净      -5.39%      0.38%            -5.77%    -37.21%
资产收益率

每股经营活动产生的现金流量净额        -0.43        0.51          -184.31%        0.06
(元/股)

          项目            2020 年末  2019 年末  本年比上年增减  2018 年末

归属于上市公司股东的每股净资产        2.52        2.46              2.44%        2.52
(元/股)

      三、财务状况分析

      ㈠资产状况分析

                                                            单位:万元

                          2020 年末              2019 年末          本年

        项目                                                    比上年增
                      金额      比例      金额      比例      减

    货币资金            24,746.24      15.28%      32,153.88      16.89%      -23.04%

    交易性金融资产      3,144.82      1.94%                                100.00%

    应收账款            23,248.77      14.35%      25,902.73      13.61%      -10.25%

    应收款项融资        4,916.62      3.04%      13,678.26      7.19%      -64.06%

    预付款项            3,846.08        2.37%      13,623.09      7.16%      -71.77%

    其他应收款          9,394.52      5.80%      4,378.47      2.30%      114.56%

    存货                31,573.13      19.49%      18,536.30      9.74%      70.33%

    其他流动资产        553.07        0.34%        521.52        0.27%      6.05%

    长期股权投资        3986.22        2.46%                                100.00%

    其他权益工具投      856.86        0.53%        847.27        0.45%      1.13%

    资

    投资性房地产        1,479.18        0.91%      1,587.70      0.83%      -6.84%


  固定资产            21,994.63      13.58%      39,994.46      21.01%      -45.01%

  在建工程              329.22        0.20%        88.59        0.05%      271.62%

  无形资产            2,389.43      1.48%      4,909.70      2.58%      -51.33%

  商誉                27,676.78      17.09%      33,474.01      17.59%      -17.32%

  长期待摊费用        249.77        0.15%        38.24        0.02%      553.16%

  递延所得税资产      351.52        0.22%        503.15        0.26%      -30.14%

  其他非流动资产        154.5        0.10%        84.18        0.04%      83.54%

  资产总计            161,980.08    100.00%    190,321.56    100.00%    -14.89%

    报告期内,交易性金融资产比上年末增加 100.00%,主要是本期购买理财产
 品和私募基金所致;应收款项融资比上年末减少 64.06%,预付款项比上年末减少 71.77%,主要是报告期末剥离贸易业务所致;其他应收款比上年末增加 114.56%, 主要是期末确认江西祥盛业绩承诺补偿款所致;存货比上年末增加 70.33%,主要 是公司工程项目期末未达到验收条件,合同履约成本增加所致;固定资产比上年 末减少 45.01%,无形资产比上年末减少 51.33%,主要是处置文安众鑫所致;在 建工程比上年末增加 271.62%,主要是本期中创瑞平新建水泥窑协同处置固体废 物项目,期末在建工程余额增加所致;长期待摊费用比上年末增加 553.16%,主 要是本期北京办公室发生装修费用所致。

    ㈡负债状况分析

                                                            单位:万元

                      2020 年末                2019 年末        本年比

    项目          金额        比例        金额        比例    上年增
                                                                  减

短期借款            16,921.40        34.61%      28,156.15        34.32%    -39.90%

应付票据              100          0.20%        215.02          0.26%      -53.49%

应付账款            14,048.23        28.73%      16,203.17        19.75%    -13.30%

预收款项              32.99          0.07%          35.74          0.04%      -7.69%

合同负债            4,629.35        9.47%        15,659.30        19.09%    -70.44%

应付职工薪酬        2,405.18        4.92%        2,388.25        2.91%      0.71%

应交税费            1,624.59        3.32%        1,742.72        2.12%      -6.78%

其他应付款          1,183.43        2.42%        4,128.65        5.03%      -71.34%

一年内到期的非      2,111.58        4.32%        3,256.62        3.97%      -35.16%
流动负债

其他流动负债          671.02          1.37%        3,358.83        4.09%      -80.02%

长期借款            2,435.6
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