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天晟新材:2020年财务决算报告

公告日期:2021-04-27

天晟新材:2020年财务决算报告 PDF查看PDF原文

              常州天晟新材料股份有限公司

                2020年度财务决算报告

    一、会计师对公司2020年度财务报告的审计意见

  公司2020年度财务报告经北京兴华会计师事务所(特殊普通合伙)审计,并出
具了标准无保留意见审计报告。

    二、2020年经营完成情况及说明

    (一)主要会计数据

                                                                          单位:元

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

营业收入(元)              893,503,343.74  893,508,335.61          0.00%  904,549,750.64

归属于上市公司股东的净利  -284,696,789.06  -288,775,261.40          1.41%    16,193,787.58
润(元)

归属于上市公司股东的扣除  -300,748,584.77  -288,352,555.02          -4.30%      3,983,219.38
非经常性损益的净利润(元)

经营活动产生的现金流量净    -5,204,347.46    -23,953,757.95          78.27%    7,445,143.22
额(元)

基本每股收益(元/股)                -0.87            -0.89          2.25%            0.05

稀释每股收益(元/股)                -0.87            -0.89          2.25%            0.05

加权平均净资产收益率              -37.24%        -27.41%          -9.83%          1.36%

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

                                                                减

资产总额(元)            1,729,466,473.59  1,822,544,072.89          -5.11%  2,068,868,771.92

归属于上市公司股东的净资    619,022,209.27  906,837,725.43        -31.74%  1,198,083,723.02
产(元)

    (1)2020年度实现营业收入89,350.33万元,同比变化0.00%;


        (2)2020年度实现营业利润-29,776.50万元,同比下降9.20%;

        (3)2020年度归属于上市公司股东的净利润-28,469.68万元,同比上升1.41%。
      (二)报告期内公司资产负债构成情况

                                                                            单位:元

                            2020 年末                    2019 年末

    资产项目                          占本期总                    占本期总  变动幅度
                          金额        资产比重        金额        资产比重

  货币资金              116,745,728.46    6.75%      250,674,790.77    13.75%    -53.43%

  交易性金融资产            3,962.36    0.00%                  -          -    100.00%

  应收票据              87,977,896.66    5.09%                  -          -    100.00%

  应收账款              679,832,216.84    39.31%      426,887,210.15    23.42%    59.25%

  应收款项融资          19,598,309.35    1.13%        46,808,680.5    2.57%    -58.13%

  预付款项              26,302,259.31    1.52%      22,647,892.86    1.24%    16.14%

  其他应收款            10,745,048.26    0.62%        7,152,285.80    0.39%    50.23%

  存货                  171,941,180.24    9.94%      303,037,911.73    16.63%    -43.26%

  合同资产              13,873,731.10    0.80%                  -          -    100.00%

  其他流动资产          10,701,967.21    0.62%      19,001,873.43    1.04%    -43.68%

  长期股权投资            6,239,727.78    0.36%        7,832,129.87    0.43%    -20.33%

  其他非流动金融资        2,000,000.00    0.12%        2,000,000.00    0.11%      0.00%


  固定资产              379,254,479.04    21.93%      352,925,059.70    19.36%      7.46%

  在建工程                          -          -        501,722.49    0.03%    -100.00%

  无形资产              138,932,181.02    8.03%      156,152,822.99    8.57%    -11.03%

  商誉                  28,712,569.10    1.66%      192,541,367.77    10.56%    -85.09%

  长期待摊费用          17,618,024.69    1.02%      23,027,209.88    1.26%    -23.49%

  递延所得税资产        17,081,630.17    0.99%        9,933,926.92    0.55%    71.95%

  其他非流动资产          1,905,562.00    0.11%        1,419,188.03    0.08%    34.27%

  资产总计            1,729,466,473.59  100.00%    1,822,544,072.89  100.00%      -5.11%
(1)货币资金报告期末比期初下降 53.43%,主要系银行存款同比下降所致;
(2)交易性金融资产报告期末比期初上升 100.00%,主要系特殊理财业务所致;
(3)应收票据报告期末比期初上升 100.00%,主要系核算口径差异所致;
(4)应收账款报告期末比期初上升 59.25%,主要系应收账款增加所致;
(5)应收款项融资报告期末比期初下降 58.13%,主要系银行承兑汇票减少所致;(6)其他应收款报告期末比期初上升 50.23%,主要系往来款增加所致;
(7)存货报告期末比期初下降 43.26%,主要系存货跌价准备计提所致;
(8)合同资产报告期末比期初上升 100.00%,主要系会计政策变更所致;
(9)其他流动资产报告期末比期初下降 43.68%,主要系定期存款减少所致;
(10)在建工程报告期末比期初下降 100.00%,主要系在建工程转入固定资产所致;(11)商誉报告期末比期初下降 85.09%,主要系商誉减值准备计提所致;
(12)递延所得税资产报告期末比期初上升 71.95%,主要系资产减值准备计提所致;(13)其他非流动资产报告期末比期初上升 34.27%,主要系预付设备款增加所致。
                                                                          单位:元

                          2020 年末                  2019 年末

  负债项目                      占本期总                  占本期总  变动幅度
                      金额      负债比重        金额      负债比重

短期借款          469,946,359.56  42.29%    524,381,199.65  57.27%      -10.38%

应付票据            59,234,516.25    5.33%      53,996,251.83  5.90%        9.70%

应付账款          418,037,600.65  37.62%    149,980,869.99  16.38%      178.73%

预收款项                      -      -        7,745,635.18  0.85%      -100.00%

合同负债            3,950,483.93    0.36%                  -    -        100.00%

应付职工薪酬        13,028,290.34    1.17%      12,306,949.10  1.34%        5.86%

应交税费            6,875,673.62    0.62%        9,520,403.15  1.04%      -27.78%

其他应付款          48,413,897.79    4.36%      50,943,504.41  5.56%        -4.97%

一年内到期的非      65,567,172.91    5.90%      11,000,000.00  1.20%      496.07%
流动负债

其他流动负债          364,084.
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