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首页 公告 高盟新材:2020年度财务决算报告

高盟新材:2020年度财务决算报告

公告日期:2021-04-14

高盟新材:2020年度财务决算报告 PDF查看PDF原文

              北京高盟新材料股份有限公司

                2020 年度财务决算报告

      一、2020 年度财务报表

      1、资产负债表

  编制单位:北京高盟新材料股份有限公司      2020 年 12 月 31 日      单位:人民币 元

          项      目              2020 年 12 月 31 日      2019 年 12 月 31 日            增长额

流动资产:

货币资金                                215,967,612.21            78,970,370.98            136,997,241.23

交易性金融资产                          565,398,301.26            523,329,803.87            42,068,497.39

应收账款                                175,467,592.25            168,883,206.93              6,584,385.32

应收款项融资                            30,049,628.67            50,827,641.31            -20,778,012.64

预付款项                                  6,176,653.99              5,873,403.35              303,250.64

其他应收款                                3,483,572.46              2,625,584.43              857,988.03

存货                                    112,939,578.48            88,613,961.43            24,325,617.05

其他流动资产                              4,368,513.85              2,867,519.47              1,500,994.38

        流动资产合计                  1,113,851,453.17            921,991,491.77            191,859,961.40

非流动资产:

其他权益工具投资                        19,980,000.00            19,980,000.00

固定资产                                203,621,656.59            222,526,991.49            -18,905,334.90

在建工程                                  3,328,697.64              132,743.36              3,195,954.28

无形资产                                28,612,158.15            29,078,280.94              -466,122.79

商誉                                    686,766,619.47            686,766,619.47

长期待摊费用                              1,974,485.98                60,503.25              1,913,982.73

递延所得税资产                          14,846,178.49            14,947,430.93              -101,252.44

其他非流动资产                              494,050.00              625,079.13              -131,029.13

        非流动资产合计                  959,623,846.32            974,117,648.57            -14,493,802.25

          资产总计                    2,073,475,299.49          1,896,109,140.34            177,366,159.15

流动负债:

短期借款                                30,039,875.00                                    30,039,875.00

应付票据                                  3,672,590.00                                    3,672,590.00

应付账款                                79,601,824.25            79,789,874.90              -188,050.65

预收款项                                                          2,672,056.56            -2,672,056.56

合同负债                                  3,970,791.19                                    3,970,791.19

应付职工薪酬                            145,669,927.32            131,357,386.79            14,312,540.53

应交税费                                16,016,912.36            14,886,026.50              1,130,885.86

其他应付款                                2,495,332.31              2,363,315.65              132,016.66

其他流动负债                                221,864.52                                      221,864.52

        流动负债合计                    281,689,116.95            231,068,660.40            50,620,456.55

非流动负债:

递延收益                                  7,325,520.80              8,155,937.50              -830,416.70

递延所得税负债                            1,850,331.30              1,912,158.07              -61,826.77

        非流动负债合计                    9,175,852.10            10,068,095.57              -892,243.47

          负债合计                      290,864,969.05            241,136,755.97            49,728,213.08

股东权益:

股本                                    426,229,073.00            266,639,171.00            159,589,902.00

资本公积                                917,026,064.35          1,075,000,062.26          -157,973,997.91

盈余公积                                75,164,404.42            58,370,586.08            16,793,818.34

未分配利润                              364,190,788.67            254,962,565.03            109,228,223.64

  归属于母公司股东权益合计            1,782,610,330.44          1,654,972,384.37            127,637,946.07

        股东权益合计                  1,782,610,330.44          1,654,972,384.37            127,637,946.07

      负债和股东权益总计                2,073,475,299.49          1,896,109,140.34            177,366,159.15

      2、利润表

  编制单位:北京高盟新材料股份有限公司          2020 年度        单位:人民币 元

              项            目                    本期发生额        上期发生额          增长额

一、营业收入                                        959,676,885.56      960,112,603.03          -435,717.47

  减:营业成本                                    560,989,817.38      548,639,684.08        12,350,133.30

      税金及附加                                    8,309,636.58        9,482,938.63        -1,173,302.05

      销售费用                                    34,541,964.97        73,174,835.28      -38,632,870.31

      管理费用                                    43,179,758.53        78,405,201.36      -35,225,442.83

      研发费用                                    52,752,547.84   
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