联系客服

300284 深市 苏交科


首页 公告 苏交科:2020年度财务决算报告

苏交科:2020年度财务决算报告

公告日期:2021-04-21

苏交科:2020年度财务决算报告 PDF查看PDF原文

              苏交科集团股份有限公司

                2020 年度财务决算报告

  经天衡会计师事务所(特殊普通合伙)审计,对公司2020年度财务报告出具了无保留意见的审计报告。现将决算情况报告如下:

    一、2020年度主要财务数据

                                                                  单位:万元

            项目                2020 年度      2019 年度    增减变动幅度(%)

营业总收入                            549,936.00    596,718.61              -7.84%

营业利润                              52,286.24      87,848.73            -40.48%

利润总额                              50,753.39      87,608.51            -42.07%

归属于上市公司股东的净利润            38,831.67      72,361.34            -46.34%

经营活动产生的现金流量净额            78,461.39      68,461.09              14.61%

总资产                              1,428,838.37    1,335,113.90              7.02%

归属于上市公司股东的所有者权益      509,839.37    481,973.41              5.78%

股本                                  97,140.60      97,140.60              0.00%

    二、2020年度主要财务指标

                                                                    单位:元

            项目                2020 年度      2019 年度    增减变动幅度(%)

基本每股收益(元/股)                0.3997        0.7449          -46.34%

稀释每股收益(元/股)                0.3997        0.7449          -46.34%

扣除非经常性损益后的基本每股收    0.3562        0.7359          -51.59%

益(元/股)

加权平均净资产收益率(%)            7.85%        16.00%          -8.15%

扣除非经常性损益后的加权平均净      7.00%        15.81%          -8.81%

资产收益率(%)

每股经营活动产生的现金流量净额      0.81          0.70            14.61%

(元/股)

归属于上市公司股东的每股净    5.25        4.96          5.78%

资产(元/股)

    三、财务状况、经营成果和现金流量情况分析

  (一)报告期资产构成及变动情况


                                                                  单位:万元

                              2020 年末              2019 年末

        项目              金额      所占比      金额      所占比  变动幅度
                                          重                    重

货币资金                  287,477.36  20.12%  278,540.44  20.86%    3.21%

交易性金融资产              10,564.77    0.74%    2,936.41    0.22%  259.79%

应收票据                    1,951.73    0.14%    2,561.66    0.19%    -23.81%

应收账款                  508,692.82  35.60%  708,775.25  53.09%    -28.23%

应收款项融资                4,739.80    0.33%        0.00    0.00%          -

预付账款                    18,162.86    1.27%    12,980.32    0.97%    39.93%

其他应收款                  13,133.81    0.92%    15,953.74    1.19%    -17.68%

存货                        6,288.18    0.44%    3,917.02    0.29%    60.54%

合同资产                  265,495.25  18.58%        0.00    0.00%          -

一年内到期的非流动资产      8,357.88    0.58%    6,603.74    0.49%    26.56%

其他流动资产                5,556.02    0.39%    4,465.63    0.33%    24.42%

流动资产合计            1,130,420.49  79.11%  1,036,734.21  77.65%    9.04%

其他非流动金融资产          17,871.19    1.25%        0.00    0.00%          -

长期应收款                  8,624.96    0.60%    23,689.63    1.77%    -63.59%

长期股权投资                5,627.32    0.39%    6,856.25    0.51%    -17.92%

其他权益投资                52,707.56    3.69%    69,980.25    5.24%    -24.68%

投资性房地产                4,771.59    0.33%    5,502.74    0.41%    -13.29%

固定资产                    65,267.34    4.57%    68,275.52    5.11%    -4.41%

在建工程                      856.63    0.06%      987.82    0.07%    -13.28%

无形资产                    22,557.79    1.58%    21,964.22    1.65%    2.70%

商誉                        54,731.72    3.83%    56,819.81    4.26%    -3.67%

长期待摊费用                3,822.26    0.27%    5,113.85    0.38%    -25.26%

递延所得税资产              42,997.53    3.01%    36,113.97    2.70%    19.06%

其他非流动资产              18,582.01    1.30%    3,075.62    0.23%  504.17%

非流动资产合计            298,417.89  20.89%  298,379.69  22.35%    0.01%

资产总计                1,428,838.37  100.00%  1,335,113.90  100.00%    7.02%

  交易性金融资产年末余额较年初余额增长259.79%,主要是理财产品增加所致。
  应收款项融资年末余额较年初余额增加,主要是有部分应收票据持有的目的是背书或贴现,故在应收款项融资列报。

  预付账款年末余额较年初余额增长39.93%,主要是预付的分包劳务款增加所致。

  存货年末余额较年初余额增长60.54%,主要是工程尚未结算资产增加所致。
  其他非流动金融资产年末余额较年初余额增长,主要是其他权益投资重分类所致。

  长期应收款年末余额较年初余额减少63.59%,主要是重分类和回款带来长期应收余额减少所致。


  其他非流动资产年末余额较年初余额增长504.17%,主要是预付土地款和保函保证金所致。

  (二)报告期负债构成及变动情况

                                                                  单位:万元

          项目                2020 年末            2019 年末        变动幅度
                            金额    所占比重    金额    所占比重

短期借款                  234,953.27  26.59%  248,031.48  30.23%    -5.27%

应付票据                  16,000.00    1.81%  13,025.90    1.59%    22.83%

应付账款                  306,520.34  34.68%  253,367.31  30.88%    20.98%

预收账款                      87.16    0.01%  67,101.09    8.18%  -99.87%

合同负债                  77,184.22    8.73%        0.00    0.00%          -

应付职工薪酬              73,098.81    8.27%  67,520.76    8.23%    8.26%

应交税费                  54,356.09    6.15%  55,830.60    6.81%    -2.64%

其他应付款                15,657.57    1.77%  17,119.03    2.09%    -8.54%

一年内到期非流动负债        7,128.76    0.81%  10,958.61    1.34%  -34.95%

其他流动负债                7,884.67    0.89%    108.75    0.01%  7150.33%

流动负债合计              792,870.88  89.72%  733,063.53  89.3
[点击查看PDF原文]