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掌趣科技:2020年度财务决算报告

公告日期:2021-04-27

掌趣科技:2020年度财务决算报告 PDF查看PDF原文

            北京掌趣科技股份有限公司

              2020 年度财务决算报告

  北京掌趣科技股份有限公司(以下简称“公司”)2020 年度财务报表已经大华会计师事务所审计,并出具了编号为“大华审字[2021]0010362 号”的标准无保留意见的审计报告。现将公司有关的财务决算情况汇报如下:

    一、 主要财务数据

  2020 年度,公司实现营业收入 17.89 亿元,比上年同期增加 10.65%。收入
较上年同期增加,主要系海外新上线自研游戏市场表现出色所致。

  归属于公司普通股股东的净利润为 3.17 亿元,比上年同期下降 12.83%,主
要系计提商誉减值准备的影响。

                                                                      单位:元

                  项目                      本报告期        上年同期    本年比上年增减

营业收入(元)                              1,789,193,899.97  1,616,948,596.92          10.65%

归属于上市公司普通股股东的净利润(元)        316,938,566.18    363,599,877.51        -12.83%

归属于上市公司普通股股东的扣除非经常性损益

后的净利润(元)                              80,125,854.06    409,656,838.85        -80.44%

资产总额(元)                              6,219,925,872.93  5,987,155,353.93          3.89%

归属于上市公司普通股股东的所有者权益(元)  5,531,401,325.57  5,548,222,624.83          -0.30%

经营活动产生的现金流量净额(元)              479,689,020.95    514,875,431.14          -6.83%

基本每股收益(元/股)                                  0.12            0.13          -7.69%

稀释每股收益(元/股)                                  0.12            0.13          -7.69%

    注:以上财务数据均为本公司的合并报表数据

    二、 财务状况、经营成果和现金流量情况分析

  (一)财务状况

  1、资产、负债状况及重大变动情况

  截至 2020 年 12 月 31 日,公司总资产 62.20 亿元,主要构成为:货币资金

24.64 亿元、长期股权投资 11.96 亿元、商誉 16.13 亿元,占总资产的比例分别为:
39.62%、19.23%、25.93%。

  公司负债总额 6.89 亿元,主要构成为:合同负债 2.36 亿元,占负债总额的
34.30%,主要系游戏递延收益及预收游戏分成款;应付职工薪酬 1.92 亿元,占负债总额的 27.92%,主要系跨期发放的奖金增加所致;应付账款 1.75 亿元,占负债总额的 25.39%,主要系应付业务分成款。

                                                                      单位:元

                2020 年末              2020 年初

  项目        金额    占总资产    金额      占总资产  比重增减      重大变动说明

                          比例                    比例

                                                                    期末余额较年初增加

货币资金                                                            46%,主要系经营活动及
          2,464,223,742.86  39.62% 1,682,394,810.68    27.12%    12.50% 投资活动产生的现金流量
                                                                    增加所致。

应收账款    264,373,339.31  4.25%  275,268,113.41    4.44%    -0.19%

预付款项    111,340,041.23  1.79%  102,234,244.93    1.65%    0.14%

                                                                    期 末 余 额 较 年 初 减 少
其他应收款    7,007,464.78  0.11%  10,123,398.15    0.16%    -0.05% 31%,主要系坏账准备增
                                                                    加所致。

存货        23,690,123.26  0.38%  24,186,933.56    0.39%    -0.01%

其他流动资

产          17,089,063.25  0.27%  20,452,532.55    0.33%    -0.06%

长期股权投

资        1,196,212,300.81  19.23% 1,189,450,449.09    19.17%    0.06%

其他权益工                                                          期 末 余 额 较 年 初 减 少
具投资      79,170,258.04  1.27%  146,147,892.98    2.36%    -1.09% 46%,主要系处置部分权
                                                                    益工具投资所致。

其他非流动                                                          期 末 余 额 较 年 初 减 少
金融资产    247,797,771.70  3.98%  486,076,766.17    7.84%    -3.86% 49%,主要系收回投资款
                                                                    所致。

投资性房地

产          67,053,230.07  1.08%  69,377,637.63    1.12%    -0.04%

固定资产    18,422,970.63  0.30%  21,877,673.38    0.35%    -0.05%

                                                                    期 末 余 额 较 年 初 减 少
无形资产    27,824,730.65  0.45%  69,672,709.80    1.12%    -0.67% 60%,主要系版权摊销所
                                                                    致。

商誉      1,612,833,769.43  25.93% 1,946,047,281.48    31.37%    -5.44%


                2020 年末              2020 年初

  项目        金额    占总资产    金额      占总资产  比重增减      重大变动说明

                          比例                    比例

长期待摊费                                                          期 末 余 额 较 年 初 减 少
用            6,826,462.23  0.11%  12,459,892.91    0.20%    -0.09% 45%,主要系装修费摊销
                                                                    所致。

递延所得税                                                          期 末 余 额 较 年 初 减 少
资产        66,397,743.42  1.07%  144,064,046.06    2.32%    -1.25% 54%,主要系弥补可抵扣
                                                                    亏损所致。

其他非流动                                                          期 末 余 额 较 年 初 增 加
资产          9,662,861.26  0.16%    3,475,064.34    0.06%    0.10% 178%,主要系预付无形资
                                                                    产购置款增加所致。

应付账款    174,834,955.63  2.81%  142,111,598.20    2.29%    0.52%

                                                                    期 末 余 额 较 年 初 减 少
预收账款      453,866.41  0.01%    776,153.28    0.01%    0.00% 42%,主要系本年确认收
                                                                    入所致。

合同负债    236,172,624.12  3.80%  267,340,115.10    4.31%    -0.51%

应付职工薪                                                          期 末 余 额 较 年 初 增 加
酬          192,245,037.64  3.09%  135,638,295.74    2.19%    0.90% 42%,主要系跨期发放的
                                                             
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