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首页 公告 中文在线:2020年度财务决算报告

中文在线:2020年度财务决算报告

公告日期:2021-04-23

中文在线:2020年度财务决算报告 PDF查看PDF原文

                中文在线数字出版集团股份有限公司

                      2020 年度财务决算报告

  本公司 2020 年度财务报表按照企业会计准则的规定编制,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。公司
2020 年度财务报表已经信永中和会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的《审计报告》。2020 年度合并财务报表的主要数据报告如下:

    一、财务状况

                                                                                      单位:人民币元

序号              项目                2020 年 12 月 31 日        2020 年 1 月 1 日          变动率

一、资产

 1              总资产                  1,980,089,115.36        1,802,583,811.25          9.85%

 2              流动资产                  1,284,353,152.59          918,027,081.74          39.90%

 3              货币资金                    429,924,720.62          611,981,186.02        -29.75%

      以公允价值计量且其变动计入当          469,029,442.31                                100.00%
 4          期损益的金融资产

 5              应收账款                    171,977,716.88          144,602,945.94          18.93%

 6              预付账款                    83,407,958.00          76,002,256.62          9.74%

 7                存货                        5,658,795.32          12,641,435.25        -55.24%

 8              合同资产                      4,260,465.29            1,815,620.95        134.66%

 9            长期股权投资                  157,113,562.55          146,992,427.88          6.89%

 10          投资性房地产                  88,031,033.70          87,403,677.01          0.72%

 11            固定资产                    37,530,293.03          46,227,675.49        -18.81%

 12            无形资产                    223,365,007.22          336,994,884.80        -33.72%

 13            开发支出                    122,047,588.81          101,247,301.70          20.54%

 14              商誉                      16,097,735.35          16,097,735.35              -

 15          长期待摊费用                    6,895,679.71          15,204,167.54        -54.65%

二、负债

 1              负债合计                    518,988,777.08          384,460,128.52          34.99%

 2              流动负债                    497,859,224.99          363,308,377.73          37.03%

 3              短期借款                    126,874,786.12          31,380,000.00        304.32%

 4              应付账款                    127,923,996.97          132,917,029.97          -3.76%

 5              预收账款                      1,145,244.25          29,820,932.78        -96.16%

序号              项目                2020 年 12 月 31 日        2020 年 1 月 1 日          变动率

 6              合同负债                    149,595,477.11          72,980,032.88        104.98%

 7            应付职工薪酬                  72,578,486.67          47,743,332.43          52.02%

三、所有者权益

 1          所有者权益合计              1,461,100,338.28        1,418,123,682.73          3.03%

 2                股本                      727,295,310.00          727,295,310.00              -

 3              资本公积                  2,481,851,204.55        2,473,629,138.07          0.33%

 4            其他综合收益                  -19,432,786.06              -12,305.28    -157,822.34%

 5              盈余公积                    30,930,203.91          30,930,203.91              -

 6            未分配利润                -1,767,070,912.74      -1,815,994,012.48          2.69%

 7            少数股东权益                    7,527,318.62            2,275,348.51        230.82%

    主要变动项目分析:

  1. 总资产较年初增加 9.85%,主要系本年经营积累所致;

  2. 流动资产较年初增加 39.90%,主要系本年经营积累增加及一年内到期的其他非
      流动资产增加所致;

  3. 货币资金较年初减少 29.75%,主要系新增理财产品等金融资产投资所致;

  4. 以公允价值计量且其变动计入当期损益的金融资产较年初增加 100%,主要系新
      增理财产品等金融资产投资所致;

  5. 应收账款较年初增加 18.93%,主要系本年文学业务收入规模增加,年末应收账
      款金额增加所致;

  6. 存货较年初减少 55.24%,主要系本年末教育阅读业务库存商品减少所致;

  7. 合同资产较年初增加 134.66%,主要系本年末文学业务附条件收取合同对价权利
      金额增加所致;

  8. 固定资产较年初减少 18.81%,主要本年度办公楼部分出租转入投资性房地产所
      致;

  9. 无形资产较年初减少 33.72%,主要系本年买断版权资产摊销所致;

  10.开发支出较年初增加 20.54%,主要系本年基础教育阅读平台项目开发支出增加
      所致;


  11.长期待摊费用较年初减少 54.65%,主要系本年处置晨之科股权后,晨之科不再
    纳入合并范围所致;

  12.负债金额较年初增加 34.99%,主要系本年度银行借款金额增加所致;

  13.流动负债较年初增加 37.03%,主要系本年度银行借款金额增加所致;

  14.短期借款较年初增加 304.32%,主要系本年度银行借款金额增加所致;

  15.预收账款较年初减少 96.16%,主要系持有待售资产完成处置,预收股权转让款
    较年初减少所致;

  16.合同负债较年初增加 104.98%,主要系海外业务规模增加,平台充值金额增加所
    致;

  17.应付职工薪酬较年初增加 52.02%,主要系本年文学业务收入规模增加,销售人
    员销售提成金额增加所致;

  18.其他综合收益较年初减少 157,822.34%,主要系美元汇率波动外币报表折算损失
    金额增加所致;

  19.少数股东权益较年初增加 230.82%,主要系本年度控股子公司盈利所致。

  二、经营情况

                                                                                    单位:人民币元

序号                项目                      2020 年                2019 年            变动率

 1                营业收入                    975,901,260.74        705,377,023.73        38.35%

 2                营业成本                    364,172,945.12        394,210,764.95        -7.62%

 3                销售费用                    428,104,424.62        383,674,130.16        11.58%

 4                管理费用                    143,585,694.02        130,873,807.27        9.71%

 5                研发费用                    69,225,363.47        69,216,654.34        0.01%

 6                财务费用                      -357,636.94        -9,830,370
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