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首页 公告 飞天诚信:2020年度财务决算报告

飞天诚信:2020年度财务决算报告

公告日期:2021-04-16

飞天诚信:2020年度财务决算报告 PDF查看PDF原文

            飞天诚信科技股份有限公司

                2020 度财务决算报告

  飞天诚信科技股份有限公司(以下简称“公司”)2020 度财务报表按照企业会计准则的规定编制,经天职国际会计师事务所(特殊普通合伙)审计并出具天职业字[2021]18994 号标准无保留意见的审计报告。现将财务决算情况报告如下:

    一、主要财务数据和指标

                      2020 年          2019 年    本年比上年      2018 年

                                                      增减

营业收入(元)      898,489,702.93  939,620,454.48    -4.38%  1,071,782,404.96

营业成本(元)      540,700,025.75  579,072,859.57    -6.63%    668,657,426.16

营业利润(元)      62,327,119.97  82,313,109.26    -24.28%    135,044,307.73

利润总额(元)      70,390,822.27  98,108,443.60    -28.25%    153,310,655.28

归属于上市公司股    62,699,489.31  90,234,261.13    -30.51%    133,273,482.46
东的净利润(元)
归属于上市公司股

东的扣除非经常性    38,267,941.10  47,280,754.19    -19.06%    94,662,557.38
损益的净利润(元)

经营活动产生的现    50,338,161.99  119,156,859.73    -57.75%      8,154,433.36
金流量净额(元)

基本每股收益(元/            0.15            0.22    -31.82%              0.32
股)

稀释每股收益(元/            0.15            0.22    -31.82%              0.32
股)

加权平均净资产收            3.37%          5.01%    -1.64%            7.79%
益率

资产总额(元)    2,048,682,223.97 2,004,795,085.72      2.19%  2,012,625,462.11

负债总额(元)      141,297,625.62  157,519,802.29    -10.30%    250,763,144.83

归属于上市公司股  1,877,244,632.20 1,834,141,989.69      2.35%  1,751,262,705.75
东的净资产(元)


    二、2020 年资产负债情况

      项目      2020 年 12 月 31 日(元) 2019 年 12 月 31 日(元) 本年比上年增减

货币资金                  773,993,305.64        503,005,768.24          53.87%

交易性金融资产            282,215,790.47        746,272,637.59        -62.18%

应收票据                    2,242,677.86          3,245,322.51        -30.90%

应收账款                  103,153,182.43        123,971,307.12        -16.79%

预付款项                  23,064,565.83          15,789,683.47          46.07%

其他应收款                  6,943,358.66          15,589,820.85        -55.46%

存货                      358,255,394.85        346,103,965.41          3.51%

其他流动资产              66,067,906.83          9,580,834.20        589.58%

  流动资产合计        1,615,936,182.57      1,763,559,339.39          -8.37%

长期股权投资              48,030,878.89          48,360,210.70          -0.68%

其他权益工具投资          10,339,992.59          38,348,394.04        -73.04%

固定资产                  15,102,288.99          19,350,287.48        -21.95%

在建工程                    1,261,005.11            543,842.86        131.87%

无形资产                  16,745,657.17          18,440,361.32          -9.19%

开发支出                            0.00          1,436,702.44        -100.00%

商誉                      102,294,256.35        102,294,256.35          0.00%

长期待摊费用                5,963,710.90          8,852,933.09        -32.64%

递延所得税资产              4,452,795.33          3,540,358.05          25.77%

其他非流动资产            228,555,456.07              68,400.00      334045.40%

 非流动资产合计          432,746,041.40        241,235,746.33          79.39%

    资产总计          2,048,682,223.97      2,004,795,085.72          2.19%

应付账款                  44,676,292.95          63,434,870.38        -29.57%

预收款项                            0.00          43,308,124.45        -100.00%

合同负债                  39,001,440.43

应付职工薪酬              23,098,443.50          23,260,477.30          -0.70%

应交税费                  17,632,507.53          14,320,070.75          23.13%

其他应付款                  2,853,196.19          3,222,167.38        -11.45%

其他流动负债                5,785,832.17          2,204,121.74        162.50%

  流动负债合计          133,047,712.77        149,749,832.00        -11.15%

递延收益                    5,574,654.34          5,896,872.57          -5.46%

递延所得税负债              2,675,258.51          1,873,097.72          42.83%

 非流动负债合计            8,249,912.85          7,769,970.29          6.18%

    负债合计            141,297,625.62        157,519,802.29        -10.30%


  1、货币资金 2020 年期末余额为 773,993,305.64 元,较上年末增加 53.87%,
主要系理财产品到期所致;

  2、交易性金融资产 2020 年期末余额为 282,215,790.47 元,较上年末减少
62.18%,主要系理财产品到期所致;

  3、应收票据 2020 年期末余额为 2,242,677.86 元,较上年末减少 30.9%,
主要系北京宏思应收票据部分到期所致;

  4、预付款项 2020 年期末余额为 23,064,565.83 元,较上年末增加 46.07%,
主要系飞天智能终端业务需求增长,采购预付款增加所致;

  5、其他应收款 2020 年期末余额为 6,943,358.66 元,较上年末减少 55.46%,
主要系掌上纵横股权回购款收回所致;

  6、其他流动资产 2020 年期末余额为 66,067,906.83 元,较上年末增加
589.58%,主要系银行定期存款重分类至其他流动资产所致;

  7、其他权益工具投资 2020 年期末余额为 10,339,992.59 元,较上年末减少
73.04%,主要系飞天收回深圳市万通顺达科技股份有限公司的投资款所致;

  8、在建工程 2020 年期末余额为 1,261,005.11 元,较上年末增加 131.87%,
主要系本期广东分公司自建生产设备所致;

  9、开发支出 2020 年期末余额为 0 元,主要是开发支出费用化所致;

  10、长期待摊费用 2020 年期末余额为 5,963,710.9 元,较上年末减少
32.64%,主要系飞天 Oracle 的 Java 授权费按销售量摊销完毕所致;

  11、其他非流动资产 2020 年期末余额为 228,555,456.07 元,较上年末增加
334045.4%,主要系将大额存单从其他债权投资重分类至其他非流动资产所致;
  12、预收款项 2020 年期末余额为 0 元,较上年末减少 100%,主要系将预收
款项重分类至合同负债所致;

  13、合同负债 2020 年期末余额为 39,001,440.43 元,主要系将预收款项重
分类至合同负债所致;

  14、其他流动负债 2020 年期末余额为 5,785,832.17 元,较上年增加 162.5%,
主要系合同负债中税金重分类至其他流动负债所致;

  15、递延所得税负债 2020 年期末余额为 2,675,258.51 元,较上年末增加
42.83%,主要系大额存单暂估利息所致;


    三、2020 年利润表情况

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

营业收入                    898,489,702.93    
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