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中来股份:2020年度财务决算报告

公告日期:2021-04-26

中来股份:2020年度财务决算报告 PDF查看PDF原文

                苏州中来光伏新材股份有限公司

                      2020 年度财务决算报告

      2020 年度,公司实现营业收入 508,494.59 万元,较上年同期增加 46.21%;
  实现净利润 14,679.22 万元,较上年同期减少 43.82%;实现归母净利润 9,665.84
  万元,较上年同期减少 60.26%。

      一、经营成果分析

                                                              单位:元

      项目            本报告期        上年同期          增减额      变动率(%)

营业收入            5,084,945,898.24    3,477,899,159.04    1,607,046,739.20        46.21%

营业成本            4,164,581,103.84    2,542,493,079.72    1,622,088,024.12        63.80%

销售费用                80,837,780.24      84,384,043.05        -3,546,262.81        -4.20%

管理费用              185,934,168.91    148,438,967.10      37,495,201.81        25.26%

研发费用              174,239,872.72    121,651,242.37      52,588,630.35        43.23%

财务费用                -3,106,120.21    108,926,147.34      -112,032,267.55      -102.85%

其他收益                54,699,252.09      40,300,562.97      14,398,689.12        35.73%

投资收益                3,396,022.63      -7,072,260.30      10,468,282.93      148.02%

公允价值变动收益      -177,967,274.39      20,887,252.07      -198,854,526.46      -952.04%

信用减值损失          -94,895,518.53    -110,959,542.74      16,064,024.21        14.48%

资产减值损失          -37,834,728.22      -48,146,544.72      10,311,816.50        21.42%

资产处置收益              61,773.36        -96,478.06          158,251.42      164.03%

营业利润              211,239,245.78    352,712,049.93      -141,472,804.15        -40.11%

营业外收入              1,038,627.25        929,990.84          108,636.41        11.68%

营业外支出                849,313.82      5,004,520.75        -4,155,206.93        -83.03%

利润总额              211,428,559.21    348,637,520.02      -137,208,960.81        -39.36%

所得税费用              64,636,315.96      87,363,296.79      -22,726,980.83        -26.01%

净利润                146,792,243.25    261,274,223.23      -114,481,979.98        -43.82%

归属于上市公司股      96,658,413.45    243,204,564.81      -146,546,151.36        -60.26%
东的净利润

      1、报告期内,实现销售收入 508,494.59 万元,较上年同期增加 160,704.67
  万元,增幅 46.21%;营业成本较上年同期增加 162,208.80 万元,增幅 63.80%,
  主要系公司电池及组件业务以及光伏应用系统业务增加所致;

      2、管理费用较上年同期增加 3,749.52 万元,增幅 25.26%,主要系本年职
  工薪酬及股份支付费用增加所致;


        3、研发费用较上年同期增加 5,258.86 万元,增幅 43.23%,主要系公司控

    股子公司研发项目增加以及薪酬增加所致;

        4、财务费用较上年同期减少 11,203.23 万元,降幅 102.85%,主要系本年

    可转债转股利息支出减少及本年光伏应用系统业务利息收入增加所致;

        5、其他收益较上年同期增加 1,439.87 万元,增幅 35.73%,主要系本年收

    到的政府补助增加所致;

        6、投资收益较上年同期增加 1,046.83 万元,增幅 148.02%,主要系本年处

    置交易性金融资产产生的投资收益增加所致;

        7、公允价值变动收益本期发生额为-17,796.73 万元,主要系本年交易性金

    融资产公允价值变动所致;

        8、信用减值损失本期发生额为-9,489.55 万元,主要系本年计提应收款项

    减值所致;

        9、资产减值损失本期发生额为-3,783.47 万元,主要系本年计提存货跌价

    准备及长期股权投资减值所致。

        二、主要财务状况

                                                                单位:元

      项目        2020 年 12 月 31 日  2019 年 12 月 31 日  2020 年 1 月 1 日      增减额      变动率(%)

货币资金              1,470,152,756.89    1,100,459,905.41  1,100,459,905.41    369,692,851.48      33.59%

交易性金融资产            21,890,059.87      670,887,252.07    670,887,252.07    -648,997,192.20    -96.74%

应收票据                174,152,506.64      287,360,632.91    287,360,632.91    -113,208,126.27    -39.40%

应收账款              1,019,909,059.23      704,935,702.26    654,977,590.72    364,931,468.51      55.72%

应收款项融资              76,418,832.06      392,452,917.67    392,452,917.67    -316,034,085.61    -80.53%

预付款项                  62,473,000.24      74,463,292.89    74,463,292.89    -11,990,292.65    -16.10%

其他应收款                63,714,910.24      30,164,182.62    30,164,182.62      33,550,727.62    111.23%

存货                    649,393,724.65      767,842,493.75    767,842,493.75    -118,448,769.10    -15.43%

合同资产                103,220,270.85              0.00    49,958,111.54      53,262,159.31    106.61%

长期应收款            2,343,359,819.21    1,334,645,035.28  1,334,645,035.28  1,008,714,783.93      75.58%

长期股权投资            144,665,561.92      141,676,759.37    141,676,759.37      2,988,802.55      2.11%

固定资产              2,717,367,870.41    2,414,553,392.45  2,414,553,392.45    302,814,477.96      12.54%

在建工程                196,538,111.30      40,220,152.73    40,220,152.73    156,317,958.57    388.66%

递延所得税资产          101,713,450.52      54,850,922.07    54,850,922.07      46,862,528.45      85.44%


      项目        2020 年 12 月 31 日  2019 年 12 月 31 日  2020 年 1 月 1 日      增减额      变动率(%)

其他非流动资产          210,182,649.08      218,550,689.26    218,550,689.26      -8,368,040.18      -3.83%

资产总计              9,716,688,930.43    8,594,990,918.09  8,594,990,918.09  1,121,698,012.34      13.05%

短期借款              1,358,416,092.51    1,046,392,698.39  1,046,392,698.39    312,023,394.12      29.82%

应付票据              1,017,366,856.68      750,872,263.81    750,872,263.81    266,494,592.87      35.49%

应付账款              1,188,599,143.06      832,869,838.07    832,869,838.07    355,729,304.99      42.71%

合同负债                  29,937,465.89              0.00    53,509,311.76    
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