联系客服

300515 深市 三德科技


首页 公告 三德科技:2020年度财务决算报告

三德科技:2020年度财务决算报告

公告日期:2021-04-20

三德科技:2020年度财务决算报告 PDF查看PDF原文

                湖南三德科技股份有限公司

                  2020 年度财务决算报告

  湖南三德科技股份有限公司(以下简称“公司”)2020 年 12 月 31 日合并及母
公司的资产负债表、2020 年度合并及母公司的利润表、现金流量表、股东权益变动表以及财务报表附注已经中审华会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告,现将 2020 年度合并财务报表的主要财务指标报告如下:

    一、2020 年度主要财务数据和指标

                                                                单位:人民币元

            项目                  2020 年            2019 年        增减幅度

营业收入                          319,449,175.61      282,468,174.36      13.09%
归属于上市公司股东的净利润        71,072,747.41      44,022,342.02      61.45%
归属于上市公司股东的扣除非经

常性损益的净利润                  46,890,979.23      30,434,067.08      54.07%
经营活动产生的现金流量净额        75,892,885.02      76,324,397.67      -0.57%
基本每股收益(元/股)                    0.3535            0.2176      62.45%
稀释每股收益(元/股)                    0.3530            0.2194      60.89%
加权平均净资产收益率                    13.50%            9.11%        4.39%
            项目            2020 年 12 月 31 日  2019 年 12 月 31 日  增减幅度

资产总额                          761,839,113.63      651,384,507.84      16.96%
归属于上市公司股东的净资产        558,631,444.27      503,981,166.34      10.84%

    二、财务状况、经营成果和现金流量分析

    (一)报告期资产构成及变动情况

                                                                单位:人民币元

    项目        2020年12月31日  2019年12月31日      增减额      增减幅度
货币资金            70,287,791.52    46,794,477.19      23,493,314.33      50.21%

    项目        2020年12月31日  2019年12月31日      增减额      增减幅度

交易性金融资产      290,000,000.00    230,000,000.00      60,000,000.00      26.09%
应收票据            28,348,239.66      20,746,295.44      7,601,944.22      36.64%
应收账款            120,546,835.68    152,252,731.54    -31,705,895.86    -20.82%
应收款项融资          9,385,981.87      9,557,678.21      -171,696.34      -1.80%
预付款项              3,777,969.97      4,885,990.58      -1,108,020.61    -22.68%
其他应收款          20,924,382.78      5,339,903.51      15,584,479.27    291.85%
存货                100,346,138.71    77,785,626.08      22,560,512.63      29.00%
合同资产            20,670,657.07                      20,670,657.07    100.00%
其他流动资产          626,538.52        96,401.86      530,136.66    549.92%
投资性房地产          103,511.68        109,399.24        -5,887.56      -5.38%
固定资产            81,801,848.07    88,808,956.91    -7,007,108.84      -7.89%
在建工程              635,564.96                        635,564.96    100.00%
无形资产              8,820,078.74      9,907,583.44      -1,087,504.70    -10.98%
递延所得税资产        5,483,574.40      5,099,463.84        384,110.56      7.53%
其他非流动资产          80,000.00                          80,000.00    100.00%
资产总计            761,839,113.63    651,384,507.84    110,454,605.79    16.96%

注:公司对变动较大的界定是金额增减在 100 万元以上且增减比例大于 30%。
1、货币资金较年初增加 50.21%,主要系报告期销售回款增加以及收到限制性股票激励款所致;2、应收票据较年初增加 36.64%,主要系报告期收到的银行承兑汇票增加所致;
3、其他应收款较年初增加 291.85%,主要系报告期购买制造基地项目缴纳的土地保证金所致;4、合同资产较年初增加 100%,主要系报告期内执行新收入准则所致。

    (二)报告期负债、权益构成及变动情况

                                                                单位:人民币元

                          2020 年 12 月  2019 年 12 月

          项目                31 日          31 日        增减额    增减幅度

短期借款                    5,000,000.00                  5,000,000.00    100.00%
应付票据                    17,831,503.01    9,175,540.38  8,655,962.63    94.34%
应付账款                    39,549,952.32  34,668,877.52  4,881,074.80    14.08%

预收款项                                  56,065,433.52  -56,065,433.52  -100.00%
合同负债                    60,886,046.28                60,886,046.28    100.00%
应付职工薪酬                23,734,191.22  21,518,144.48  2,216,046.74    10.30%
应交税费                    6,997,665.34    6,906,622.29      91,043.05      1.32%
其他应付款                  35,776,173.69  13,369,521.02  22,406,652.67    167.60%
 一年内到期的非流动负债      463,584.00                  463,584.00    100.00%
其他流动负债                7,915,186.02                  7,915,186.02    100.00%
长期应付款                                  463,584.00    -463,584.00  -100.00%
预计负债                      967,399.61    575,660.11    391,739.50    68.05%
递延收益                      194,444.44    3,218,237.54  -3,023,793.10    -93.96%
负债合计                  199,316,145.93  145,961,620.86  53,354,525.07    36.55%
股本                      205,869,500.00  201,970,000.00  3,899,500.00      1.93%
资本公积                  147,556,968.15  122,775,877.65  24,781,090.50    20.18%
减:库存股                  25,752,810.00    6,315,820.00  19,436,990.00    307.75%
其他综合收益                -576,147.66    -72,649.96    -503,497.70  -693.05%
专项储备                      360,505.04    294,939.82      65,565.22    22.23%
盈余公积                    35,526,893.70  28,748,147.54  6,778,746.16    23.58%
未分配利润                195,646,535.04  156,580,671.29  39,065,863.75    24.95%
归属于母公司股东权益合计  558,631,444.27  503,981,166.34  54,650,277.93    10.84%
少数股东权益                3,891,523.43    1,441,720.64  2,449,802.79    169.92%
股东权益合计              562,522,967.70  505,422,886.98  57,100,080.72    11.30%

注:公司对变动较大的界定是金额增减在 100 万元以上且增减比例大于 30%。
1、 短期借款较年初增加 100.00%,主要系报告期控股子公司业务规模增大,流动资金贷款
  所致;
2、 应付票
[点击查看PDF原文]