联系客服

300530 深市 达志科技


首页 公告 达志科技:2020年度财务决算报告

达志科技:2020年度财务决算报告

公告日期:2021-04-29

达志科技:2020年度财务决算报告 PDF查看PDF原文

          广东达志环保科技股份有限公司

              2020 年度财务决算报告

  在广东达志环保科技股份有限公司(以下简称“公司”)董事会领导下,面对 2020 年错综复杂的外部环境,公司经营管理层克服种种不利因素,积极开展了各项工作,依据一年来公司经营情况和财务状况,结合公司报表数据,编制了2020 年度财务决算报告,现就公司财务情况报告如下:

  公司 2020 年度财务会计报表业经天健会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告。公司财务报表反映的主要财务数据如下:
  一、2020 年度主要财务数据

                                                      单位:人民币元

        科目            本报告期              上年同期            增减幅度

    营业总收入        112,357,539.00              173,499,780.39      -35.24%

      营业利润          -50,867,662.47              36,994,920.26      -237.50%

      利润总额          -50,541,993.03              37,089,413.57      -236.27%

 归属于上市公司股东    -50,375,850.75              29,491,489.76      -270.81%
      的净利润

 基本每股收益(元)            -0.32                      0.19      -268.42%

 加权平均净资产收益          -11.72%                    5.68%      -17.40%
        率

                        本报告期末            本报告期初          增减幅度

      总资产        1,094,165,902.85              578,770,972.62        89.05%

 归属于上市公司股东    308,795,483.57              524,193,329.07      -41.09%
    的所有者权益

        股本          158,413,500.00            105,609,000.00        50.00%

 归属于上市公司股东            1.95                      4.96      -60.69%
  每股净资产(元)

  报告期,公司营业利润、利润总额及归属于上市公司股东的净利润将上年同期下降的主要原因是:(1)公司于 2020 年新增拓展新能源动力电池业务,管理费用与研发费用同比有较大幅度增加;(2)由于新能源动力电池业务正处于发力产能建设和研发投入期间,未到投产期,报告期内未能给公司带来经济效益;(3)受新型冠状病毒疫情及表面工程化学品业务下游需求下滑的影响,公司报告期收
入较上年同期有一定程度的下降。。

  二、2020 年度财务状况

  1、主要资产情况

                                                      单位:人民币元

  科目      本报告期末    本报告期初    比重增减        重大变动说明

 长期股权  210,275,802.56              -              期末余额较期初增加 2.10
 投资                                                  亿,系本期新增设立联营
                                                      企业衡阳弘新建设投资有
                                                      限公司所致

 固定资产    90,036,377.60    91,292,009.93      -1.38%  无重大变化

 无形资产    97,205,640.15    17,020,896.90    471.10%  期末余额较期初增加

                                                      471.10%,主要系本期新
                                                      纳入合并范围的四川领湃
                                                      的土地使用权所致

 在建工程  263,276,066.10      211,317.14  124488.13%  期末余额较期初增加 2.63
                                                      亿,主要系本期新纳入合
                                                      并范围的四川领湃、苏州
                                                      领湃的在建工程所致

 货币资金  192,236,004.10    74,757,246.84    157.15%  期末余额较期初增加

                                                      157.15%,主要系理财产
                                                      品本期到期赎回及本期新
                                                      纳入合并范围的四川领

                                                      湃、湖南领湃、苏州领湃
                                                      的货币资金及扣除本期派
                                                      发的现金股利后所致

 交易性金              -  262,399,315.07    -100.00%  期末余额为 0,主要系理
 融资产                                                财产品本期到期所致

 应收票据    23,468,120.50    21,104,021.42      11.20%  无重大变化

 预付款项    3,010,976.42    4,186,751.30    -28.08%  期末余额较期初减少

                                                      28.08%,主要系本期预付
                                                      货款减少所致

 其他流动    28,395,879.57    3,037,234.94    834.93%  期末余额较期初增加

 资产                                                  834.93%,主要系本期新
                                                      纳入合并范围的四川领湃
                                                      和苏州领湃的待抵扣进项
                                                      税所致


 开发支出    72,276,515.57              -              期末余额较期初增加

                                                      7,227.65 万,主要系本期
                                                      新纳入合并范围的四川领
                                                      湃和湖南领湃的电池研发
                                                      项目相关开发支出所致

 长期待摊      371,464.61      116,531.26    218.77%  期末余额较期初增加

 费用                                                  218.77%,主要系本期新
                                                      增的宿舍装修费用及租赁
                                                      结构设计 CAD 软件使用
                                                      权费所致

 递延所得      446,460.47    1,255,856.27    -64.45%  期末余额较期初减少

 税资产                                                64.45%,主要系本期可抵
                                                      扣暂时性差异减少所致

 其他非流    53,548,993.70              -              期末余额较期初增加

 动资产                                                5,354.90 万,主要系本期
                                                      的新纳入合并范围的四川
                                                      领湃、湖南领湃、苏州领
                                                      湃的预付工程设备款所致

 应收账款    34,441,911.40    75,916,259.76    -54.63%  期末余额较期初减少

                                                      54.63%,主要系本期出售
                                                      子公司所致

  2、期间费用情况

                               
[点击查看PDF原文]