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激智科技:2020年度财务决算报告

公告日期:2021-04-24

激智科技:2020年度财务决算报告 PDF查看PDF原文

              2020 年度财务决算报告

      宁波激智科技股份有限公司(以下简称“公司”)2020 年度财务报
  告审计工作已经完成,由立信会计师事务所(特殊普通合伙)对公司
  2020 年 12 月 31 日的合并及母公司资产负债表、2020 年度合并及母公
  司利润表、合并及母公司现金流量表、合并及母公司所有者权益变动
  表以及财务报表附注进行了审计,并出具了标准无保留意见的审计报
  告。现将决算情况报告如下:

          一、2020 年度公司主要财务指标情况

                                                  单位:万元 币种:人民币

            项目                报告期    上年同期    增减额    增减幅度

营业收入                        142,017.19 109,621.11  32,396.08    29.55%

营业成本                        103,149.06  80,977.84  22,171.22    27.38%

营业利润                          14,839.20  6,254.69    8,584.51  137.25%

利润总额                          15,686.55  7,300.53    8,386.02  114.87%

归属上市公司股东的净利润          13,676.27  6,465.85    7,210.42  111.52%

扣除非经常性损益后净利润          11,165.50  3,902.52    7,262.98  186.11%

经营活动净现金流量                15,347.54  12,083.07    3,264.47    27.02%

产品总销售量(万平米)            12,944.87  11,425.00    1,519.87    13.30%

每股收益(元/股)                      0.88      0.42        0.46  109.52%

每股净资产(元/股)                    5.45      4.37        1.08    24.71%

扣除非经常性损益后每股收益(元/

                                      0.72      0.25        0.47  188.00%
股)

加权平均净资产收益率                18.22%      9.97%  增加 8.25 个百分点

资产负债率                          63.07%    65.06%  减少 1.99 个百分点

流动比率                              1.10      0.99        0.11    11.11%

每股经营活动产生现金流量净额      0.99      0.78        0.21 26.78%

 (元)

      二、 2020 年度公司财务状况及经营成果情况说明

                                                    单位:元 币种:人民币

资产负债表项

                    期末数          期初数    变动幅度    主要变动原因



                                                          主要系报告期销售额
应收款项融资    152,313,115.68 102,218,201.93  49.01% 增加,收到的货款较多
                                                          以票据结算所致

                                                          主要系预付材料采购
预付款项          28,989,894.05  15,772,556.44  83.80%

                                                          款增加所致

                                                          主要系报告期末待抵
其他流动资产      18,388,792.54  10,772,917.01  70.69%

                                                          扣进项税增加所致

                                                          主要系报告期投资宁
长期股权投资      94,649,375.82  65,169,081.47  45.24% 波聚嘉及确认联营企
                                                          业投资收益所致

                                                          主要系报告期在建工
在建工程          47,726,952.27  84,842,510.18  -43.75% 程完工转入固定资产
                                                          所致

                                                          主要系报告期政府补
递延所得税资

                  32,724,782.59  20,847,147.91  56.97% 助、可抵扣亏损等增加


                                                          所致

其他非流动资                                              主要系报告期预付设
                  22,805,921.01  5,306,162.31  329.80%

产                                                        备款所致

                                                          主要系报告期融资结
短期借款        435,762,909.98 634,318,872.17  -31.30%

                                                          构变化所致

                                                          主要系报告期销售规
应付票据        408,823,430.77 270,352,797.02  51.22% 模扩大,原辅材料采购
                                                          增加所致


                                                          主要系报告期末预提
应付职工薪酬      23,285,710.60  15,087,158.71  54.34%

                                                          年终奖所致

                                                          主要系报告期末应交
应交税费          24,643,170.18  10,254,812.60  140.31%

                                                          增值税增加所致

                                                          主要系报告期发行短
其他流动负债    100,973,525.87

                                                          期融资券所致

                                                          主要系报告期融资结
长期借款          70,000,000.00

                                                          构变化所致

                                                          主要系报告期合肥视
递延所得税负                                              涯增资所致,即其他权
                    1,331,515.03    461,990.89  188.21%

债                                                        益工具投资公允价值
                                                          变动所致

                                                          主要系报告期紫光股
其他非流动负

                                  11,760,000.00 -100.00% 权转让款一年内到期


                                                          所致

                                                          主要系报告期利润增
未分配利润      402,424,515.02 285,978,409.02  40.72%

                                                          加所致

利润表项目        报告期          上年同期      变动幅度    主要变动原因

                                                            主要系报告期太阳能
营业收入      1,420,171,894.07 1,096,211,086.27    29.55% 背板膜、量子点膜及复
                                                            合膜订单增加所致

                                      
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