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双一科技:2020年度财务决算报告

公告日期:2021-03-16

双一科技:2020年度财务决算报告 PDF查看PDF原文

                  山东双一科技股份有限公司

                    2020 年度财务决算报告

  山东双一科技股份有限公司(以下简称“公司”)2020 年度财务报表(包括 2020 年 12
月 31 日的合并及母公司资产负债表,2020 年度的合并及母公司利润表、合并及母公司现金流量表、合并及母公司股东权益变动表,以及财务报表附注)已经大信会计师事务所(特殊普通合伙)审计,并出具了大信审字[2021]第 3-10019 号标准无保留意见的审计报告。公司2020 年度财务决算的相关情况如下:

  一、2020 年公司经营成果情况:

                                                                              单位:人民币元

          项目                  2020年度          2019年度    本年较上年增减

营业收入                            1,391,961,973.95    827,515,391.91          68.21%

营业成本                            834,181,407.92    485,956,089.79          71.66%

税金及附加                            11,360,677.40      9,674,081.23          17.43%

销售费用                              26,844,492.21      56,654,803.06          -52.62%

管理费用                              84,937,807.29      77,897,339.24          9.04%

研发费用                              57,981,611.35      30,761,421.18          88.49%

财务费用                              8,055,114.41      -5,394,315.98        249.33%

其他收益                              6,875,461.71      5,661,723.50          21.44%

投资收益                              8,453,688.88      10,788,527.00          -21.64%

信用减值损失(损失为正数)            3,663,962.01      13,291,325.76          -72.43%

资产减值损失(损失为正数)              -21,315.61        473,773.47        -104.50%

营业外收入                              516,003.64      1,987,396.06          -74.04%

营业外支出                              881,789.41      1,370,893.29          -35.68%

所得税费用                            58,584,789.41      23,730,965.43        146.87%

净利润                              321,337,804.14    151,536,662.00        112.05%

  1、营业收入:本年较上年增长 68.21%,主要原因系 2020 年国际风电市场持续增长以
及国内政策导向影响,实现公司销售收入大幅上涨。

  2、营业成本:本年较上年增长 71.66%,主要原因系本年销量大幅上涨,成本相应增长。
  3、销售费用:本年较上年下降 52.62%,主要原因系根据新收入准则规定,本年运费等调整至主营业务成本所致。

  4、研发费用:本年较上年增长88.49%,主要原因系本年加大研发力度所致。

  5、财务费用:本年较上年增长249.33%,主要原因系本年汇兑损失增加所致。


  6、信用减值损失:本年较上年下降 72.43%,主要原因系本年根据坏账准备计提政策计提金额下降所致。

  7、所得税费用:本年较上年增长 146.87%,主要原因系本年业绩大幅增长,应纳税所得额大幅增长所致。

  二、2020 年公司财务状况情况:

                                                                              单位:人民币元

      项目              2020 年 12 月 31 日            2019 年 12 月 31 日      本年较上年增减
                  金额            占总资产比重  金额        占总资产比重

货币资金              377,339,248.18        22.51%  124,101,918.54        9.63%          12.89%

交易性金融资产        208,518,756.16        12.44%  322,279,609.59        25.00%          -12.56%

应收票据              43,767,602.73        2.61%    2,289,124.38        0.18%          2.43%

应收账款              347,509,837.44        20.73%  264,389,340.19        20.51%          0.23%

应收款项融资          81,078,109.34        4.84%  93,537,668.98        7.26%          -2.42%

预付款项              6,236,412.22        0.37%  10,876,739.29        0.84%          -0.47%

其他应收款            6,000,904.38        0.36%    2,541,220.24        0.20%          0.16%

存货                  195,250,561.55        11.65%  164,121,679.11        12.73%          -1.08%

其他流动资产          5,164,857.09        0.31%    6,375,425.59        0.49%          -0.19%

固定资产              274,740,456.39        16.39%  179,566,090.44        13.93%          2.46%

在建工程              48,973,246.54        2.92%  56,326,212.41        4.37%          -1.45%

无形资产              69,456,889.19        4.14%  44,819,639.45        3.48%          0.67%

递延所得税资产        8,560,649.03        0.51%    7,927,952.68        0.61%          -0.10%

其他非流动资产        3,526,298.00        0.21%  10,117,218.88        0.78%          -0.57%

应付票据              33,798,717.39        2.02%                      0.00%          2.02%

应付账款              187,522,933.57        11.19%  129,789,612.82        10.07%          1.12%

预收款项                        -                38,551,458.48        2.99%          -2.99%

合同负债              55,380,846.18        3.30%                                      3.30%

应付职工薪酬          63,439,344.80        3.78%  45,306,620.09        3.51%          0.27%

应交税费              23,188,508.01        1.38%  22,437,885.09        1.74%          -0.36%

其他应付款            21,464,685.60        1.28%  22,642,662.65        1.76%          -0.48%

其他流动负债          3,539,461.18        0.21%                      0.00%          0.21%

递延收益              4,711,244.45        0.28%    2,866,560.00        0.22%          0.06%

  1、2020 年12 月 31 日货币资金占总资产比例较上年末变动较大,主要系公司销售回款
随收入增长增加及 2020年末部分理财产品到期转入银行存款所致。

  2、2020 年 12 月 31 日交易性金融资产占总资产比例较上年末变动较大,主要系 2020
年末部分理财产品到期转入银行存款所致。


  三、2020 年现金流量情况:

                                                                              单位:人民币元

          项目                  2020年度          2019年度    本年较上年增减

经营活动现金流入小计                1,100,239,571.07    614,348,891.93          79.09%

经营活动现金流出小计                801,777,662.81    556,381,138.19          44.11%

经营活动产生的现金流量净额          298,461,908.26      57,967,753.74        414.88%

投资活动现金流入小计                2,045,881,298.47    2,433,376,724.31          -15.92%

投资活动现金流出小计           
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