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首页 公告 聚灿光电:2020年年度财务决算报告

聚灿光电:2020年年度财务决算报告

公告日期:2021-04-28

聚灿光电:2020年年度财务决算报告 PDF查看PDF原文

          聚灿光电科技股份有限公司

          2020 年年度财务决算报告

  聚灿光电科技股份有限公司(以下简称“公司”)2020 年度财务报表已经容诚会计师事务所(特殊普通合伙)审计,并出具了容诚审字[2021]230Z0401 号标准无保留意见的审计报告。

  为了更全面、详细地了解公司 2020 年的财务状况和经营成果,现将 2020
年度财务决算报告情况汇报如下:

  一、2020 年度主要财务数据

                                        单位:元(除特别注明外,以下单位相同)

          项目              2020 年度    2019 年度    与上年增减
                                                          (%)

营业收入                      1,406,674,200.72  1,143,205,479.89          23.05%

营业成本                      1,217,670,563.91  995,714,239.61          22.29%

营业利润                        15,311,638.52    7,959,921.97          92.36%

净利润                          21,374,855.80    8,144,337.90        162.45%

扣除非经常性损益后净利润      -65,007,451.47    -59,836,160.23          -8.64%

经营活动产生的现金流量净额  232,760,752.03  387,794,663.00        -39.98%

期末总股本                      260,268,000.00  259,910,000.00          0.14%

资产总额                      2,655,394,493.31  2,692,690,605.05          -1.39%

负债总额                      1,889,857,690.05  1,962,684,593.69          -3.71%

所有者权益合计                765,536,803.26  730,006,011.36          4.87%

  二、2020 年主要财务指标

          项目              2020 年度    2019 年度    本年比上年增
                                                          减(%)

基本每股收益(元/股)                  0.08            0.03        166.67%

平均净资产收益率(%)                2.85%          1.13%        152.21%

每股经营活动产生的现金流量            0.89            1.49        -40.27%
净额(元/股)

每股净资产(元/股)                    2.94            2.81          4.63%

 流动比率                                0.97            1.00          -3.00%

 速动比率                                0.84            0.88          -4.55%

 资产负债率                            71.17%        72.89%          -2.36%

 应收账款周转率                          3.57            3.62          -1.38%

 存货周转率                              6.63            5.06          31.03%

 总资产周转率                            0.53            0.42          26.19%

 三、2020 年公司财务状况

    1、资产构成状况

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

货币资金            276,349,291.59        321,323,685.84  -44,974,394.25  -14.00%

应收票据            200,569,315.27        205,363,983.96    -4,794,668.69  -2.33%

应收账款            387,082,781.39        400,935,611.01  -13,852,829.62  -3.46%

应收款项融资        48,892,363.39        28,085,256.72    20,807,106.67  74.09%

预付款项            21,481,585.08        16,098,622.35    5,382,962.73  33.44%

其他应收款          6,169,749.25          3,052,381.09    3,117,368.16  102.13%

存货                182,608,526.94        184,967,310.23    -2,358,783.29  -1.28%

一年内到期的非

                      1,083,079.46                          1,083,079.46

流动资产

其他流动资产      281,573,554.16        299,425,904.62  -17,852,350.46  -5.96%

流动资产合计    1,405,810,246.53      1,459,252,755.82  -53,442,509.29  -3.66%

长期应收款          5,454,182.21                          5454182.21

固定资产          1,065,677,886.26        954,967,878.91  110,710,007.35  11.59%

在建工程            66,404,374.02        171,162,353.83  -104,757,979.81  -61.20%

无形资产            43,917,967.51        45,491,057.28    -1,573,089.77  -3.46%

长期待摊费用          352,002.21            455,027.25    -103,025.04  -22.64%

递延所得税资产      50,938,331.86        44,678,673.65    6,259,658.21  14.01%

其他非流动资产      16,839,502.71        16,682,858.31      156,644.40    0.94%

非流动资产合计  1,249,584,246.78      1,233,437,849.23    16,146,397.55  1.31%

资产总计          2,655,394,493.31      2,692,690,605.05  -37,296,111.74  -1.39%

 超过 30%增减变动的说明:
 (1)应收款项融资 2020 年末比去年末增长 74.09%,主要原因系本期销售业绩 增长票据结算增加。
 (2)预付款项 2020 年末比去年末增长 33.44%,主要原因系本期随着业绩增长, 预付的采购材料款增加。
 (3)其他应收款 2020 年末比去年末增长 102.13%,主要原因系本期根据法院判 决应收设备退款,该款项已由被告退还至判决所在地人民法院账户中,本期由预 付款项转入其他应收款核算,并按设备款实际账龄列报。
 (4)在建工程 2020 年末比去年末下降 61.20%,主要原因系本期机器设备及房 屋建筑物完工转固。

    2、负债构成情况

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

短期借款            595,096,832.18        367,981,964.63  227,114,867.55  61.72%

应付票据            385,747,415.91        504,409,627.74  -118,662,211.83  -23.52%

应付账款            250,710,842.11        329,411,283.96  -78,700,441.85  -23.89%

预收款项                                13,409,352.15  -13,409,352.15  -100.00%

合同负债              9,213,743.35                        9,213,743.35

应付职工薪酬        12,247,415.35        10,002,056.79    2,245,358.56  22.45%

应交税费              2,355,825.88          552,144.03    1,803,681.85  326.67%

其他应付款          10,265,625.36        156,024,506.53  -145,758,881.17  -93.42%

一年内到期

的非流动负          188,141,409.01        70,801,668.00  117,339,741.01  165.73%


其他流动负            1,197,786.64                        1,197,786.64



流动负债合计      1,454,976,895.79      1,452,592,603.83    2,384,291.96    0.16%

长期借款            345,973,499.06        449,473,656.53  -103,500,157.47  -23.03%

长期应付款          88,907,295.20        60,618,333.33  28,288,961.87
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