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锐科激光:2020年度财务决算报告

公告日期:2021-04-30

锐科激光:2020年度财务决算报告 PDF查看PDF原文

              武汉锐科光纤激光技术股份有限公司

                    2020 年度财务决算报告

          2020年,公司全体干部员工克服复杂多变的市场环境及新冠肺炎疫情的不

      利影响,紧密围绕公司发展战略和“十三五”发展规划,按照既定的经营方针和经

      营目标,坚持疫情防控和复工复产两不误,持续提升技术创新能力,不断探索新

      应用领域和方向,并以人才为推动力,提升公司综合实力,促进生产经营稳步发

      展。现将公司2020年末财务状况和2020年度经营成果报告如下:

          一、2020年末财务状况

          (一)资产、负债和净资产情况

          2020年,资产、负债、所有者权益情况,见下表:

                                                                        单位:万元

      项目                期末                  期初          占比变  同比变            备注

                        金额      占比      金额      占比      化      化

 一、流动资产合计    307,947.15  80.80%  244,569.85  81.47%  -0.67%  25.91%

                                                                                    结构性存款全部赎回以及经
 其中:货币资金      83,271.14    21.85%  32,934.44  10.97%  10.88%  152.84%  营、投资、筹资活动的综合影
                                                                                    响所致

    应收票据        55,727.15    14.62%  70,788.94  13.59%    1.03%    36.62%  公司业务规模扩大所致

    应收账款        59,661.09    15.66%  35,744.60  11.91%    3.75%    66.91%  公司业务规模扩大所致

    预付款项        2,976.82    0.78%  3,996.76    1.33%    -0.55%  -25.52%

    其他应收款        716.68    0.19%    427.75    0.14%    0.05%    67.55%  计提定期存款利息所致

      存货          60,032.79    15.75%  54,168.68  18.05%  -2.30%  10.83%

    合同资产        12,629.19    3.31%  6,285.12    2.09%    1.22%  100.94%  公司业务规模扩大所致

  其他流动资产      1,206.02    0.32%  70,223.56  23.39%  -23.07%  -98.28%  结构性存款全部赎回所致

二、非流动资产合计  73,148.00    19.19%  55,612.22  18.53%    0.66%    31.53%

其中:投资性房地产    1,319.14    0.35%  1,398.18    0.47%    -0.12%  -5.65%

    固定资产        43,556.37    11.43%  29,797.36  9.93%    1.50%    46.18%  募投项目结项以及自筹资金
                                                                                    购置固定资产所致

    在建工程        3,240.77    0.85%  2,128.97    0.71%    0.14%    52.22%  未来城二期项目投入增多所
                                                                                    致

    无形资产        6,577.49    1.73%  6,661.63    2.22%    -0.49%  -1.26%

      商誉          6,022.14    1.58%  6,022.14    2.01%    -0.43%    0.00%

  长期待摊费用      5,755.62    1.51%  6,086.28    2.03%    -0.52%  -5.43%


                                                                                    存货跌价、应收款项坏账、递
 递延所得税资产      2,743.34    0.72%  1,065.19    0.35%    0.37%  157.54%  延收益形成的可抵扣暂时性
                                                                                    差异增加所致

 其他非流动资产      3,797.15    1.00%  2,452.46    0.82%    0.18%    54.83%  预付工程款增多所致

  三、资产总计      381,095.15  100.00  300,182.06  100.00    0.00%    26.95%

                                    %                    %

      项目                期末                  期初          占比变  同比变            备注

                        金额      占比      金额      占比      化      化

 一、流动负债合计    103,051.47  27.04%  57,107.25  19.02%    8.02%    80.45%

 其中:短期借款      2,000.00    0.52%    0.00      0.00%    0.52%  100.00%  子公司纾困贷款增加所致

      应付票据      3,190.00    0.84%  5,605.00    1.87%    -1.03%  -43.09%  公司业务规模扩大所致

    应付账款        49,300.14    12.94%  43,375.05  14.45%  -1.51%  13.66%

    预收款项          102.05    0.03%    0.00      0.00%    0.03%  100.00%

      合同负债      2,559.63    0.67%  1,618.99    0.54%    0.13%    58.10%  公司业务规模扩大所致

  应付职工薪酬      7,781.55    2.04%  5,220.81    1.74%    0.30%    49.05%

    应交税费        4,235.31    1.11%    603.18    0.20%    0.91%  602.16%  应交增值税、所得税增加所致

    其他应付款        2,156.51    0.57%    684.23    0.23%    0.34%  215.17%  本年未支付的员工餐费、员工
                                                                                    宿舍、物业费、班车费等所致

二、非流动负债合计  11,490.54    3.02%  5,014.71    1.67%    1.35%  129.14%

 其中:递延收益      6,781.43    1.78%  1,770.48    0.59%    1.19%  283.03%  本年收到政府补助增多所致

 递延所得税负债      4,709.11    1.24%  3,244.24    1.08%    0.16%    45.15%  固定资产加速折旧形成的应
                                                                                    纳税暂时性差异增加所致

  三、负债合计      114,542.01  30.06%  62,121.97  20.69%    9.37%    84.38%

四、所有者权益合计  266,553.14  69.94%  238,060.10  79.31%  -9.36%  11.97%

    其中:股本      28,800.00    7.56%  19,200.00  6.40%    1.16%    50.00%  未分配利润转增股本所致

    资本公积        106,541.12  27.96%  106,541.12  35.49%  -7.53%    0.00%

    盈余公积        11,965.30    3.14%  9,600.00    3.20%    -0.06%  24.64%

    未分配利润      109,249.89  28.67%  94,216.87  31.39%  -2.72%  15.96%  经营积累增多以及未分配利
                                                                                    润转增股本所致

    归母所有者权  256,556.32  67.32%  229,557.99  76.47%  -9.15%  11.76%

      益

  少数股东权益      9,996.82    2.62%  8,502.10    2.83%    -0.21%  17.58%  子公司经营积累增多所致

五、负债和所有者权  381,095.15  100.00  300,182.06  100.00    0.00%    26.95%

    益总计                        %                    %

          (二)主要指标

                      指标名称                    2020 年            2019 年            变化值

                  资产负债率(%)                30.06            20.69 
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