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首页 公告 海昌新材:2020年度财务决算报告

海昌新材:2020年度财务决算报告

公告日期:2021-04-26

海昌新材:2020年度财务决算报告 PDF查看PDF原文

            扬州海昌新材股份有限公司

                2020 年度财务决算

  本报告所涉及的财务数据已经中兴财光华会计师事务所审计,财务报表按照
企业会计准则的规定编制,在所有重大方面公允地反映了公司 2020 年 12 月 31
日的财务状况以及 2020 年的经营成果和现金流量。

      一、  2020 年公司主要财务状况

    (一) 年末资产、负债及所有者权益情况:

  1、公司资产总计 74,176.88 万元,其中:流动资产 63,202.35 万元、非流
动资产 10,974.53 万元。流动资产包括:货币资金 29,664.43 万元、交易性金融
资产 10,763.37 万元、应收账款 8,219.74 万元、应收款项融资 10.00 万元、预
付款项 69.14 万元、其他应收款 167.30 万元、存货 3,222.65 万元、其他流动资
产 11,085.72 万元;非流动资产包括:其他权益工具投资 242.00 万元、固定资
产 8,148.81 万元、在建工程 621.52 万元、无形资产 1,432.84 万元、递延所得
税资产 100.90 万元;其他非流动资产 428.46 万元。

  2、公司负债总计 3,414.98 万元,其中:流动负债 3,368.07 万元、非流动
负债(递延收益)46.91 万元。流动负债包括:应付账款 2,080.60 万元、合同
负债 22.42 万元、应付职工薪酬 750.60 万元、应交税费 464.38 万元、其他应付
款 50.07 万元。

  3、归属于母公司股东权益为 70,761.90 万元,其中:股本 8,000.00 万元、
资本公积 39,461.29 万元、盈余公积 2,405.06 万元、未分配利润 20,895.55 万
元。

 序号        项目        2020 年末    2019 年末      增减      增减幅度

 一、  资产总计:          74,176.88    33,676.97    40,499.91      120.26%

  1  流动资产            63,202.35    23,266.40    39,935.95      171.65%

 1.1  货币资金            29,664.43    10,822.26    18,842.17      174.11%

 1.2  交易性金融资产      10,763.37            -    10,763.37

 1.3  应收票据                    -        3.48        -3.48    -100.00%


 序号        项目        2020 年末    2019 年末      增减      增减幅度

 1.4  应收账款            8,219.74    5,158.74    3,061.00      59.34%

 1.5  应收款项融资            10.00            -        10.00

 1.6  预付款项                69.14        27.04        42.10      155.70%

 1.7  其他应收款            167.30        77.24        90.06      116.60%

 1.8  存货                3,222.65    2,940.90      281.75        9.58%

 1.9  其他流动资产        11,085.72    4,236.74    6,848.98      161.66%

  2  非流动资产          10,974.53    10,410.57      563.96        5.42%

 2.1  其他权益工具投资      242.00      242.00            -        0.00%

 2.2  固定资产            8,148.81    7,670.27      478.54        6.24%

 2.3  在建工程              621.52    1,049.35      -427.83      -40.77%

 2.4  无形资产            1,432.84    1,333.38        99.46        7.46%

 2.5  长期待摊费用                -        4.66        -4.66    -100.00%

 2.6  递延所得税资产        100.90        71.39        29.51      41.34%

 2.7  其他非流动资产        428.46        39.52      388.94      984.16%

 二、  负债总计:          3,414.98    3,577.85      -162.87      -4.55%

  1  流动负债            3,368.07    3,533.37      -165.30      -4.68%

 1.1  应付账款            2,080.60    2,374.36      -293.76      -12.37%

 1.2  预收款项                    -        3.08        -3.08    -100.00%

 1.3  合同负债                22.42            -        22.42

 1.4  应付职工薪酬          750.60      662.42        88.18      13.31%

 1.5  应交税费              464.38      456.88        7.50        1.64%

 1.6  其他应付款              50.07        36.63        13.44      36.69%

  2  非流动负债              46.91        44.48        2.43        5.46%

 2.1  递延收益                46.91        44.48        2.43        5.46%

 三、  股东权益:          70,761.90    30,099.12    40,662.78      135.10%

  1  股本                8,000.00    6,000.00    2,000.00      33.33%

  2  资本公积[注]        39,461.29    7,061.12    32,400.17      458.85%

  3  盈余公积            2,405.06    1,778.80      626.26      35.21%

  4  未分配利润          20,895.55    15,259.20    5,636.35      36.94%

  注:资本公积 39,461.29 万元,形成过程如下:①股改基准日(2015 年 12 月 31 日)
累计盈余公积及未分配利润转入 7,032.37 万元;②全资子公司注销形成 28.75 万元;2020年发行新股形成 32,400.17 万元。

    (二) 年度损益情况:

  2020 年度公司营业收入 21,629.65 万元,营业利润 6,899.52 万元、利润总
额 7,305.75 万元、净利润 6,262.61 万元,扣除非经常性损益 673.92 万元后,
净利润 5,588.69 万元,归属于母公司所有者的净利润 5,588.69 万元。


 序号            项目            2020 年度    2019 年度      增减      增减幅度

  1  主营业务收入                21,629.65    18,246.16    3,383.49      18.54%

  2  其他业务收入                    5.45        4.27        1.18      27.63%

  3      减:营业成本            12,213.76    10,302.16    1,911.60      18.56%

  4          税金及附加            189.02        176.6        12.42        7.03%

  5          销售费用              233.24      375.89      -142.65      -37.95%

  6          管理费用              988.64      745.47      243.17      32.62%

  7          研发支出              823.92      796.65        27.27        3.42%

  8          财务费用[注]          486.52      -186.64      673.16    -360.67%

  9      加:投资收益              277.97      250.65        27.32      10.90%

  10          其他收益                62.03        33.62        28.41      84.50%

  11          公允价值变动收益        63.37                      63.37

  12          信用减值损失          -163.15        61.79      -224.94    -364.04%

  13          资产减值损失            -40.70      -89.58        48.88      -54.57%

 一、  营业利润                    6,899.52    6,296.78      602.74        9.57%

  14      加:营业外收入            438.23      667.12      -228.89      -34.31%

  15      减:营业外支出              32.00                      32.00

 二、  利润总额                    7,305.75    6,963.90      341.85        4.91%

  16      减:所得税费用          1,043.14    1,007.49        35.65        3.54%

 三、  净利润                      6,262.61    5,956.41      306.20   
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