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首页 公告 601869:长飞光纤2019年度业绩快报的补充公告

601869:长飞光纤2019年度业绩快报的补充公告

公告日期:2020-04-07

601869:长飞光纤2019年度业绩快报的补充公告 PDF查看PDF原文

证券代码:601869        证券简称:长飞光纤      公告编号:临 2020-014
          长飞光纤光缆股份有限公司

        2019 年度业绩快报的补充公告

  本公司董事会及全体董事保证本公告内容不存在任何虚假记载、误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连带责任。
    长飞光纤光缆股份有限公司(以下简称“公司”或“集团”)于 2020 年 3 月 27
日在上海证券交易所网站及指定信息披露媒体发布《长飞光纤光缆股份有限公司
2019 年度业绩快报公告》,并同日在香港联交所网站发布《截至 2019 年 12 月
31 日止年度之未经审核全年业绩公告》。

    为便于投资者阅读,现对 2019 年度业绩快报内容进行补充披露,补充披露
主要涉及 2019 年度未经审计的合并报表及其附注、财务及经营情况说明、未来
展望及公司战略等,补充披露内容也已于 2020 年 3 月 27 日刊发在香港联交所网
站发布的《截至 2019 年 12 月 31 日止年度之未经审核全年业绩公告》,并无新
增披露信息。具体补充披露内容如下:

  一、 2019 年度未经审计的合并报表及其附注

合并利润表
截至二零一九年十二月三十一日止年度
(以人民币元列示)

                                            附注      二零一九年      二零一八年
                                                        (未经审计)      (经审计)
一、 营业收入                                    4      7,769,175,495    11,359,764,086
二、 减:营业成本                                4      5,935,648,889    8,131,340,393
        税金及附加                                        26,708,981      61,749,553
        销售费用                                        347,325,663      385,304,803
        管理费用                                        428,531,381      646,920,902
        研发费用                                        413,538,214      516,757,100
        财务费用                                5        15,194,362      40,148,836
        其中:利息费用                                    53,335,013      44,799,968
              利息收入                                    29,514,105      27,871,149
    加:其他收益                                6        203,936,325      27,858,039
        投资收益                                        130,756,609      151,058,214
        其中:对联营企业和合营企业

                的投资收益                              109,848,127      152,089,231
        公允价值变动收益                                    238,970          257,993
        信用减值损失                                      (33,407,343)      (48,290,427)
        资产减值损失                                      (33,325,145)      (38,615,213)
        资产处置收益╱(损失)                            7,367,173      (2,741,721)
三、 营业利润                                            877,794,594    1,667,069,384
    加:营业外收入                                        6,520,253        3,514,740
    减:营业外支出                                          805,799        1,059,066
四、 利润总额                                            883,509,048    1,669,525,058
    减:所得税费用                              7        99,224,076      181,494,174
五、 净利润                                              784,284,972    1,488,030,884
    归属于母公司股东的净利润                            801,225,042    1,489,185,053
    少数股东损益                                          (16,940,070)      (1,154,169)

                                            附注      二零一九年      二零一八年
                                                        (未经审计)      (经审计)
六、 其他综合收益的税后净额

    归属母公司股东的其他

      综合收益的税后净额:                                11,599,640      (38,125,893)
      (一)不能重分类进损益的

            其他综合收益

          其他权益工具投资

            公允价值变动损益                              (6,508,537)      (31,142,485)
      (二)将重分类进损益的

            其他综合收益

          外币财务报表折算差额                            18,108,177      (6,983,408)
    归属于少数股东的其他

      综合收益的税后净额                                  1,513,031      (5,393,685)
七、 综合收益总额                                        797,397,643    1,444,511,306
    归属于母公司股东的综合收益总额                      812,824,682    1,451,059,160
    归属于少数股东的综合收益总额                          (15,427,039)      (6,547,854)
八、 每股收益:

    (一)基本每股收益                          8              1.06            2.09
    (二)稀释每股收益                          8              1.06            2.09
合并资产负债表
于二零一九年十二月三十一日
(以人民币元列示)

                                                        二零一九年        二零一八年
                                        附注    十二月三十一日    十二月三十一日
                                                      (未经审计)        (经审计)
资产
流动资产:

货币资金                                              2,123,861,315      2,684,163,417
交易性金融资产                                            9,902,598        32,913,367
应收票据                                  10          232,508,205        322,084,314
应收账款                                  11        3,123,505,778      2,976,756,984
应收款项融资                              12          95,235,940        118,621,938
预付款项                                                120,994,458        92,445,336
其他应收款                                              109,599,839        135,603,164
存货                                                  1,779,342,250        995,149,268
其他流动资产                                            256,866,780        130,323,468
流动资产合计                                          7,851,817,163      7,488,061,256
非流动资产:

长期应收款                                              16,000,000                –
长期股权投资                                          1,495,444,610      1,626,151,304
其他权益工具投资                                        57,172,099        64,829,201
固定资产                                              3,650,78
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