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首页 公告 603063:禾望电气2020年财务决算报告

603063:禾望电气2020年财务决算报告

公告日期:2021-04-28

603063:禾望电气2020年财务决算报告 PDF查看PDF原文

                  深圳市禾望电气股份有限公司

                      2020 年财务决算报告

        各位董事:

            公司财务报表经天健会计师事务所(特殊普通合伙)审计,公司 2020 年

        12 月 31 日的财务状况以及 2020 年度的经营成果和财务状况如下:

        一、主要会计数据及财务指标变动情况

        1、主要经营情况:

                                                                          单位:人民币元

                  项目                      2020年度        2019年度    增减变动幅度(%)

  营业总收入                              2,338,516,544.74  1,786,258,128.40              30.92

  营业利润                                  279,101,546.11    93,018,157.97              200.05

  利润总额                                  285,381,277.36    95,312,058.00              199.42

  归属于上市公司股东的净利润                266,679,918.69    66,340,512.43              301.99

  归属于上市公司股东的扣除非经常性损益      282,780,766.15  -61,853,480.09              557.18

  的净利润

  经营活动产生现金流量净额                  140,726,093.41  104,173,439.22              35.09

        2、主要资产情况

                                                                          单位:人民币元

                项目                    2020年度            2019年度      增减变动幅度(%)

  总资产                                4,247,400,829.05    4,243,914,104.58              0.08%

  总负债                                1,449,262,671.76    1,675,408,573.19              -13.50

  归属于上市公司股东的净资产            2,796,635,587.77    2,473,791,692.37              13.05

        3、主要销售构成情况

                                                                          单位:人民币元

                                                毛利率  营业收入  营业成本  毛利率比上年增减
    分产品        营业收入        营业成本    (%)  比上年增  比上年增        (%)

                                                          减(%)  减(%)

新能源电控业务  1,621,930,770.47  945,633,542.10    41.70      65.96      74.77  减少 2.94 个百分点

电站系统集成      528,869,428.09  468,937,400.07    11.33      -25.4      -14.35  减少 11.44 个百分点

其他              164,218,688.19    84,535,051.89    48.52      85.79      99.05  减少 3.43 个百分点

合计            2,315,018,886.75  1,499,105,994.06    35.24      30.45      32.54  减少 1.03 个百分点

        二、财务状况、经营成果和现金流量分析

          1、资产及负债状况

                                                                          单位:人民币元

                                                                      上期期  本期期

                                          本期期末                  末数占  末金额

            项目名称        本期期末数    数占总资    上期期末数    总资产  较上期  情况说

                                          产的比例                  的比例  期末变    明

                                            (%)                    (%)  动比例

                                                                                (%)

        交易性金融资产      83,160,000.00      1.96    127,809,524.82    3.01    -34.93  (1)

        应收票据            25,234,114.22      0.59      58,647,825.90    1.38    -56.97  (2)

        应收款项融资        426,833,555.87      10.05    247,742,863.69    5.84    72.29  (3)

        预付款项              6,142,867.92      0.14      73,537,912.94    1.73    -91.65  (4)

        其他应收款          256,470,870.15      6.04      44,596,590.39    1.05  475.09  (5)

        合同资产            84,076,951.60      1.98                            不适用  (6)

        其他流动资产        64,060,183.35      1.51    183,668,526.29    4.33    -65.12  (7)

        长期股权投资        195,413,927.22      4.60      92,649,007.75    2.18    110.92  (8)

        其他权益工具投资                                58,872,386.41    1.39  -100.00  (9)

        在建工程            122,589,699.89      2.89      30,978,110.54    0.73  295.73  (10)

        无形资产            79,199,135.82      1.86      36,609,896.00    0.86    116.33  (11)

        商誉                                            269,801,705.74    6.36  -100.00  (12)

        其他非流动资产      141,608,509.22      3.33      88,664,214.62    2.09    59.71  (13)

        短期借款                                        19,900,000.00    0.47  -100.00  (14)

        应付票据            761,500,400.63      17.93    473,809,010.62  11.16    60.72  (15)

        应付账款            344,975,287.61      8.12    716,611,711.57  16.89    -51.86  (16)

        预收款项            14,271,490.00      0.34    119,841,842.70    2.82    -88.09  (17)

        合同负债            35,889,485.62      0.84                            不适用  (18)

        其他应付款          129,423,070.12      3.05      53,653,056.50    1.26  141.22  (19)

        一年内到期的非流    20,964,600.00      0.49                            不适用  (20)

        动负债

        其他流动负债          4,665,633.12      0.11                            不适用  (21)

        长期应付款                                      158,000,000.00    3.72  -100.00  (22)

        其他说明

(1)交易性金融资产: 2020 年期末无购买理财产品未到期的余额
(2)应收票据:本期对信用等级较低的企业拒收商票,以电汇、或银行承兑汇票结算
(3)应收款项融资:本期对信用等级较低的企业拒收商票,以电汇、或银行承兑汇票结算,加上本期收入增加,银行承兑汇票相应增加
(4)预付款项:上年期末主要系孚尧预付工程款,本期已转让孚尧股权。
(5)其他应收款:本年新增孚尧股权转让款
(6)合同资产:按新收入准则列示
(7)其他流动资产:期末无结存的购买理财产品
(8)长期股权投资:主
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