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首页 公告 603856:东宏股份2020年度财务决算报告

603856:东宏股份2020年度财务决算报告

公告日期:2021-02-09

603856:东宏股份2020年度财务决算报告 PDF查看PDF原文

                              山东东宏管业股份有限公司

                                2020 年财务决算报告

    一、 2020 年度公司财务报表的审计情况

    1、公司 2020 年财务报表已经致同会计师事务所(特殊普通合伙)审计,出具标准无保留意见的审计报
 告。公司财务报表,包括 2020 年 12 月 31 日的合并及公司资产负债表,2020 年度的合并及公司利润表、合并
 及公司现金流量表、合并及公司股东权益变动表以及相关财务报表附注。

    2、主要财务数据和指标:

                                                                        单位:元 币种:人民币

                                                                  本期比上年同

          项目                  2020 年            2019 年                          2018 年

                                                                    期增减(%)

营业收入                      2,392,540,785.30  1,838,571,924.10        30.13  1,637,477,997.18

归属于上市公司股东的净利润      318,503,980.14    201,391,193.02        58.15    154,487,019.20

归属于上市公司股东的扣除非

                                307,237,045.04    181,789,129.54        69.01    123,781,803.52
经常性损益的净利润

经营活动产生的现金流量净额      -27,096,247.47    101,754,691.22      -126.63    68,790,569.75

基本每股收益(元/股)                    1.24              0.79        56.96              0.6

稀释每股收益(元/股)                    1.24              0.79        56.96              0.6

扣除非经常性损益后的基本每

                                          1.20              0.71        69.01            0.48
股收益(元/股)

                                                                  增加4.98个百

加权平均净资产收益率(%)                17.42            12.44                          10.33
                                                                          分点

扣除非经常性损益后的加权平                                      增加5.58个百

                                        16.81            11.23                            8.28
均净资产收益率(%)                                                        分点

                                                                  本期末比上年

                                2020 年末          2019 年末      同期末增减      2018 年末

                                                                      (%)

归属于上市公司股东的净资产    1,960,076,797.17  1,704,162,800.31        15.02  1,550,926,000.95

总资产                        2,868,433,746.28  2,088,068,538.98        37.37  1,886,527,935.50

    二、财务状况


  1、资产项目重大变动情况

                                                                        单位:元 币种:人民币

                                    本期期末数                    上期期末数  本期期末金额较
  项目名称        本期期末数    占总资产的    上期期末数    占总资产的  上期期末变动比
                                    比例(%)                    比例(%)      例(%)

 应收票据            32,495,385.98        1.13    57,376,841.02        2.75          -43.36

 应收账款        1,164,643,104.88      40.60  743,965,418.42        35.63          56.55

 应收款项融资        59,163,531.82        2.06  197,307,233.75        9.45          -70.01

 其他应收款          92,129,249.33        3.21    18,031,730.86        0.86          410.93

 存货              406,619,967.13      14.18  274,222,308.66        13.13          48.28

 合同资产            61,848,424.83        2.16                -            -              -

 其他流动资产        83,956,739.83        2.93    13,362,732.35        0.64          528.29

 其他非流动资产      82,091,375.40        2.86                -            -              -

(1) 应收票据年末数为 32,495,385.98 元,较上年末下降 43.36%,主要是本期商业汇票回款减少所致。(2) 应收账款年末数为 1,164,643,104.88 元,较上年末增长 56.55%,主要是本期收入增长所致。
(3) 应收款项融资年末数为 59,163,531.82 元,较上年末下降 70.01%,主要是本期办理商业汇票贴现增加
      所致。

(4) 其他应收款年末数为 92,129,249.33 元,较上年末增长 410.93%,主要是本期业务保证金增加所致。(5) 存货年末数为 406,619,967.13 元,较上年末增长 48.28%,主要是本期存货备存及发出商品增加所致。(6) 合同资产年末数为 61,848,424.83 元,主要是本期执行新收入准则质保金拆分所致。
(7) 其他流动资产年末数为 83,956,739.83 元,较上年末增长 528.29%,主要是本期未终止确认的应收票
      据增加所致。

(8) 其他非流动资产年末数为 82,091,375.40 元, 主要是本期支付土地保证金及股权交易保证金所致。
  2、负债项目重大变动情况

                                                                        单位:元 币种:人民币

                                    本期期末数                  上期期末数  本期期末金额

    项目名称        本期期末数    占总资产的    上期期末数    占总资产的  较上期期末变

                                      比例(%)                    比例(%)  动比例(%)


  短期借款        253,341,564.59        8.83    17,000,000.00        0.81      1,390.24

  应付票据          59,199,386.26        2.06                -          -            -

  应付账款        120,886,754.98        4.21    78,513,694.96        3.76        53.97

  预收款项                                  -    54,555,403.15        2.61      -100.00

  合同负债        133,546,196.02        4.66                            -            -

  应交税费          39,118,591.27        1.36    29,396,184.98        1.41        33.07

  其他流动负债      91,446,063.05        3.19                -          -            -

(1) 短期借款年末数为 253,341,564.59 元,较上年末增长 1390.24%,主要是本期银行贷款增加所致。(2) 应付票据年末数为 59,199,386.26 元,主要是本期开立商业汇票支付材料款所致。
(3) 应付账款年末数为 120,886,754.98 元,较上年末增长 53.97%,主要是本期末未结算款增加所致。(4) 预收款项年末数为 0 元,主要是本期执行新收入准则预收款项重分类至合同负债所致。
(5) 合同负债年末数为 133,546,196.02 元,主要是本期未完成项目收到的工程进度款及预收款。
(6) 应交税费年末数为 39,118,591.27 元,较上年末增长 33.07%,主要是本期末应交增值税及企业所得税
      增加所致。

(7) 其他流动负债年末数为 91,446,063.05 元,主要是本期未终止确认的应收票据增加所致。

  3、股东权益情况:

                        
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