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首页 公告 长虹华意:2020年度财务决算报告

长虹华意:2020年度财务决算报告

公告日期:2021-03-29

长虹华意:2020年度财务决算报告 PDF查看PDF原文

              长虹华意压缩机股份有限公司

                2020 年度财务决算报告

  长虹华意压缩机股份有限公司(以下简称“公司”或“本公司)2020 年财务报表已经信永中和会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告。会计师的审计意见为:公司的财务报表在所有重大方面按照企
业会计准则的规定编制,公允反映了公司 2020 年 12 月 31 日合并及公司的财务
状况以及 2020 年度合并及公司的经营成果和现金流量。

  现将公司 2020 年度财务决算情况报告如下:

  一、主要会计数据和财务指标

                                                            单位:元

          项目              2020 年度        2019 年度      本年比上年增减

营业收入                    10,452,989,086.51  9,589,210,837.07            9.01%

归属于上市公司股东的净利润    116,035,057.67    30,626,402.76          278.87%

归属于上市公司股东的扣除非      55,841,069.05    35,410,248.15            57.70%
经常性损益的净利润

经营活动产生的现金流量净额    559,987,600.10    782,449,500.70          -28.43%

基本每股收益(元/股)                0.1667          0.0440          278.86%

稀释每股收益(元/股)                0.1667          0.0440          278.86%

加权平均净资产收益率                  3.55%          0.95%            2.60%

                            2020 年期末      2020 年期初    期末比期初增减

总资产                      10,938,363,652.13 10,248,441,712.99            6.73%

归属于上市公司股东的净资产  3,317,166,650.85  3,213,643,255.33            3.22%

  二、资产负债表变动情况分析

                                                            单位:元

                          2020 年期末              2020 年期初

      项目              金额      占总资      金额      占总资 变动幅度
                                      产比例                  产比例

货币资金              2,604,996,442.43 23.82%  2,894,716,557.61 28.25% -10.01%

衍生金融资产            19,365,795.56  0.18%      6,231,267.14  0.06% 210.78%

交易性金融资产          805,000,000.00  7.36%    650,000,000.00  6.34%  23.85%

应收票据                362,777,774.70  3.32%    107,013,578.24  1.04% 239.00%

应收账款                991,071,616.82  9.06%  1,494,254,382.48 14.58% -33.67%

应收款项融资          1,967,233,640.50 17.98%  1,371,218,800.03 13.38%  43.47%

预付账款                179,319,019.79  1.64%    122,785,145.06  1.20%  46.04%

存货                  1,304,967,236.18 11.93%  1,239,847,478.53 12.10%  5.25%

长期股权投资            171,256,012.93  1.57%    166,156,862.39  1.62%  3.07%

其他非流动金融资产      506,272,296.23  4.63%      9,536,853.37  0.09% 5208.59%

固定资产              1,473,954,597.30 13.48%  1,542,921,931.56 15.06%  -4.47%

无形资产                277,394,018.63  2.54%    298,071,411.50  2.91%  -6.94%

商誉                    63,914,057.12  0.58%    132,487,175.25  1.29% -51.76%

短期借款              1,149,096,672.57 10.51%  1,285,573,875.00 12.54% -10.62%

应付票据              2,449,466,575.80 22.39%  2,335,503,332.67 22.79%  4.88%

应付账款              2,114,231,699.37 19.33%  1,632,983,774.05 15.93%  29.47%

应付职工薪酬            131,334,405.62  1.20%    143,697,426.14  1.40%  -8.60%

其他应付款              133,434,724.23  1.22%    98,297,544.63  0.96%  35.75%

合同负债                57,568,651.97  0.53%    39,533,370.72  0.39%  45.62%

一年内到期的非流动    60,300,437.50  0.55%    12,000,000.00  0.12% 402.50%
负债

长期借款                168,000,000.00  1.54%    228,000,000.00  2.22% -26.32%

递延收益                134,372,466.72  1.23%    118,226,772.08  1.15%  13.66%

  变动幅度较大的项目说明:

  1、报告期末衍生金融资产较期初增长 210.78%,主要系未到期外汇合约公允价值增加所致。

  2、报告期末应收票据较期初增长 239.00%,主要系销售规模增长带来票据结算增加所致。

  3、报告期末应收账款较期初下降 33.67%,主要系加强应收账款管理,加速资金回笼所致。

  4、报告期末应收款项融资较期初增长 43.47%,主要系未到期银行承兑汇票增加所致。

  5、报告期末预付账款较期初增长 46.04%,主要系预付钢材款增加所致。
  6、报告期末其他非流动金融资产较期初增长 5208.59%,主要系新增持有四川长虹集团财务有限公司股权所致。

  7、报告期末商誉较期初下降 51.76%,主要系上海威乐、长虹格兰博商誉减值所致。

致。

  9、报告期合同负债较期初增长 45.62%,主要系预收客户货款增加所致。
  10、报告期一年内到期的非流动负债增长 402.50%,主要系一年内到期待偿还的长期借款增加所致。

  三、经营成果及变动情况

                                                            单位:元

            项目                  2020 年度        2019 年度      同比变动

营业收入                        10,452,989,086.51  9,589,210,837.07      9.01%

营业成本                          9,256,527,931.58  8,567,036,904.76      8.05%

税金及附加                          35,658,663.12    32,624,079.03      9.30%

销售费用                            240,016,180.47    225,580,921.39      6.40%

管理费用                            300,678,337.65    351,880,992.00      -14.55%

研发费用                            378,987,181.86    317,518,378.70      19.36%

财务费用                            -10,282,842.04    -34,592,912.49      70.27%

其他收益                            36,586,201.25    35,517,573.66      3.01%

投资收益(损失以“-”号填列)      50,996,482.97    39,123,364.32      30.35%

公允价值变动收益(损失以“-”号      9,766,273.84      -3,589,207.46    372.10%
填列)

信用减值损失(损失以“-”号填列)    -9,081,968.70    -14,410,773.84    -36.98%

资产减值损失(损失以“-”号填列)  -138,722,753.52    -63,481,233.51    118.53%

资产处置收益(损失以“-”号填列)    7,640,481.56      -1,828,377.90    517.88%

营业利润                            208,588,351.27    120,493,818.95      73.11%

营业外收入                            6,648,468.12      7,170,445.79      -7.28%

营业外支出                            824,041.01        772,509.92      6.67%

利润总额                            214,412,778.38    126,891,754.82      68.97%

所得税费用                          32,714,999.42    26,877,718.73      21.72%

净利润                              181,697,778.96    100
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