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漳州发展:2020年财务决算报告

公告日期:2021-04-17

漳州发展:2020年财务决算报告 PDF查看PDF原文

              福建漳州发展股份有限公司

                  2020 年财务决算报告

        一、生产经营状况

        (一)2020 年,公司实现营业收入 311,616.79 万元;营业利润

    19,292.15 万元;归属于母公司的净利润 13,336,27 万元,较上年同

    比增长 28.68%,主要为本期收到参股公司天同地产投资收益。

        (二)营业收入:报告期内实现营业收入 311,616.79 万元,同

    比增长 9.58%。具体如下:

                                                                              单位:元

    项  目                      2020 年                              2019 年                  同比增减

                          金额        占营业收入比重        金额        占营业收入比重

水务业务                248,831,013.92            7.99%    207,436,146.48          7.30%            0.69%

汽贸业务              1,438,870,884.28          46.17%  1,552,685,724.64        54.60%          -8.43%

工程施工业务          1,003,121,604.88          32.19%    431,944,930.73        15.19%          17.00%

房地产业务              306,834,224.43            9.85%    567,123,542.79        19.94%          -10.09%

贸易业务                36,494,015.58            1.17%        15573097.49          0.55%            0.62%

其他业务                82,016,112.79            2.63%      68,947,904.12          2.42%            0.21%

        (三)营业成本:报告期内的营业成本 258,351.57 万元,同比

    增长 14.10%。具体如下:

                                                                              单位:元

      行业分类                  2020 年                              2019 年                  同比增减

                          金额        占营业成本比重        金额        占营业成本比重

  水务业务            131,921,612.62            5.11%  110,772,506.71            4.89%          0.22%

  汽贸业务          1,342,705,873.08          51.97% 1,440,540,860.00            63.62%        -11.65%

  工程施工业务        874,046,857.53          33.83%  339,993,347.07            15.02%        18.81%

  房地产业务          170,222,635.00            6.59%  339,148,017.11            14.98%        -8.39%

  贸易                  30,301,669.22            1.17%      10907699.11            0.48%          0.69%

  其他业务              34,317,076.84            1.33%    22,873,749.08            1.01%          0.32%

        (四)期间费用:报告期内期间费用 33,662.67 万元,同比下降

    4.32%,具体如下:

                                                                              单位:元


          项 目            2020 年          2019 年        同比增减            重大变动说明

  销售费用                  166,717,472.64    177,126,113.84          -5.88% ---

  管理费用                  125,592,225.54    137,948,084.81          -8.96% ---

  财务费用                  44,317,044.04      36,755,834.60          20.57% ---

        二、报告期内财务指标

          2020年12月31日,公司总资产70.97亿元,比年初增长28.34%;

      归属母公司净资产 24.63 亿元,比年初增长 3.75%;归属母公司每

      股收益0.1345元;归属母公司每股净资产2.48元,比期初增长3.77%。

          2020 年 12 月 31 日,公司资产负债率 63.77%,比期初上升了 7.61

      个百分点;流动比率为 1,比年初减少了 0.41;速动比率为 0.6,比

      期初减少了 0.18。具体如下:

                                                                              单位:元

                        2020 年末                    2020 年初

    项  目            金额        占总资产        金额        占总资产 比重增减        重大变动说明

                                    比例                        比例

货币资金          941,909,815.98  13.27%  1,300,866,384.52  23.52% -10.25% ---

应收账款          384,305,689.54    5.42%    125,046,607.85    2.26%  3.16% 主要为本期二水源及内河治理等
                                                                                项目应收账款增加

存货            1,220,547,515.40  17.20%  1,423,904,232.40  25.75%  -8.55% ---

投资性房地产      100,146,457.97    1.41%    132,196,771.87    2.39%  -0.98% ---

长期股权投资      665,549,770.09    9.38%    555,264,159.76  10.04%  -0.66% ---

                                                                                主要为漳州市第二自来水厂扩建
固定资产          576,513,539.97    8.12%    363,140,922.07    6.57%  1.55% 工程竣工从在建工程转入固定资
                                                                                产核算

在建工程        1,556,008,519.01  21.93%    494,853,175.79    8.95%  12.98% 主要为本期水务、污水处理及内河
                                                                                治理等项目投建增加

                                                                                主要为本期漳州市东墩污水处理
无形资产          847,098,995.24  11.94%    540,045,787.97    9.77%  2.17% 厂(二期)工程完工转入无形资产
                                                                                核算

                                                                                主要为内河治理及南靖农村污水
其他非流动资产      98,243,009.19    1.38%      1,586,242.61    0.03%  1.35% PPP 项目预计于 2022 年完工,对应
                                                                                的增值税留抵调至此科目核算

短期借款          656,385,562.41    9.25%    452,818,472.57    8.19%  1.06% 主要为本期增加公司流动资金

                                                                                主要为本期东墩、二水厂、三水厂
应付账款        1,064,533,226.69  15.00%    496,983,964.08    8.99%  6.01% 及内河治理等项目暂估应付账款
                                                            
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