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卓胜微:2020年度财务决算报告 下载公告
公告日期:2021-03-31

江苏卓胜微电子股份有限公司

2020年度财务决算报告江苏卓胜微电子股份有限公司(以下简称“公司”)2020年财务报表已经立信会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告,公司2020年度的财务决算相关情况如下:

一、主要会计数据

单位:元

项目2020年2019年增减变动幅度
营业收入2,792,147,535.481,512,394,554.1184.62%
营业成本1,316,841,675.48718,905,369.5183.17%
营业利润1,218,291,931.63562,645,024.35116.53%
归属上市公司股东的净利润1,072,792,543.32497,169,961.25115.78%
归属于上市公司股东的扣除非经常性损益的净利润1,029,690,284.42486,484,890.28111.66%
经营活动产生的现金流量净额1,005,430,233.8455,619,758.861707.69%
期末总股本(万股)18,000.0010,000.0080.00%
资产总额3,090,294,998.911,923,130,973.5360.69%
负债总额438,218,390.26225,628,072.6094.22%
归属于上市公司普通股股东的所有者权益2,659,860,022.321,703,107,041.8356.18%
项目2020年2019年增减变动幅度
基本每股收益(元/股)5.96003.156688.81%
稀释每股收益(元/股)5.96003.156688.81%
加权平均净资产收益率49.37%44.62%4.75%
扣除非经常性损益后的加权平均净资产收益率47.38%43.66%3.72%
每股经营活动产生的现金流量净额(元/股)5.590.56898.21%
归属于上市公司股东的每股净资产(元/股)14.7817.03-13.21%
资产负债率14.18%11.73%2.45%

单位:元

项目2020年末2019年末变动额增减变动比率
货币资金1,474,929,461.54476,908,154.60998,021,306.94209.27%
交易性金融资产95,000,000.00505,150,920.85-410,150,920.85-81.19%
应收账款337,712,320.52378,300,083.87-40,587,763.35-10.73%
预付款项31,610,188.7532,135,803.34-525,614.59-1.64%
其他应收款16,557,840.391,982,018.5414,575,821.85735.40%
存货632,164,172.43366,108,599.00266,055,573.4372.67%
其他流动资产63,681,010.8823,373,680.3740,307,330.51172.45%
流动资产合计2,651,654,994.511,783,959,260.57867,695,733.9448.64%
长期股权投资25,764,929.2224,273,922.091,491,007.136.14%
其他权益工具投资57,842,240.000.0057,842,240.00100.00%
其他非流动金融资产109,213,381.610.00109,213,381.61100.00%
固定资产102,792,957.8672,119,840.0230,673,117.8442.53%
在建工程12,410,117.340.0012,410,117.34100.00%
无形资产61,947,739.415,120,601.6156,827,137.801109.77%
长期待摊费用3,783,891.211,403,870.362,380,020.85169.53%
递延所得税资产9,980,320.547,438,082.882,542,237.6634.18%
其他非流动资产54,904,427.2128,815,396.0026,089,031.2190.54%
非流动资产合计438,640,004.40139,171,712.96299,468,291.44215.18%
资产合计3,090,294,998.911,923,130,973.531,167,164,025.3860.69%

系增加对外投资所致;其他非流动金融资产期末较上年末增加109,213,381.61元,增长比例100.00%,主要系增加对外投资所致;

固定资产期末较上年末增加30,673,117.84元,增长比例42.53%,主要系大量采购研发及生产设备所致;

在建工程期末较上年末增加12,410,117.34元,增长比例100.00%,主要系增加厂房建设所致;

无形资产期末较上年末增加56,827,137.80元,增长比例1109.77%,主要系购置土地使用权所致;

长期待摊费用期末较上年末增加2,380,020.85元,增长比例169.53%,主要系增加办公楼装修费用所致;

递延所得税资产期末较上年末增加2,542,237.66元,增长比例34.18%,主要系可抵扣暂时性差异增加所致;

其他非流动资产期末较上年末增加26,089,031.21元,增长比例90.54%,主要系购置设备预付款增加所致;

2、负债构成及变动情况

单位:元

项目2020年末2019年末变动额增减变动比率
应付账款223,546,797.79130,190,261.0093,356,536.7971.71%
预收款项0.002,655,579.59-2,655,579.59-100.00%
合同负债19,391,301.910.0019,391,301.91100.00%
应付职工薪酬32,276,507.1323,238,274.819,038,232.3238.89%
应交税费115,744,671.3943,192,893.7672,551,777.63167.97%
其他应付款10,921,433.709,644,070.871,277,362.8313.25%
其他流动负债1,491,262.060.001,491,262.06100.00%
流动负债合计403,371,973.98208,921,080.03194,450,893.9593.07%
递延收益2,222,222.262,291,666.77-69,444.51-3.03%
递延所得税负债32,624,194.0214,415,325.8018,208,868.22126.32%
非流动负债合计34,846,416.2816,706,992.5718,139,423.71108.57%
负债合计438,218,390.26225,628,072.60212,590,317.6694.22%

应付账款期末较上年末增加93,356,536.79元,增长比例71.71%,主要系增加采购所致;预收账款期末较上年末减少2,655,579.59元,减少比例100.00%,主要系执行新收入准则所致;

合同负债期末较上年末增加19,391,301.91元,增长比例100.00%,主要系执行新收入准则所致;

应付职工薪酬期末较上年末增加9,038,232.32元,增长比例38.89%,主要系本期研发人员增加所致;

应交税费期末较上年末增加72,551,777.63元,增长比例167.97%,主要系本期利润总额大幅增加所致;

其他流动负债期末较上年末增加1,491,262.06元,增长比例100.00%,主要系合同负债增加所致;

递延所得税负债期末较上年末增加18,208,868.22元,增长比例126.32%,主要系境外子公司未分回利润产生的应纳税暂时性差异所致;

3、股东权益情况

单位:元

项目2020年末2019年末变动额增减变动 比率
股本180,000,000.00100,000,000.0080,000,000.0080.00%
资本公积859,506,527.91939,506,527.91-80,000,000.00-8.52%
其他综合收益-25,157,386.453,103,160.38-28,260,546.83-910.70%
盈余公积90,000,000.0050,000,000.0040,000,000.0080.00%
未分配利润1,555,510,880.86610,497,353.54945,013,527.32154.79%
归属于母公司所有者权益2,659,860,022.321,703,107,041.83956,752,980.4956.18%
少数股东权益-7,783,413.67-5,604,140.90-2,179,272.77-38.89%
所有者权益合计2,652,076,608.651,697,502,900.93954,573,707.7256.23%

盈余公积期末较上年末增加40,000,000.00元,增长比例80.00%,主要系提取法定盈余公积所致;

未分配利润期末较上年末增加945,013,527.32元,增长比例154.79%,主要系当年经营净利润增加所致;

4、现金流量情况

单位:元

项目2020年2019年变动额增减变 动比率
经营活动现金流入小计3,044,526,146.961,319,148,507.951,725,377,639.01130.79%
经营活动现金流出小计2,039,095,913.121,263,528,749.09775,567,164.0361.38%
经营活动产生的现金流量净额1,005,430,233.8455,619,758.86949,810,474.981707.69%
投资活动现金流入小计1,103,656,662.28185,523,585.73918,133,076.55494.89%
投资活动现金流出小计973,422,021.39767,382,214.66206,039,806.7326.85%
投资活动产生的现金流量净额130,234,640.89-581,858,628.93712,093,269.82122.38%
筹资活动现金流入小计840,929,245.29-840,929,245.29-100.00%
筹资活动现金流出小计100,613,207.55110,523,445.29-9,910,237.74-8.97%
筹资活动产生的现金流量净额-100,613,207.55730,405,800.00-831,019,007.55-113.77%
汇率变动对现金及现金等价物的影响-37,030,360.247,308,584.33-44,338,944.57-606.67%
现金及现金等价物净增加额998,021,306.94211,475,514.26786,545,792.68371.93%

单位:元

项目2020年2019年变动额增减变动 比率
营业收入2,792,147,535.481,512,394,554.111,279,752,981.3784.62%
营业成本1,316,841,675.48718,905,369.51597,936,305.9783.17%
税金及附加4,133,688.449,280,341.04-5,146,652.60-55.46%
销售费用34,379,364.5642,736,859.19-8,357,494.63-19.56%
管理费用31,783,599.3932,865,154.96-1,081,555.57-3.29%
研发费用182,285,828.07137,645,921.4644,639,906.6132.43%
财务费用18,657,661.55-12,307,886.6530,965,548.20251.59%
其他收益11,773,568.966,984,533.084,789,035.8868.57%
投资收益4,983,981.01770,195.324,213,785.69547.11%
公允价值变动收益36,835,458.775,150,920.8531,684,537.92615.12%
信用减值损失(损失以“-”号填列)1,038,738.39-17,878,687.6418,917,426.03105.81%
资产减值损失(损失以“-”号填列)-40,405,533.49-15,650,731.86-24,754,801.63-158.17%
营业利润1,218,291,931.63562,645,024.35655,646,907.28116.53%
营业外收入2,202,248.771,857,247.63345,001.1418.58%
营业外支出3,343,446.011,846,678.551,496,767.4681.05%
利润总额1,217,150,734.39562,655,593.43654,495,140.96116.32%
所得税费用146,650,156.1768,198,835.2078,451,320.97115.03%
净利润1,070,500,578.22494,456,758.23576,043,819.99116.50%
归属于母公司所有者的净利润1,072,792,543.32497,169,961.25575,622,582.07115.78%

低导致汇兑损失增加所致;

其他收益期末较上年末增加4,789,035.88元,增长比例68.57%,主要系收到的政府补助增加所致;投资收益期末较上年末增加4,213,785.69元,增长比例547.11%,主要系理财产品及联营企业投资收益所致;公允价值变动收益期末较上年末增加31,684,537.92元,增长比例615.12%,主要系理财产品及其他非流动金融资产公允价值变动所致;

信用减值损失期末较上年末增加18,917,426.03元,增长比例105.81%,主要系公司账款及时收回所致;

资产减值损失期末较上年末减少24,754,801.63元,减少比例158.17%,主要系计提存货跌价所致;

营业外支出期末较上年末增加1,496,767.46元,增长比例81.05%,主要系公益性捐赠增加所致;

所得税费用期末较上年末增加78,451,320.97元,增长比例115.03%,主要系本期利润增加所致。

特此公告。

江苏卓胜微电子股份有限公司董事会

2021年3月31日


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