音飞储存:2020年第三季度报告

来源:巨灵信息 2020-10-31 00:00:00
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    公司代码:603066 公司简称:音飞储存
    
    南京音飞储存设备(集团)股份有限公司
    
    2020年第三季度报告
    
    目录
    
    一、 重要提示.................................................................. 3
    
    二、 公司基本情况.............................................................. 3
    
    三、 重要事项.................................................................. 7
    
    四、 附录..................................................................... 10
    
    一、重要提示
    
    1.1公司董事会、监事会及董事、监事、高级管理人员保证季度报告内容的真实、准确、完整,
    
    不存在虚假记载、误导性陈述或者重大遗漏,并承担个别和连带的法律责任。1.2公司全体董事出席董事会审议季度报告。
    
    1.3公司负责人刘子力、主管会计工作负责人罗秋根及会计机构负责人(会计主管人员)罗秋根
    
    保证季度报告中财务报表的真实、准确、完整。1.4本公司第三季度报告未经审计。
    
    二、公司基本情况
    
    2.1主要财务数据
    
    单位:元币种:人民币
    
                         本报告期末              上年度末          本报告期末比上年度末增
                                                                           减(%)
     总资产             1,438,765,087.35        1,457,304,094.55                    -1.27
     归属于上市公司     1,019,415,749.26          976,119,156.09                     4.44
     股东的净资产
                       年初至报告期末      上年初至上年报告期末      比上年同期增减(%)
                          (1-9月)             (1-9月)
     经营活动产生的        90,873,373.41          -57,846,527.22                   257.09
     现金流量净额
                       年初至报告期末      上年初至上年报告期末       比上年同期增减
                          (1-9月)             (1-9月)                  (%)
     营业收入             453,187,195.71          501,482,159.60                    -9.63
     归属于上市公司        77,240,149.36           72,296,894.57                     6.84
     股东的净利润
     归属于上市公司        67,223,460.61           62,305,576.55                     7.89
     股东的扣除非经
     常性损益的净利
     润
     加权平均净资产                 7.71                    7.42        增加0.29个百分点
     收益率(%)
     基本每股收益                 0.2569                   0.240                     7.04
     (元/股)
     稀释每股收益                 0.2569                   0.240                     7.04
     (元/股)
    
    
    非经常性损益项目和金额
    
    √适用□不适用
    
    单位:元币种:人民币
    
             项目               本期金额        年初至报告期末金额           说明
                               (7-9月)           (1-9月)
     非流动资产处置损益           1,355,962.24        1,355,962.24
     越权审批,或无正式批
     准文件,或偶发性的税
     收返还、减免
     计入当期损益的政府           1,768,498.33        5,281,513.85
     补助,但与公司正常经
     营业务密切相关,符合
     国家政策规定、按照一
     定标准定额或定量持
     续享受的政府补助除
     外
     计入当期损益的对非                               1,253,506.36
     金融企业收取的资金
     占用费
     企业取得子公司、联营
     企业及合营企业的投
     资成本小于取得投资
     时应享有被投资单位
     可辨认净资产公允价
     值产生的收益
     非货币性资产交换损
     益
     委托他人投资或管理           1,082,413.54        2,617,756.80
     资产的损益
     因不可抗力因素,如遭
     受自然灾害而计提的
     各项资产减值准备
     债务重组损益
     企业重组费用,如安置
     职工的支出、整合费用
     等
     交易价格显失公允的
     交易产生的超过公允
     价值部分的损益
     同一控制下企业合并
     产生的子公司期初至
     合并日的当期净损益
     与公司正常经营业务
     无关的或有事项产生
     的损益
     除同公司正常经营业          -5,417,280.60        1,383,600.65
     务相关的有效套期保
     值业务外,持有交易性
     金融资产、衍生金融资
     产、交易性金融负债、
     衍生金融负债产生的
     公允价值变动损益,以
     及处置交易性金融资
     产、衍生金融资产、交
     易性金融负债、衍生金
     融负债和其他债权投
     资取得的投资收益
     单独进行减值测试的
     应收款项、合同资产减
     值准备转回
     对外委托贷款取得的
     损益
     采用公允价值模式进
     行后续计量的投资性
     房地产公允价值变动
     产生的损益
     根据税收、会计等法
     律、法规的要求对当期
     损益进行一次性调整
     对当期损益的影响
     受托经营取得的托管
     费收入
     除上述各项之外的其             -69,783.79           57,779.16
     他营业外收入和支出
     其他符合非经常性损
     益定义的损益项目
     少数股东权益影响额              -1,009.37           -3,916.08
     (税后)
     所得税影响额                   130,613.31       -1,929,514.23
             合计                -1,150,586.34       10,016,688.75
    
    
    2.2截止报告期末的股东总数、前十名股东、前十名流通股东(或无限售条件股东)持股情况表
    
    单位:股
    
     股东总数(户)                                                                17,834
                                      前十名股东持股情况
            股东名称          期末持股数    比例   持有有限    质押或冻结情况
            (全称)              量        (%)    售条件股   股份     数量     股东性质
                                                    份数量   状态
     景德镇陶瓷文化旅游发     90,180,800   29.99      0      质押  45,090,400  国有法人
     展有限责任公司
     山东昌隆泰世科技有限     70,691,170   23.51      0       无            0  境内非国
     公司                                                                        有法人
     南京音飞储存设备(集                                                       境内非国
     团)股份有限公司回购专    6,522,826    2.17      0       无            0   有法人
     用证券账户
     应向军                    3,386,739    1.13      0       无            0  境内自然
                                                                                   人
     泊尔投资控股有限公司      3,375,000    1.12      0      质押   3,375,000  境外法人
     中国农业银行股份有限
     公司-泰康新机遇灵活      2,818,950    0.94      0       无            0    其他
     配置混合型证券投资基
     金
     宁波中昌恒泰企业管理      2,812,500    0.94      0       无            0  境内非国
     有限公司                                                                    有法人
     南京超冶金属材料有限      2,405,000    0.80      0       无            0  境内非国
     公司                                                                        有法人
     UBS AG                    2,302,256    0.77      0       无            0  境外法人
     黄春芳                    2,000,000    0.67      0       无            0  境内自然
                                                                                   人
                                 前十名无限售条件股东持股情况
     股东名称                              持有无限售条           股份种类及数量
                                           件流通股的数         种类            数量
                                                量
     景德镇陶瓷文化旅游发展有限责任公司       90,180,800    人民币普通股       90,180,800
     山东昌隆泰世科技有限公司                 70,691,170    人民币普通股       70,691,170
     南京音飞储存设备(集团)股份有限公司      6,522,826    人民币普通股        6,522,826
     回购专用证券账户
     应向军                                    3,386,739    人民币普通股        3,386,739
     泊尔投资控股有限公司                      3,375,000    人民币普通股        3,375,000
     中国农业银行股份有限公司-泰康新机        2,818,950    人民币普通股        2,818,950
     遇灵活配置混合型证券投资基金
     宁波中昌恒泰企业管理有限公司              2,812,500    人民币普通股        2,812,500
     南京超冶金属材料有限公司                  2,405,000    人民币普通股        2,405,000
     UBS AG                                    2,302,256    人民币普通股        2,302,256
     黄春芳                                    2,000,000    人民币普通股        2,000,000
     上述股东关联关系或一致行动的说明                           无
     表决权恢复的优先股股东及持股数量的                         无
     说明
    
    
    2.3截止报告期末的优先股股东总数、前十名优先股股东、前十名优先股无限售条件股东持股情
    
    况表□适用√不适用三、重要事项
    
    3.1公司主要会计报表项目、财务指标重大变动的情况及原因
    
    √适用□不适用
    
    (一)资产负债表重大变动项目
    
                                 本期期                   上期期   本期期
                                 末数占                   末数占   末金额
     项目名称     本期期末数     总资产    上期期末数     总资产   较上期     情况说明
                                 的比例                   的比例   期末变
                                 (%)                     (%)    动比例
                                                                 (%)
                                                                            公司本期购买
     货币资金   144,358,776.36  10.03   392,484,142.18   26.93    -63.22   的理财产品尚
                                                                            未到期赎回
                                                                            公司本期有较
     交易性金   222,818,126.65  15.49    72,135,489.63    4.95    208.89   多的非保本理
     融资产                                                                 财尚未到期,
                                                                            列示于此项目
                                                                            本期已背书、
     应收票据   11,540,952.03   0.8      6,161,291.48     0.42     87.31   已贴现商票转
                                                                            回较多,不能
                                                                            终止确认
     预付款项   43,839,221.53   3.05     85,182,862.58    5.85    -48.54   供应商预付款
                                                                            核销
     应收款项                                                               本期末在手银
     融资       29,908,603.77   2.08     10,470,307.80    0.72    185.65   行承兑汇票相
                                                                            对较多
     其他应收   11,605,504.13   0.81    106,163,488.70    7.28    -89.07   本期收回往来
     款                                                                     款较多
     一年内到                                                               客户海斯摩尔
     期的非流   -               0         945,402.33      0.06     -100    分期收款已结
     动资产                                                                 清
                                                                            公司本期购买
                                                                            的保本理财期
     其他流动   126,819,033.04  8.81     5,872,597.90     0.4     2059.5   限相对较长,
     资产                                                                   尚 未 到 期 赎
                                                                            回,列示于此
                                                                            项目
                                                                            安徽音飞工厂
     在建工程   56,352,062.00   3.92     6,422,632.69     0.44     777.4   工程建设投入
                                                                            大幅增加
     其他非流   13,049,557.52   0.91     1,115,203.54     0.08    1070.15  预付工程款大
     动资产                                                                 幅增加
                                                                            ①偿还7000万
                                                                            银 行  借  款
     短期借款   35,000,000.00   2.43    120,000,000.00    8.23    -70.83   ②1500万已贴
                                                                            现 商 票 已 到
                                                                            期,可以终止
                                                                            确认
     应付票据   20,000,000.00   1.39     50,000,000.00    3.43      -60    支付供应商货
                                                                            款
     应付职工                                                               上期末有较大
     薪酬       7,012,433.61    0.49     17,151,080.91    1.18    -59.11   金额年终奖,
                                                                            本期末无此项
                                                                            公司进行股票
     库存股     50,302,449.04   3.5      33,001,913.91    2.26     52.42   回购交易导致
                                                                            库存股增加
    
    
    (二)利润表重大变动项目
    
       项目名称         本期数        上年同期数    变动比例(%)         情况说明
                                                                  根据新收入准则要求,与
                                                                  项目相关的安装费、运输
     销售费用       20,962,059.23   50,201,444.13      -58.24     费由销售费用调整到项目
                                                                  成本(营业成本/合同履约
                                                                  成本/发出商品)
     财务费用        1,519,670.73     -446,510.56       440.34     本期支付银行短期借款利
                                                                  息,上年同期无此项支出
     投资收益        4,169,934.05    6,807,811.86      -38.75     主要为合营企业、联营企
                                                                  业亏损导致
     公允价值变动    1,383,600.65     800,000.00        72.95      主要为公司持有的诺得股
     收益                                                         份股权公允价值变动导致
     信用减值损失    2,092,415.28    -9,439,715.13      122.17     本期回款较好,计提的坏
                                                                  账准备冲回
    
    
    (三)现金流量表重大变动项目
    
          项目名称          本期数        上年同期数    变动比例         情况说明
                                                        (%)
     销售商品、提供劳务 489,867,490.29  351,463,886.05   39.38    本期回款较好
     收到的现金
                                                                  南京众飞募投项目所在地
     处置固定资产、无形                                           南京溧水区被列为太湖流
     资产和其他长期资      48,000.00     16,056,732.01    -99.7    域保护区,无法实际进行
     产收回的现金净额                                             投产,2019年7月南京众飞
                                                                  二期厂房转让,收到处置
                                                                  款1600万
     购建固定资产、无形                                           安徽音飞工程建设投入较
     资产和其他长期资    68,224,051.80   8,485,304.36    704.03   多资金
     产支付的现金
     支付其他与筹资活    17,300,535.13   31,984,446.78   -45.91   本期股票回购交易较上年
     动有关的现金                                                 同期减少
    
    
    3.2重要事项进展情况及其影响和解决方案的分析说明
    
    □适用√不适用
    
    3.3报告期内超期未履行完毕的承诺事项
    
    □适用√不适用
    
    3.4预测年初至下一报告期期末的累计净利润可能为亏损或者与上年同期相比发生重大变动的警
    
    示及原因说明□适用√不适用
    
         公司名称  南京音飞储存设备(集团)
                   股份有限公司
       法定代表人  刘子力
             日期  2020年10月30日
    
    
    四、附录
    
    4.1财务报表
    
    合并资产负债表
    
    2020年9月30日
    
    编制单位:南京音飞储存设备(集团)股份有限公司
    
    单位:元 币种:人民币 审计类型:未经审计
    
                     项目                     2020年9月30日           2019年12月31日
     流动资产:
       货币资金                                    144,358,776.36          392,484,142.18
       结算备付金
       拆出资金
       交易性金融资产                              222,818,126.65           72,135,489.63
       衍生金融资产
       应收票据                                     11,540,952.03            6,161,291.48
       应收账款                                    251,389,225.89          323,814,449.08
       应收款项融资                                 29,908,603.77           10,470,307.80
       预付款项                                     43,839,221.53           85,182,862.58
       应收保费
       应收分保账款
       应收分保合同准备金
       其他应收款                                   11,605,504.13          106,163,488.70
       其中:应收利息
             应收股利
       买入返售金融资产
       存货                                        310,527,776.41          222,492,450.16
       合同资产
       持有待售资产
       一年内到期的非流动资产                                                  945,402.33
       其他流动资产                                126,819,033.04            5,872,597.90
         流动资产合计                            1,152,807,219.81        1,225,722,481.84
     非流动资产:
       发放贷款和垫款
       债权投资
       其他债权投资
       长期应收款
       长期股权投资                                 18,636,858.41           18,427,663.14
       其他权益工具投资
       其他非流动金融资产                           38,122,828.73           37,354,828.73
       投资性房地产
       固定资产                                     79,360,260.35           86,769,072.91
       在建工程                                     56,352,062.00            6,422,632.69
       生产性生物资产
       油气资产
       使用权资产
       无形资产                                     72,764,732.68           73,040,783.03
       开发支出
       商誉
       长期待摊费用                                    578,536.49              672,785.29
       递延所得税资产                                7,093,031.36            7,778,643.38
       其他非流动资产                               13,049,557.52            1,115,203.54
         非流动资产合计                            285,957,867.54          231,581,612.71
           资产总计                              1,438,765,087.35        1,457,304,094.55
     流动负债:
       短期借款                                     35,000,000.00          120,000,000.00
       向中央银行借款
       拆入资金
       交易性金融负债
       衍生金融负债
       应付票据                                     20,000,000.00           50,000,000.00
       应付账款                                    139,002,471.06          113,236,296.86
       预收款项                                                            138,046,272.62
       合同负债                                    173,759,713.73
       卖出回购金融资产款
       吸收存款及同业存放
       代理买卖证券款
       代理承销证券款
       应付职工薪酬                                  7,012,433.61           17,151,080.91
       应交税费                                      7,794,197.08            6,132,655.71
       其他应付款                                    7,792,118.09            6,360,838.51
       其中:应付利息
             应付股利                                  588,397.20              588,397.20
       应付手续费及佣金
       应付分保账款
       持有待售负债
       一年内到期的非流动负债
       其他流动负债                                        992.96
         流动负债合计                              390,361,926.53          450,927,144.61
     非流动负债:
       保险合同准备金
       长期借款
       应付债券
       其中:优先股
             永续债
       租赁负债
       长期应付款
       长期应付职工薪酬
       预计负债
       递延收益                                     24,601,027.37           25,879,238.51
       递延所得税负债                                1,719,776.17            1,658,217.00
       其他非流动负债
         非流动负债合计                             26,320,803.54           27,537,455.51
           负债合计                                416,682,730.07          478,464,600.12
     所有者权益(或股东权益):
       实收资本(或股本)                          300,702,900.00          300,702,900.00
       其他权益工具
       其中:优先股
             永续债
       资本公积                                    180,385,344.99          180,385,344.99
       减:库存股                                   50,302,449.04           33,001,913.91
       其他综合收益                                   -669,077.82            1,065,464.67
       专项储备
       盈余公积                                     68,160,522.96           68,160,522.96
       一般风险准备
       未分配利润                                  521,138,508.17          458,806,837.38
       归属于母公司所有者权益(或股东权          1,019,415,749.26          976,119,156.09
     益)合计
       少数股东权益                                  2,666,608.02            2,720,338.34
         所有者权益(或股东权益)合计            1,022,082,357.28          978,839,494.43
           负债和所有者权益(或股东权益)        1,438,765,087.35        1,457,304,094.55
     总计
    
    
    法定代表人:刘子力 主管会计工作负责人:罗秋根 会计机构负责人:罗秋根
    
    母公司资产负债表
    
    2020年9月30日
    
    编制单位:南京音飞储存设备(集团)股份有限公司
    
    单位:元 币种:人民币 审计类型:未经审计
    
                     项目                     2020年9月30日           2019年12月31日
     流动资产:
       货币资金                                     30,866,916.38          130,153,792.65
       交易性金融资产                              196,093,526.00           43,999,291.61
       衍生金融资产
       应收票据                                     46,540,952.03           55,700,000.00
       应收账款                                    246,399,336.69          305,327,300.94
       应收款项融资                                 26,862,103.77            9,780,000.00
       预付款项                                     42,421,827.92           84,538,663.38
       其他应收款                                   35,194,981.76          122,789,514.97
       其中:应收利息
             应收股利
       存货                                        312,659,974.17          224,612,302.70
       合同资产
       持有待售资产
       一年内到期的非流动资产                                                  945,402.33
       其他流动资产                                 35,275,172.09            2,781,809.47
         流动资产合计                              972,314,790.81          980,628,078.05
     非流动资产:
       债权投资
       其他债权投资
       长期应收款
       长期股权投资                                192,918,152.59          184,742,537.46
       其他权益工具投资
       其他非流动金融资产                           32,122,828.73           31,354,828.73
       投资性房地产
       固定资产                                     46,838,590.56           51,557,981.59
       在建工程                                         32,559.22               32,559.22
       生产性生物资产
       油气资产
       使用权资产
       无形资产                                      9,885,609.11            9,286,195.40
       开发支出
       商誉
       长期待摊费用                                    489,366.60              516,949.04
       递延所得税资产                                3,907,162.91            3,923,716.81
       其他非流动资产                              159,108,778.58          159,773,221.06
         非流动资产合计                            445,303,048.30          441,187,989.31
           资产总计                              1,417,617,839.11        1,421,816,067.36
     流动负债:
       短期借款                                     35,000,000.00          120,000,000.00
       交易性金融负债
       衍生金融负债
       应付票据                                     20,000,000.00           50,000,000.00
       应付账款                                    209,831,630.14          151,323,382.00
       预收款项                                                            136,741,440.93
       合同负债                                    162,440,934.40
       应付职工薪酬                                  3,499,476.77           11,726,858.10
       应交税费                                      5,297,443.78            4,332,942.02
       其他应付款                                    9,730,616.43           11,001,547.76
       其中:应付利息
             应付股利                                  588,397.20              588,397.20
       持有待售负债
       一年内到期的非流动负债
       其他流动负债                                       992.96
         流动负债合计                              445,801,094.48          485,126,170.81
     非流动负债:
       长期借款
       应付债券
       其中:优先股
             永续债
       租赁负债
       长期应付款
       长期应付职工薪酬
       预计负债
       递延收益                                      5,330,026.85            6,207,264.95
       递延所得税负债                                1,463,626.01            1,408,217.00
       其他非流动负债
         非流动负债合计                              6,793,652.86            7,615,481.95
           负债合计                                452,594,747.34          492,741,652.76
     所有者权益(或股东权益):
       实收资本(或股本)                          300,702,900.00          300,702,900.00
       其他权益工具
       其中:优先股
             永续债
       资本公积                                    180,385,344.99          180,385,344.99
       减:库存股                                   50,302,449.04           33,001,913.91
       其他综合收益
       专项储备
       盈余公积                                     56,072,747.90           56,072,747.90
       未分配利润                                  478,164,547.92          424,915,335.62
         所有者权益(或股东权益)合计              965,023,091.77          929,074,414.60
           负债和所有者权益(或股东权益)        1,417,617,839.11        1,421,816,067.36
     总计
    
    
    法定代表人:刘子力 主管会计工作负责人:罗秋根 会计机构负责人:罗秋根
    
    合并利润表
    
    2020年1—9月
    
    编制单位:南京音飞储存设备(集团)股份有限公司
    
    单位:元 币种:人民币 审计类型:未经审计
    
             项目           2020年第三季    2019年第三季    2020年前三季    2019年前三季
                            度(7-9月)     度(7-9月)     度(1-9月)     度(1-9月)
     一、营业总收入        126,858,371.70  106,199,428.28  453,187,195.71  501,482,159.60
     其中:营业收入        126,858,371.70  106,199,428.28  453,187,195.71  501,482,159.60
           利息收入                     -
           已赚保费                     -
           手续费及佣金                 -
     收入
     二、营业总成本        111,935,521.78   94,182,057.17  377,864,744.47  423,401,318.40
     其中:营业成本         88,596,559.73   67,309,078.43  316,881,285.62  333,393,606.69
           利息支出                     -
           手续费及佣金                 -
     支出
           退保金                       -
           赔付支出净额                 -
           提取保险责任                 -
     准备金净额
           保单红利支出                 -
           分保费用                     -
           税金及附加          698,630.64      577,449.81    4,424,370.29    3,651,469.63
           销售费用          8,417,558.99   13,835,813.43   20,962,059.23   50,201,444.13
           管理费用          6,104,291.41    6,894,203.38   17,425,079.57   18,142,055.20
           研发费用          6,678,763.17    5,845,065.51   16,652,279.03   18,459,253.31
           财务费用          1,439,717.84     -279,553.39    1,519,670.73     -446,510.56
           其中:利息费用      476,062.85                    2,663,650.03
                 利息收        571,909.66     -171,054.25    2,623,321.31     -658,085.30
     入
       加:其他收益          1,768,498.33    1,813,719.12    5,281,513.85    5,592,258.27
           投资收益(损失    3,519,803.73    1,967,256.38    4,169,934.05    6,807,811.86
     以“-”号填列)
           其中:对联营企      457,176.21     -174,084.92   -1,316,769.73       64,282.55
     业和合营企业的投资
     收益
                 以摊余                 -
     成本计量的金融资产
     终止确认收益
           汇兑收益(损失               -
     以“-”号填列)
           净敞口套期收                 -
     益(损失以“-”号填
     列)
           公允价值变动     -5,417,280.60     -480,000.00    1,383,600.65      800,000.00
     收益(损失以“-”号
     填列)
           信用减值损失      4,563,201.48    1,100,074.51    2,092,415.28   -9,439,715.13
     (损失以“-”号填列)
           资产减值损失                 -
     (损失以“-”号填列)
           资产处置收益                 -      280,840.29                      280,840.29
     (损失以“-”号填列)
     三、营业利润(亏损以   19,357,072.86   16,699,261.41   88,249,915.07   82,122,036.49
     “-”号填列)
       加:营业外收入          133,492.28      275,029.23      294,794.02      311,954.37
       减:营业外支出          203,276.07       66,767.21      237,014.86      215,907.54
     四、利润总额(亏损总   19,287,289.07   16,907,523.43   88,307,694.23   82,218,083.32
     额以“-”号填列)
       减:所得税费用        2,021,022.64    2,996,573.44   11,253,462.44   10,708,117.37
     五、净利润(净亏损以   17,266,266.43   13,910,949.99   77,054,231.79   71,509,965.95
     “-”号填列)
     (一)按经营持续性分类
          1.持续经营净利    17,266,266.43   13,910,949.99   77,054,231.79   71,509,965.95
     润(净亏损以“-”号
     填列)
          2.终止经营净利
     润(净亏损以“-”号
     填列)
     (二)按所有权归属分类
          1.归属于母公司    17,394,324.74   14,173,219.40   77,240,149.36   72,296,894.57
     股东的净利润(净亏损
     以“-”号填列)
          2.少数股东损益      -128,058.31     -262,269.41     -185,917.57     -786,928.62
     (净亏损以“-”号填
     列)
     六、其他综合收益的税   -2,815,331.76    1,994,874.56   -1,734,542.49    2,116,770.61
     后净额
       (一)归属母公司所   -2,815,331.76    1,994,874.56   -1,734,542.49    2,116,770.61
     有者的其他综合收益
     的税后净额
         1.不能重分类进
     损益的其他综合收益
         (1)重新计量设
     定受益计划变动额
         (2)权益法下不
     能转损益的其他综合
     收益
         (3)其他权益工
     具投资公允价值变动
         (4)企业自身信
     用风险公允价值变动
         2.将重分类进损     -2,815,331.76    1,994,874.56   -1,734,542.49    2,116,770.61
     益的其他综合收益
         (1)权益法下可
     转损益的其他综合收
     益
         (2)其他债权投
     资公允价值变动
         (3)金融资产重
     分类计入其他综合收
     益的金额
         (4)其他债权投
     资信用减值准备
         (5)现金流量套
     期储备
         (6)外币财务报    -2,815,331.76    1,994,874.56   -1,734,542.49    2,116,770.61
     表折算差额
         (7)其他
       (二)归属于少数股
     东的其他综合收益的
     税后净额
     七、综合收益总额       14,450,934.67   15,905,824.55   75,319,689.30   73,626,736.56
       (一)归属于母公司   14,578,992.98   16,168,093.96   75,505,606.87   74,413,665.18
     所有者的综合收益总
     额
       (二)归属于少数股     -128,058.31     -262,269.41     -185,917.57     -786,928.62
     东的综合收益总额
     八、每股收益:
       (一)基本每股收益          0.0579           0.047          0.2569           0.240
     (元/股)
       (二)稀释每股收益          0.0579           0.047          0.2569           0.240
     (元/股)
    
    
    本期发生同一控制下企业合并的,被合并方在合并前实现的净利润为:0元,上期被合并方实现的
    
    净利润为:0元。
    
    法定代表人:刘子力 主管会计工作负责人:罗秋根 会计机构负责人:罗秋根
    
    母公司利润表
    
    2020年1—9月
    
    编制单位:南京音飞储存设备(集团)股份有限公司
    
    单位:元 币种:人民币 审计类型:未经审计
    
             项目           2020年第三季    2019年第三季    2020年前三季    2019年前三季
                            度(7-9月)     度(7-9月)     度(1-9月)     度(1-9月)
     一、营业收入          122,838,964.25  109,091,865.13  439,001,819.71  495,395,723.50
       减:营业成本         89,083,013.01   71,085,861.76  316,131,204.51  334,878,761.48
           税金及附加          212,236.41      278,013.72    3,103,890.37    2,084,424.13
           销售费用          7,546,787.30   13,939,883.72   19,246,286.33   46,236,301.26
           管理费用          4,300,650.29    5,230,852.28   12,162,296.99   11,788,621.74
           研发费用          5,892,892.90    4,925,595.06   13,846,235.52   16,226,269.85
           财务费用          1,680,639.70     -220,240.07    1,877,015.18     -295,975.61
           其中:利息费用      476,062.85                    2,663,650.03
                 利息收        344,466.17      -90,155.37    2,253,332.68     -468,535.92
     入
       加:其他收益          1,578,336.38    1,673,747.29    4,767,910.22    5,203,836.30
           投资收益(损失      618,825.82   -1,594,946.96     -258,915.50    2,611,481.52
     以“-”号填列)
           其中:对联营企     -289,438.93                   -2,063,384.87
     业和合营企业的投资
     收益
                 以摊余                 -
     成本计量的金融资产
     终止确认收益
           净敞口套期收                 -
     益(损失以“-”号填
     列)
           公允价值变动     -5,425,000.00     -480,000.00    1,359,000.00      800,000.00
     收益(损失以“-”号
     填列)
           信用减值损失      4,385,458.81    1,031,001.36      110,359.37   -7,712,495.78
     (损失以“-”号填列)
           资产减值损失                 -
     (损失以“-”号填列)
           资产处置收益                 -
     (损失以“-”号填列)
     二、营业利润(亏损以   15,280,365.65   14,481,700.35   78,613,244.90   85,380,142.69
     “-”号填列)
       加:营业外收入           67,135.28      163,794.32       79,047.59      184,962.35
       减:营业外支出           27,981.21       32,406.85       56,488.04       55,894.89
     三、利润总额(亏损总   15,319,519.72   14,613,087.82   78,635,804.45   85,509,210.15
     额以“-”号填列)
         减:所得税费用      1,634,977.51    2,466,613.38   10,089,228.18   11,789,507.16
     四、净利润(净亏损以   13,684,542.21   12,146,474.44   68,546,576.27   73,719,702.99
     “-”号填列)
       (一)持续经营净利   13,684,542.21   12,146,474.44   68,546,576.27   73,719,702.99
     润(净亏损以“-”号
     填列)
       (二)终止经营净利               -
     润(净亏损以“-”号
     填列)
     五、其他综合收益的税               -
     后净额
       (一)不能重分类进               -
     损益的其他综合收益
         1.重新计量设定                 -
     受益计划变动额
        2.权益法下不能转                -
    损益的其他综合收益
        3.其他权益工具投                -
    资公允价值变动
        4.企业自身信用风                -
    险公允价值变动
       (二)将重分类进损               -
     益的其他综合收益
         1.权益法下可转                 -
     损益的其他综合收益
         2.其他债权投资                 -
     公允价值变动
         3.金融资产重分                 -
     类计入其他综合收益
     的金额
         4.其他债权投资                 -
     信用减值准备
         5.现金流量套期                 -
     储备
         6.外币财务报表                 -
     折算差额
         7.其他                         -
     六、综合收益总额       13,684,542.21   12,146,474.44   68,546,576.27   73,719,702.99
     七、每股收益:
         (一)基本每股收
     益(元/股)
         (二)稀释每股收
     益(元/股)
    
    
    法定代表人:刘子力 主管会计工作负责人:罗秋根 会计机构负责人:罗秋根
    
    合并现金流量表
    
    2020年1—9月
    
    编制单位:南京音飞储存设备(集团)股份有限公司
    
    单位:元 币种:人民币 审计类型:未经审计
    
                     项目                     2020年前三季度          2019年前三季度
                                                 (1-9月)               (1-9月)
     一、经营活动产生的现金流量:
       销售商品、提供劳务收到的现金                489,867,490.29          351,463,886.05
       客户存款和同业存放款项净增加额
       向中央银行借款净增加额
       向其他金融机构拆入资金净增加额
       收到原保险合同保费取得的现金
       收到再保业务现金净额
       保户储金及投资款净增加额
       收取利息、手续费及佣金的现金
       拆入资金净增加额
       回购业务资金净增加额
       代理买卖证券收到的现金净额
       收到的税费返还                                7,836,464.26           11,369,266.54
       收到其他与经营活动有关的现金                  9,729,462.39           25,025,479.74
         经营活动现金流入小计                      507,433,416.94          387,858,632.33
       购买商品、接受劳务支付的现金                285,152,971.61          276,121,575.99
       客户贷款及垫款净增加额
       存放中央银行和同业款项净增加额
       支付原保险合同赔付款项的现金
       拆出资金净增加额
       支付利息、手续费及佣金的现金
       支付保单红利的现金
       支付给职工及为职工支付的现金                 72,998,371.38           77,082,980.65
       支付的各项税费                               29,678,903.87           29,908,042.14
       支付其他与经营活动有关的现金                 28,729,796.67           62,592,560.77
         经营活动现金流出小计                      416,560,043.53          445,705,159.55
           经营活动产生的现金流量净额               90,873,373.41          -57,846,527.22
     二、投资活动产生的现金流量:
       收回投资收到的现金                          605,615,171.00          651,641,323.00
       取得投资收益收到的现金                        5,202,325.25            6,833,995.00
       处置固定资产、无形资产和其他长期资               48,000.00           16,056,732.01
     产收回的现金净额
       处置子公司及其他营业单位收到的现               -563,690.04
     金净额
       收到其他与投资活动有关的现金                 99,129,782.04
         投资活动现金流入小计                      709,431,588.25          674,532,050.01
       购建固定资产、无形资产和其他长期资           68,224,051.80            8,485,304.36
     产支付的现金
       投资支付的现金                              873,902,012.00          778,399,226.30
       质押贷款净增加额
       取得子公司及其他营业单位支付的现
     金净额
       支付其他与投资活动有关的现金
         投资活动现金流出小计                      942,126,063.80          786,884,530.66
           投资活动产生的现金流量净额             -232,694,475.55         -112,352,480.65
     三、筹资活动产生的现金流量:
       吸收投资收到的现金                              490,000.00              182,280.00
       其中:子公司吸收少数股东投资收到的
     现金
       取得借款收到的现金
       收到其他与筹资活动有关的现金
         筹资活动现金流入小计                          490,000.00              182,280.00
       偿还债务支付的现金                           70,000,000.00
       分配股利、利润或偿付利息支付的现金           16,080,206.50           18,818,087.20
       其中:子公司支付给少数股东的股利、
     利润
       支付其他与筹资活动有关的现金                 17,300,535.13           31,984,446.78
         筹资活动现金流出小计                      103,380,741.63           50,802,533.98
           筹资活动产生的现金流量净额             -102,890,741.63          -50,620,253.98
     四、汇率变动对现金及现金等价物的影响           -2,838,951.69            2,689,725.49
     五、现金及现金等价物净增加额                 -247,550,795.46         -218,129,536.36
       加:期初现金及现金等价物余额                387,143,255.39          332,688,950.83
     六、期末现金及现金等价物余额                  139,592,459.93          114,559,414.47
    
    
    法定代表人:刘子力 主管会计工作负责人:罗秋根 会计机构负责人:罗秋根
    
    母公司现金流量表
    
    2020年1—9月
    
    编制单位:南京音飞储存设备(集团)股份有限公司
    
    单位:元 币种:人民币 审计类型:未经审计
    
                     项目                     2020年前三季度          2019年前三季度
                                                 (1-9月)             金额(1-9月)
     一、经营活动产生的现金流量:
       销售商品、提供劳务收到的现金                448,015,709.89          320,332,432.14
       收到的税费返还                                7,207,327.39           10,615,725.83
       收到其他与经营活动有关的现金                  2,923,102.44           20,921,106.93
         经营活动现金流入小计                      458,146,139.72          351,869,264.90
       购买商品、接受劳务支付的现金                263,877,329.28          284,529,138.10
       支付给职工及为职工支付的现金                 46,002,556.24           48,023,688.65
       支付的各项税费                               23,373,032.04           23,185,212.40
       支付其他与经营活动有关的现金                 18,353,885.66          228,715,005.51
         经营活动现金流出小计                      351,606,803.22          584,453,044.66
       经营活动产生的现金流量净额                  106,539,336.50         -232,583,779.76
     二、投资活动产生的现金流量:
       收回投资收到的现金                          390,540,171.00          612,000,984.55
       取得投资收益收到的现金                        2,794,075.98            5,944,221.21
       处置固定资产、无形资产和其他长期资               48,000.00               38,215.00
     产收回的现金净额
       处置子公司及其他营业单位收到的现                         -
     金净额
       收到其他与投资活动有关的现金                105,020,062.04
         投资活动现金流入小计                      498,402,309.02          617,983,420.76
       购建固定资产、无形资产和其他长期资            3,168,607.03            2,453,629.75
     产支付的现金
       投资支付的现金                              585,272,012.00          531,909,226.30
       取得子公司及其他营业单位支付的现                         -
     金净额
       支付其他与投资活动有关的现金                 11,100,000.00
         投资活动现金流出小计                      599,540,619.03          534,362,856.05
           投资活动产生的现金流量净额             -101,138,310.01           83,620,564.71
     三、筹资活动产生的现金流量:
       吸收投资收到的现金
       取得借款收到的现金
       收到其他与筹资活动有关的现金
         筹资活动现金流入小计
       偿还债务支付的现金                           70,000,000.00
       分配股利、利润或偿付利息支付的现金           16,080,206.50           18,818,087.20
       支付其他与筹资活动有关的现金                 17,300,535.13           31,984,446.78
         筹资活动现金流出小计                      103,380,741.63           50,802,533.98
           筹资活动产生的现金流量净额             -103,380,741.63          -50,802,533.98
     四、汇率变动对现金及现金等价物的影响           -1,307,161.13              571,143.74
     五、现金及现金等价物净增加额                  -99,286,876.27         -199,194,605.29
       加:期初现金及现金等价物余额                130,099,792.65          220,766,970.73
     六、期末现金及现金等价物余额                   30,812,916.38           21,572,365.44
    
    
    法定代表人:刘子力 主管会计工作负责人:罗秋根 会计机构负责人:罗秋根
    
    4.2 2020年起首次执行新收入准则、新租赁准则调整首次执行当年年初财务报表相关情况
    
    √适用□不适用
    
    合并资产负债表
    
    单位:元 币种:人民币
    
                 项目              2019年12月31日     2020年1月1日           调整数
     流动资产:
       货币资金                      392,484,142.18    392,484,142.18
       结算备付金
       拆出资金
       交易性金融资产                 72,135,489.63     72,135,489.63
       衍生金融资产
       应收票据                        6,161,291.48      6,161,291.48
       应收账款                      323,814,449.08    323,814,449.08
       应收款项融资                   10,470,307.80     10,470,307.80
       预付款项                       85,182,862.58     85,182,862.58
       应收保费
       应收分保账款
       应收分保合同准备金
       其他应收款                    106,163,488.70    106,163,488.70
       其中:应收利息
             应收股利
       买入返售金融资产
       存货                          222,492,450.16    222,492,450.16
       合同资产
       持有待售资产
       一年内到期的非流动资产            945,402.33        945,402.33
       其他流动资产                    5,872,597.90      5,872,597.90
         流动资产合计              1,225,722,481.84  1,225,722,481.84
     非流动资产:
       发放贷款和垫款
       债权投资
       其他债权投资
       长期应收款
       长期股权投资                   18,427,663.14     18,427,663.14
       其他权益工具投资
       其他非流动金融资产             37,354,828.73     37,354,828.73
       投资性房地产
       固定资产                       86,769,072.91     86,769,072.91
       在建工程                        6,422,632.69      6,422,632.69
       生产性生物资产
       油气资产
       使用权资产
       无形资产                       73,040,783.03     73,040,783.03
       开发支出
       商誉
       长期待摊费用                      672,785.29        672,785.29
       递延所得税资产                  7,778,643.38      7,778,643.38
       其他非流动资产                  1,115,203.54      1,115,203.54
         非流动资产合计              231,581,612.71    231,581,612.71
           资产总计                1,457,304,094.55  1,457,304,094.55
     流动负债:
       短期借款                      120,000,000.00    120,000,000.00
       向中央银行借款
       拆入资金
       交易性金融负债
       衍生金融负债
       应付票据                       50,000,000.00     50,000,000.00
       应付账款                      113,236,296.86    113,236,296.86
       预收款项                      138,046,272.62                       -138,046,272.62
       合同负债                                        138,046,272.62      138,046,272.62
       卖出回购金融资产款
       吸收存款及同业存放
       代理买卖证券款
       代理承销证券款
       应付职工薪酬                   17,151,080.91     17,151,080.91
       应交税费                        6,132,655.71      6,132,655.71
       其他应付款                      6,360,838.51      6,360,838.51
       其中:应付利息
             应付股利                    588,397.20        588,397.20
       应付手续费及佣金
       应付分保账款
       持有待售负债
       一年内到期的非流动负债
       其他流动负债
         流动负债合计                450,927,144.61    450,927,144.61
     非流动负债:
       保险合同准备金
       长期借款
       应付债券
       其中:优先股
             永续债
       租赁负债
       长期应付款
       长期应付职工薪酬
       预计负债
       递延收益                       25,879,238.51     25,879,238.51
       递延所得税负债                  1,658,217.00      1,658,217.00
       其他非流动负债
         非流动负债合计               27,537,455.51     27,537,455.51
           负债合计                  478,464,600.12    478,464,600.12
     所有者权益(或股东权益):
       实收资本(或股本)            300,702,900.00    300,702,900.00
       其他权益工具
       其中:优先股
             永续债
       资本公积                      180,385,344.99    180,385,344.99
       减:库存股                     33,001,913.91     33,001,913.91
       其他综合收益                    1,065,464.67      1,065,464.67
       专项储备
       盈余公积                       68,160,522.96     68,160,522.96
       一般风险准备
       未分配利润                    458,806,837.38    458,806,837.38
       归属于母公司所有者权益(或    976,119,156.09    976,119,156.09
     股东权益)合计
       少数股东权益                    2,720,338.34      2,720,338.34
         所有者权益(或股东权益)    978,839,494.43    978,839,494.43
     合计
           负债和所有者权益(或股  1,457,304,094.55  1,457,304,094.55
     东权益)总计
    
    
    各项目调整情况的说明:
    
    □适用√不适用
    
    母公司资产负债表
    
    单位:元 币种:人民币
    
                 项目             2019年12月31日     2020年1月1日           调整数
     流动资产:
       货币资金                      130,153,792.65    130,153,792.65
       交易性金融资产                 43,999,291.61     43,999,291.61
       衍生金融资产
       应收票据                       55,700,000.00     55,700,000.00
       应收账款                      305,327,300.94    305,327,300.94
       应收款项融资                    9,780,000.00      9,780,000.00
       预付款项                       84,538,663.38     84,538,663.38
       其他应收款                    122,789,514.97    122,789,514.97
       其中:应收利息
             应收股利
       存货                          224,612,302.70    224,612,302.70
       合同资产
       持有待售资产
       一年内到期的非流动资产            945,402.33        945,402.33
       其他流动资产                    2,781,809.47      2,781,809.47
         流动资产合计                980,628,078.05    980,628,078.05
     非流动资产:
       债权投资
       其他债权投资
       长期应收款
       长期股权投资                  184,742,537.46    184,742,537.46
       其他权益工具投资
       其他非流动金融资产             31,354,828.73     31,354,828.73
       投资性房地产
       固定资产                       51,557,981.59     51,557,981.59
       在建工程                           32,559.22         32,559.22
       生产性生物资产
       油气资产
       使用权资产
       无形资产                        9,286,195.40      9,286,195.40
       开发支出
       商誉
       长期待摊费用                      516,949.04        516,949.04
       递延所得税资产                  3,923,716.81      3,923,716.81
       其他非流动资产                159,773,221.06    159,773,221.06
         非流动资产合计              441,187,989.31    441,187,989.31
           资产总计                1,421,816,067.36  1,421,816,067.36
     流动负债:
       短期借款                      120,000,000.00    120,000,000.00
       交易性金融负债
       衍生金融负债
       应付票据                       50,000,000.00     50,000,000.00
       应付账款                      151,323,382.00    151,323,382.00
       预收款项                      136,741,440.93                       -136,741,440.93
       合同负债                                        136,741,440.93      136,741,440.93
       应付职工薪酬                   11,726,858.10     11,726,858.10
       应交税费                        4,332,942.02      4,332,942.02
       其他应付款                     11,001,547.76     11,001,547.76
       其中:应付利息
             应付股利                    588,397.20        588,397.20
       持有待售负债
       一年内到期的非流动负债
       其他流动负债
         流动负债合计                485,126,170.81    485,126,170.81
     非流动负债:
       长期借款
       应付债券
       其中:优先股
             永续债
       租赁负债
       长期应付款
       长期应付职工薪酬
       预计负债
       递延收益                        6,207,264.95      6,207,264.95
       递延所得税负债                  1,408,217.00      1,408,217.00
       其他非流动负债
         非流动负债合计                7,615,481.95      7,615,481.95
           负债合计                  492,741,652.76    492,741,652.76
     所有者权益(或股东权益):
       实收资本(或股本)            300,702,900.00    300,702,900.00
       其他权益工具
       其中:优先股
             永续债
       资本公积                      180,385,344.99    180,385,344.99
       减:库存股                     33,001,913.91     33,001,913.91
       其他综合收益
       专项储备
       盈余公积                       56,072,747.90     56,072,747.90
       未分配利润                    424,915,335.62    424,915,335.62
         所有者权益(或股东权益)    929,074,414.60    929,074,414.60
     合计
           负债和所有者权益(或股  1,421,816,067.36  1,421,816,067.36
     东权益)总计
    
    
    各项目调整情况的说明:
    
    □适用√不适用
    
    4.3 2020年起首次执行新收入准则、新租赁准则追溯调整前期比较数据的说明
    
    □适用√不适用
    
    4.4审计报告
    
    □适用√不适用

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