中材节能:中材节能股份有限公司2020 年度审计报告

来源:巨灵信息 2021-03-29 00:00:00
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    镪·°′凸∶ri「 犰淼r廴 迥 合?并0⒛资年产12月负31偾凵‖l表氵F 20?0年12月 J】 u 20∶ g勺弗;位12:月人31民凵币兀
    
    革△ 碉耦溺廴 冫7·
    
    猢阝嗾劂魄JL'「、 k0ˉ/' 六、 1 l,128,542‘ 124 53 952,554,066 01
    
    拆曲咚坌“7 / '
    
    交易‖ 六、2 33.5:9,492 98 34,433,002 4g
    
    ⒋j△分赳1饣(户
    
    l·收屮锯 六、3 91,901,3sθ 93 s8,266,769 72
    
    应收账欷 六、 4 561· s55,079 !5 588,72:, 124 53
    
    应刂攵袄项湫哧 六、5 θ2.603,17θ 39 47,270,282 11
    
    颅付款项 六、6 102,384,378 82 162,383,155 36
    
    应刂攵侏”
    
    应收分侏账揪
    
    应收分怵f扌⒈刂 个
    
    It他卜L收 叔 ^t符 六、7 28,lOl,206 24 29)883,s48 38
    
    其巾:应收利息
    
    应收股利头入返督金烛资产仃货 六、8 786,083,283 03 846,'137,311 ^s合㈣资产 八、9 27`l,186,680 75
    
    捋甯待岱资产 六、 l 8,597,511 11 42,32“ ,011 37
    
    年?内到l0l的△流动资产
    
    失他流动资产 六、n 27,4s8,772 79 31.926,602 2刂
    
    流动资产合计 3,110,953· 0δ 8 72 2,791,199、 973 96
    
    非流动资产:
    
    发lkt☆从孓1|A人
    
    偾权找资
    
    共他侦议投资
    
    长l0J应 刂攵麸
    
    长l0l股 权投淡 六、 l 9,051,9g9 48 8,595,543 :2
    
    ||| | ∴· ∷ 六、l3 19,819,887 69 19,819,887 69
    
    |1{`"∴ ∫lJ彳`∫ ∷
    
    `
    
    投咬性房地产 六、14 3s· θ37,997 22 39,583,162 69
    
    固定资产 六、 s59氵g97,227 57l 757,223,251 53
    
    ⒋馊△咫 六、 1 129,?97,456 17 43,a25,427 73
    
    生产性生物嗳产
    
    油气I,l产
    
    攸汁 :J小k`众 户
    
    无形资产 六、∶7 15s,091,366 80 157,529‘ θ73 80
    
    厅发支出
    
    R"扌
    
    1t朋 行llil费 Ill 六、 18 l,166,938 04 520,2‘ 18 66
    
    递延所得税资宀 六、 19 41,585,711 99 31,210,Oll δl
    
    l1他‖沆功饣f冖
    
    非流动资产合计 l,052,718,614 96 1,057,807,50δ 83
    
    女产总计 kl,I93,701.683 68 3,852,007,180 79
    
    合并资产负债表 (续)
    
    2020年 12月31H
    
    2()20年12月31日 zO19午12月31日
    
    J14,521,45θ 75 占17,106.795 68
    
    619,910,3^8 12 610,673,762 83
    
    709,381,060 53
    
    女丨l{"购 命融谈r、 社(
    
    。lk收 仃款枝闷业亻f收
    
    应付Wlj r薪 唰 7.513,827,57
    
    47,710,314 61
    
    t1t,337,95I 98 lOt,510,0s9 26
    
    75,218,3刂 1 91 759219冫 026 11
    
    应付f纹 女及{}H命
    
    应付分保账软
    
    {、 FI i午 忤负锁
    
    2,θ38,81】 Ol
    
    ?2,375,929.13
    
    ∶,95t,391,θs7 刂9 1.717,817,101 30
    
    倮睑合问准备金
    
    共中:优先股
    
    I1,956,594 92 1J,2θ z,974 28
    
    刂6· 117,26θ 45 57.274,252 63
    
    递延所僻税负儆 571,391 19
    
    其他 忄流动负偾 2.181,θ 87 9s 2,651,165 00
    
    111,126,θ刂6,52 128,31‘l,119 6‘【
    
    2,065,518,004 01 l,846,13】 ,250 94
    
    610,500,000 00 610,500,000 00
    
    其中:优先股
    
    71,157,350 90 71,774,620 14
    
    l,233,θ 16 13
    
    6,132,31'1 37
    
    121,006,375 40 107,122,678 5?
    
    t,023,165)217 19 950,808,716 22
    
    1,831,201,305 81 1,747,572,275 68
    
    296,982,373 86 258.303,951 17
    
    2.128,183,679 s7 z,0θ 5,876,229 85
    
    亻,193.701,683 68
    
    泫定代表人: `H 主瞀会计工作负货人: 会计机构负货人刂C。
    
    亮马 wv
    
    印明
    
    母公司资产负偾表
    
    zO20午12月31日
    
    唯位;人民币元
    
    2020钎|12H31冂 2019年12爿31冂
    
    397.994,722 71
    
    58,983,244 57
    
    85‘ 116,917 66 88,495,917 30
    
    6θ ,771,584 5δ 9,818,6I9 53
    
    31,θ 41,851 9δ
    
    251,刂21,∶ 08 15
    
    央中:应收利忠
    
    J1,681,982 08
    
    186,8s3,266 53
    
    ⒈⒈ ti饣 :Ff f+‘ i|由
    
    。年内到明的‖流动资产
    
    3.0δ 7,977 12
    
    l,082.283,180 08 ∶010,095,172 8s
    
    J1他lh R投 吹
    
    901,741,077 37
    
    其他仪溢E Fk投 咬
    
    英他非流动佥漱资产
    
    22.414)449,16
    
    16,095,808 19 3t,02θ . lO2 6z
    
    生产怜生物资产
    
    l,176,165 70 l,752,933 θl
    
    κ朋彳i滩哦丨ll
    
    违延″i俳 税t9产 9‘ 442,823 83
    
    J廴 他‖流劢咬r)
    
    l,019,825,720 85 θ74,4!5,848 32
    
    2, 102, 109,200 93 1.984,511,321 17
    
    、
    
    d主 秆会计工作负责人: 晌趴 厶 彡:∶丨?'∶ l∶ II:::∶∶:∶1
    
    };冫|i彡
    
    母公司资产负偾表 (续)
    
    2020‘ I丬2月31凵
    
    人氏币,L
    
    2020年12闩31Ⅱ ⒛19年12月31凵
    
    21,300,000 00
    
    129,14θ,935 50 θI,80⒓ ,47θ 57
    
    73,202,901 81
    
    131,789,136 95
    
    灬:{寸 刂lf甜氵酬 4,512,933 55
    
    251.062,810 81
    
    共中:应付利息
    
    ll亻j彳↓宀“{∮ i
    
    ^年 内到Wl的 艹流动负0,l
    
    5∶ 7,788,957 36
    
    17,000,000 0θ
    
    1,670,I81 C,2 I,650,181 62
    
    逋延所斜税负偾
    
    57,311,5s8 80 θl,θ 13,155 90
    
    601,198,021 18 579,702, l13 26
    
    610,500,000 00 610.300,000 00
    
    185, 163,435 47 185,!63.135 47
    
    121,006,375 40 107,122,θ 78 52
    
    l,500,911,176 75 l, 】04,809,207 91
    
    2, 102,109,200 93 1,984,5∶ :,321 17
    
    合并利润表
    
    2020午
    
    `攴
    
    2,166,165,3夕 41
    
    (损 “失以 -” 号垠列 ) -13,812,687 31
    
    |Ⅲ Ⅱj∵ {}∵ l∴ Ⅱ∷ ∶∷∷∷ ‘`∷汇兑收益〈损失以“-Ⅱ 号,n列 )
    
    卜tf∶ ηⅡ、?|j‘ ∷Ⅱ|: Ⅱ∵ⅡⅡ
    
    `、 “人以 -Ⅱ 号JR列 )
    
    `〈损损久以“-” 妗蝈列)
    
    lJ1,4JO.757 76
    
    l‖ 。f邛 仃.l科润 以“卜0丿 刂烛叫)
    
    2佟止经汐净利树 (`氵冖 ·J损 以“ ”iJtJR列 )
    
    I4I.679,Ol1 氵3
    
    } ∷∶Ⅱ∷∷j∴ ∴iⅡ∷ ∷| .Ⅱ∷∷ Ⅱ’
    
    〈 “ ”渖 亏损 以 +,△ ,R列 )
    
    3:t他lt谦△J1
    
    ("!d|冫^t价 亻氵li小Ⅱ? ⅡI ∶ ∷ ∷∶ .∶ ∷
    
    氵∷Ⅱ, ∶∴Ⅱ ∷ -t∴丫 ∶
    
    lI2,83⒎ 9J5 07
    
    121,260,0氵0 21
    
    丿l茑 J·9改Ⅱ饣:"J;】 ∴刂父li u Ⅱ
    
    (∴ )饰柞铒股
    
    纠钐侧央吲
    
    母公司利润表
    
    ⒓020午∫|I
    
    屮 人l1「 丿
    
    "∶
    
    706,993,91! lo
    
    ! P氵 l ;3? Ol
    
    27, 137,092 70
    
    -l1 “26 700 0?
    
    1,135,llRs la
    
    投饺收盗 `锁 大以Ⅱ-Ⅱ 卟坝列 ) 147,48` ‘01 饣2 ^l lll()l`l`
    
    lt屮:衬 嗽讨个ψ“l△ △个ψ钧|t” uk l∴
    
    ∶ ∷! 、:;∷ 彡∶Ⅱ∷∷∷ ∶|∷ ∷ 1Ⅱ ∫
    
    I∷∶l∴ Ⅱi`∴ 9 r∵ ↓∶ :,iⅡ Ⅱ
    
    灬允ⅡⅡ,1、 Ⅱ收 广l∷ Ⅱ|Ⅱ 1i丿 一¨ v,;⒒ Ⅱ ;
    
    伯用浅狃钿失〈损失以“-"号J0列 )
    
    饿产umlJl失 〈’n失 Ⅱ以 -” 号坷州) -0,496,621 28
    
    贫产处n收萤〈损失以“-” 号坦列 9
    
    二、口业羽泪 (;损 “以 -"刂 垠0l)
    
    ∶’ ∶ ||∷ 1 kl0s,126 0^
    
    `∵羽泪0■ (ifyl总 Ⅱ颌以 -Ⅱ 1;照 列)
    
    1,519,181 ‘6
    
    、0利 “泪(渖 亍侈l以 -Ⅱ t.t垠 列〉 142,9sO 917 54
    
    .氵i0《 |Ⅱ汀‘⒈. ∷∵”;{∷ iI 、冫1(‘ ∵. l^2,9sO,91? sl j, 氵Ⅱr 8Ⅱ 。3勹
    
    (=)终 止径奁净利润 (n亏 Ⅱ损以 -Ⅱ 号垠刊9
    
    ;lⅡL}t△ 1}l丨t分 公亻Gt`|(r(t VJ
    
    lilˇ |l冫 亻,,jq【 1勹 公t{fr‖ -vl
    
    ‘Ⅱ∷ :∴ ∷∷∷ i| |(|
    
    2英他f0权投饼公允价攸变动
    
    i ∷∴ | 冫|∷ ( ∷‘! ∷ ∷∷i∷
    
    I;`刂“Ⅱ艹){|·⒈戈{∫ ii1‘
    
    ∷i)∷ Ⅱ∶|Ⅱ∵ ∴| :∵ {} ∷ ∷|∴ i |
    
    `
    
    、讣 rl|’ 1△ ;|(∴ ∶∮i丿 、Ⅱ
    
    142,950,O17 5‘
    
    Ⅱ艹}饪Ⅱt收Fi Ⅰ 刂Ⅱ
    
    Ⅱ△ .|、 Ⅱ∶ ∷ ∷∶
    
    ˇ` `
    
    v S
    
    淼 合并2现020金至r丿流叟量表 单位:人民币丿C
    
    J顷 || ⒛20年度 2()l∝ |讠 丿芟
    
    、经营活动产生的现金流廛
    
    /+l、孓苘宀宀、提饣k芳 务收到的r吣 个 2,076,l ti l,52s 36 2,348,z35,950 29
    
    ′? r款和Tnl业存放款顼治胂力J顺`礤汛|甸《刂自1今疋融行机借柄款庥净鹎X盔脯癞奈匕i刍/雨丽丽
    
    收驷呶 合H保蜘 勺观金
    
    收到′Π保业务现金n额
    
    保丿储命及J殳 资款净lvi加 额
    
    收取利启、、手续费及佣伞的现命
    
    拆入资伞净憎加额
    
    冂购业务资金氵1增 lJr。额
    
    代殚买女证芬收到的观金狰额
    
    收到n勺 税费返还 36,131,759 60 33,241,961 32
    
    收到其他∫J经什活动仃X的现金 六、55 101,813,697 90
    
    经营活动现金流入小计 2,285,011,455 43 2,483,291,609 51
    
    购买曲|il、 接受劳务攴付的现佥 1,518,273,683,01 l,751,197,371 71
    
    客户贷款及矬款氵⒎增加额
    
    存放中央银行和冂q'款 项诤lYi加 额
    
    艾付原保险合冂赔付款项的J,b佥
    
    柝卜H嗳 佥冫“l曾 加额
    
    支亻刂利旧、、手续赀及佣个的现命
    
    支亻刂保单红利的现个
    
    艾亻刂给职△以及为耶1T艾们的观个 2骂9,{377,059 27 281,083,4± 5 cl{3
    
    艾亻刂的各项税赀 137,s00, 382 26 95,95ll, 167 88
    
    支亻刂其他L9经 营活动有关n勺 现伞 5E 224,963,320 95 233,340,301 19
    
    经营活动现金流出小计 '`、 2,l40,114,445 49 2,361,879,586 71
    
    经营活动产生的现金流童净额 5F 1刂刂,927,009 9↓ 121,412,022 80
    
    二、投资活动产生的现金流量: '`、
    
    收H投资收驷ln勺 现个
    
    llt待投资收益收到n勺 现今 3,911,887 83 4,437,043 04
    
    处胃固定资产、兀形资产和其他κ煳j资 产收凵的现伞净额 65,刂72,213 47 S6,609,273 41
    
    处置子公门及共亻吐I营业屮位收到的现金净/ol 31,277,073 24
    
    收到共他%投i灸 活动布大的现金
    
    投资活动现金流入小计 69,384,101 30 72,323.389 69
    
    嘭J矬 田定诱产、尢肜资产和共他长朋资产攴ll的l,b佥 67,719,998 05 21,083,390 27
    
    投资攴付的现金 6,32`l,212 16 2,750,960 00
    
    质押贷款氵π增加额
    
    取件子公 刂及其他背业惟位支伺的lt金i/t,额
    
    攴付共他与投资活动有天的现命
    
    投资活动现金流出小计 74,011,210 21 23,83`l,350 27
    
    投资活动产生的现金流量净额 -`l,660, 108 91 48,/189,039 42
    
    三、筹资活动产生的现金流量:
    
    吸收投资收到的现命 22,429,488 00 4,900,000 00
    
    其中:了 公Ll吸 收少数股东投资收到的lt命 22,129,488 00 4,900,000 00
    
    取得借款所收到的J见 个 60,000,0θ 0 00
    
    收到少t他 与筹资活动有关的现金
    
    筹资活动现金流入小计 82, 129, 188 00 4,900‘ 000 θ0
    
    偿还债务所艾付的现个 6,479,771 49 6,227,925,71
    
    分内J股利、利润~。k偿亻刂利启、所支们r灼 现金 50,262,586 54 50,050,928 51
    
    其巾:f公司支亻刂给少数股东的股利、利润 6,561,506 00 5,878,303 20
    
    支伺J1他 与筹资氵|矸动有关的现伞
    
    筹资活动现金流出小计 56,742,358 03 56,278,854 22
    
    筹资活动产生的现金流量净额 25,687,129 97 -51,378,851 22
    
    四、汇率变动对现金及现金等价物的影响 -2,987,758 77 -552,974 23
    
    五、现金及现金等价物净增加额 六、 5£ 162,966,272 23 l17,969,233 77
    
    加:煳l初观金及l/b佥 等价物汆额 六、5E 745,710,396, 19 627,711,162 12
    
    六、期末现金及现金等价物余额 六、5[ 908.s76,668 12 745,710,396 19
    
    法定代表人: `上管会汁⊥作负,I人 : ^^∶卜ll1杉J负J∶人:
    
    △℃ 曰 N 中马 |锄
    
    明 卩
    
    母公司现金流量表
    
    202()亻 |∶丿叟
    
    编 、 「 H。位:人 民币`C
    
    苎甚畿篮卩 叉k 田注 2()2()亻 {∶丿芟 2019⊥|丿支。
    
    -、轻蒈蒲钫产生蹴 量∷》亠
    
    卩|f玎 宀宀、扌丿芒〃k”钤刂攵个刂n勺J见 个 639,065,075 37 402,501,674 69
    
    收"叮歪f沁吧纟返还 / 2刂,86d,299 θ9 15,813,010 85
    
    收到其他与宓皙W丬W乃斫陶现伞 181,196,778 0刂 123,763,185 cl7
    
    经营活动现金流入小计 845,126,152 5θ 512,θ 77,871 51
    
    购买尚I礻l、 接受劳务支们的现金 146,301,570 39 216,030,867 75
    
    攴伺给职⊥以及为职 l∶攴l·l的l,t金 69,877,972 12 80,351,815 18
    
    支亻刂的侨项税赀 13,479,327 54 `l,3d8, 102 16
    
    攴付共他lJ经 什活动ll尺 的现金 18s,511,645 20 173,867,/l/l1 `16
    
    经营活动现金流出小计 716,170,515 55 501,598,229 55
    
    经营活动产生的现金流量净额 128,955,636 95 37,刂79,641 9Cl
    
    二、投资活动产生的现金流量:
    
    收凵投资收到的1见个 26,322,{s06 85
    
    取得投资收袷收到的观佥 35,319,227 18 35,903,208 16
    
    处置H定 资产、尢形资产和共他长煳J嗳产收回的现命l lf额 158,694 36 3,985 01
    
    处首子公司及其他营q'单 位收到的现伞净额
    
    收到其他与投资活动有关的现命 162,761,738 75
    
    投资活动现金流入小计 198,5;9,660 29 62,229,500 02
    
    购建凵定资产、尢形资产和其他KJ"资产艾亻刂的现个 l,511,284 26 2,018,671 95
    
    投资支付的现金 77,988,458 56 89,118,718 00
    
    取符f公 刂及共他苜业Ⅱ位攴付n勺 现命氵“额
    
    支们其他与投资活动有关的现伞 121,693,800 00
    
    投资活动现金流出小计 201,193,5`12 82 91, 167,389 95
    
    投资活动产生的现金流量挣额 -2,653,882 53 -28,937,889 93
    
    三、筹资活动产生的现金流量:
    
    吸刂攵投诠收到n勺J见 金
    
    取得借款收到的J,L命
    
    收到其他 I丿 笄资活动仃天的I吣金
    
    筹资活动现金流入小计
    
    偿还债务艾f,l的现个
    
    分配股利、利涧或偿亻刂利启、支们的现命 43,308,400 00 4{;,306,833 33
    
    艾亻刂其他与筹资活动有关的现个
    
    筹资活动现金流出小计 1{3, 308,400 00 43,30l· ,833 33
    
    筹资活动产生的现金流量狰额 -43,308,400 00 -43,306,833 33
    
    四、汇率变动对现金及现金等价物的影响
    
    五、现金及现金等价物净增加额 82,993,354 42 -34,765,081 30
    
    加:期初现金及现金等价物余额 272,157,891 81 306,922,973 11
    
    六、期末现金及现金等价物余额 355,151,246 23 272, 157,891 81
    
    法定代茨人: `主符会计「作负贞人: 会汁和1Ⅳ J负 J扌 人:。⒉
    
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