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拾比佰:2017年年度报告摘要 下载公告
公告日期:2020-11-10

2017

珠海拾比佰彩图板股份有限公司ZHUHAI SPEEDBIRD PVC FILMLAMINATED METAL SHEET CO.,LTD年度报告摘要

年度报告摘要

拾比佰NEEQ : 831768

一. 重要提示

1.1

本年度报告摘要来自年度报告全文,投资者欲了解详细内容,应当仔细阅读同时刊载于全国股份转让系统公司指定信息披露平台(www.neeq.com.cn或www.neeq.cc)的年度报告全文。

1.2

公司董事会及其董事、监事会及其监事、公司高级管理人员保证本报告所载资料不存在任何虚假记载、误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连带责任。

1.3

公司全体董事出席了审议本次年度报告的董事会会议。

1.4

广东正中珠江会计师事务所(特殊普通合伙)会计师事务所对公司出具了无保留意见的审计报告。

1.5

公司联系方式

信息披露事务管理人/董事会秘书田建龙
职务董事会秘书
电话0756-7230168
传真0756-7239360
电子邮箱dmb@speedbird.cn
公司网址http://www.zhspb.com
联系地址及邮政编码珠海市金湾区红旗镇红旗路8号519090
公司指定信息披露平台的网址www.neeq.com.cn
公司年度报告备置地公司三楼办公室

二. 主要财务数据、股本结构及股东情况

2.1

主要财务数据

单位:元

本期(末)上期(末)本期(末)比上期(末)增减比例%
资产总计794,682,664.84543,236,634.1146.29%
归属于挂牌公司股东的净资产264,923,928.58165,926,843.4659.66%
营业收入780,833,811.63587,033,507.0633.01%
归属于挂牌公司股东的净利润33,319,278.3525,604,039.2730.13%
归属于挂牌公司股东的扣除非经常性损益后的净利润30,207,851.9822,945,796.37-
经营活动产生的现金流量净额23,655,900.48-5,932,811.47498.73%
加权平均净资产收益率15.23%14.95%-
基本每股收益(元/股)0.520.4320.93%
稀释每股收益(元/股)0.520.43-
归属于挂牌公司股东的每股净资产(元/股)3.732.7734.66%

2.2

普通股股本结构

单位:股

股份性质期初变动期末
数量比例%数量比例%
无限售条件股份无限售股份总数35,180,00058.63%10,362,50045,542,50064.17%
其中:控股股东、实际控制人18,280,00030.47%-18,280,00025.76%
董事、监事、高管--202,500202,5000.29%
核心员工-----
有限售条件股份有限售股份总数24,820,00041.37%607,50025,427,50035.83%
其中:控股股东、实际控制人24,820,00041.37%-24,820,00034.97%
董事、监事、高管--607,500607,5000.86%
核心员工-----
总股本60,000,000.00-10,970,00070,970,000.00-
普通股股东人数33

2.3

普通股前五名或持股10%及以上股东情况

单位:股

序号股东名称期初持股数持股变动期末持股数股比例%期末持有限售股份数量期末持有无限售股份数量
1珠海市拾比伯投资管理有限公司28,860,000-28,860,00040.67%19,240,0009,620,000
2拾比佰(澳门)有限公司14,240,000-14,240,00020.06%5,580,0008,660,000
3广东省科技创业投资有限公司10,800,000-10,800,00015.22%-10,800,000
4诸暨弘信晨晟创业投资中心(有限合伙)-4,292,8574,292,8576.05%-4,292,857
5珠海市共富贸易有限公司3,600,000-3,600,0005.07%-3,600,000
合计57,500,0004,292,85761,792,85787.07%24,820,00036,972,857
上述股东中,珠海拾比伯系公司实际控制人杜氏家族成员——杜文雄、杜文兴、杜文乐和杜国栋控制的企业;澳门拾比佰系实际控制人杜氏家族成员——杜半之和李琦琦控制的企业;共富贸易系公司实际控制人杜氏家族成员--杜国栋持有6.17%股权的企业。 除上述情形外,公司上述其他股东之间不存在关联关系。

2.4

公司与控股股东、实际控制人之间的产权及控制关系

截至本报告期末,珠海市拾比伯投资管理有限公司持有公司2,886万股,占公司总股本的40.67%,系本公司的控股股东。公司的实际控制人为杜氏家族,成员包括杜文雄、杜文乐、杜文兴、杜国栋、杜半之和李琦琦,截止报告期末,杜氏家族合计直接或间接持有公司61.47%的股份。

三. 涉及财务报告的相关事项

3.1

会计政策、会计估计变更或重大会计差错更正

√适用□不适用

⑧根据法规宿舍、仓库、饭堂土地使用权及房屋建筑转让合同不具法律效力,根据准则规定重新确认对应资产、负债,并重新计算摊销折旧;对2016年固定资产、无形资产、其他应付款、盈余公积、未分配利润、管理费用进行差错更正。 (2)前期会计差错对公司财务状况和经营成果的影响 根据《企业会计准则》的规定,公司对上述前期差错采用追溯重述方法进行处理,影响会计报表项目及影响金额如下: 单位:元
受到影响的报表项目合并财务报表母公司财务报表
2016.12.31/2016年度2016.12.31/2016年度
重述前金额重述金额重述后金额重述前金额重述金额重述后金额
预付款项19,458,454.89-1,058,248.7218,400,206.1717,225,942.58-1,058,248.7216,167,693.86
存货151,763,140.95-10,305,932.48141,457,208.47153,888,338.55-10,305,932.48143,582,406.07
流动资产合计:370,885,944.08-11,364,181.20359,521,762.88407,119,716.74-11,364,181.20395,755,535.54
固定资产133,986,648.341,417,993.39135,404,641.7335,763,011.041,417,993.3937,181,004.43
无形资产31,855,127.56574,000.0032,429,127.562,097,712.18574,000.002,671,712.18
递延所得税资产5,388,401.831,802,311.827,190,713.651,509,744.441,716,915.513,226,659.95
其他非流动资产95,968.091,058,248.721,154,216.81-1,058,248.721,058,248.72
非流动资产合计:178,862,317.304,852,553.93183,714,871.2380,904,067.084,767,157.6285,671,224.70
资产总计:549,748,261.38-6,511,627.27543,236,634.11488,023,783.82-6,597,023.58481,426,760.24
其他应付款21,321,742.163,194,477.8624,516,220.026,252,037.583,194,477.869,446,515.44
流动负债合计348,475,875.603,194,477.86351,670,353.46305,922,205.153,194,477.86309,116,683.01
预计负债-1,306,946.221,306,946.22-1,260,170.911,260,170.91
递延收益16,239,000.00402,533.4016,641,533.401,920,000.00-120,000.001,800,000.00
其他非流动负债4,000,000.00-4,000,000.00----
非流动负债合计:25,238,901.91-2,290,520.3822,948,381.531,920,000.001,140,170.913,060,170.91
负债合计:373,714,777.51903,957.48374,618,734.99307,842,205.154,334,648.77312,176,853.92
资本公积17,203,945.091,485,624.3218,689,569.4117,203,945.09257,032.4417,460,977.53
盈余公积12,653,609.11-1,118,870.4811,534,738.6312,653,609.11-1,118,870.4811,534,738.63
未分配利润86,175,929.67-10,473,394.2575,702,535.4290,324,024.47-10,069,834.3180,254,190.16
归属于母公司股东权益合计:176,033,483.87-10,106,640.41165,926,843.46---
少数股东权益-2,691,055.662,691,055.66---
所有者权益合计:176,033,483.87-7,415,584.75168,617,899.12180,181,578.67-10,931,672.35169,249,906.32
负债和股东权益总计:549,748,261.38-6,511,627.27543,236,634.11488,023,783.82-6,597,023.58481,426,760.24
营业收入588,489,549.86-1,456,042.80587,033,507.06679,250,330.02-1,315,076.54677,935,253.48
营业成本476,876,933.17-924,967.08475,951,966.09576,554,366.39-815,912.79575,738,453.60
销售费用24,480,751.77190,157.2724,670,909.0424,478,523.82175,293.9324,653,817.75
管理费用45,333,758.81157,882.5945,491,641.4034,719,791.90157,882.5934,877,674.49
资产减值损失3,267,423.04645,762.733,913,185.773,336,455.04645,762.733,982,217.77
营业利润:26,646,159.81-1,512,017.9025,134,141.9130,471,468.75-1,465,242.5929,006,226.16
营业外收入3,818,757.02-402,533.403,416,223.621,777,757.02120,000.001,897,757.02
利润总额:30,353,906.24-1,927,411.7128,426,494.5332,138,215.18-1,358,103.0030,780,112.18
减:所得税费用3,093,826.63-265,429.372,828,397.263,241,275.23-180,033.063,061,242.17
净利润27,260,079.61-1,661,982.3425,598,097.2728,896,939.95-1,178,069.9427,718,870.01
归属于母公司股东的净利润27,260,079.61-1,656,040.3425,604,039.27---
少数股东损益--5,942.00-5,942.00---
受到影响的报表项目合并财务报表母公司财务报表
2015.12.31/2015年度2015.12.31/2015年度
重述前金额重述金额重述后金额重述前金额重述金额重述后金额
存货96,757,890.90-9,660,169.7587,097,721.1596,280,271.72-9,660,169.7586,620,101.97
流动资产合计:267,310,268.04-9,660,169.75257,650,098.29289,471,305.12-9,660,169.75279,811,135.37
递延所得税资产5,162,783.541,449,025.466,611,809.001,247,490.031,449,025.462,696,515.49
非流动资产合计:172,981,992.181,449,025.46174,431,017.6483,519,189.671,449,025.4684,968,215.13
资产总计:440,292,260.22-8,211,144.29432,081,115.93372,990,494.79-8,211,144.29364,779,350.50
其他非流动负债4,000,000.00-4,000,000.00----
非流动负债合计:58,544,584.85-4,000,000.0054,544,584.852,150,000.00-2,150,000.00
负债合计:290,318,855.96-4,000,000.00286,318,855.96220,505,856.07-220,505,856.07
资本公积17,203,945.091,228,591.8818,432,536.9717,203,945.09-17,203,945.09
盈余公积9,763,915.11-821,114.438,942,800.689,763,915.11-821,114.438,942,800.68
未分配利润63,005,544.06-7,315,619.4055,689,924.6665,516,778.52-7,390,029.8658,126,748.66
归属于母公司股东权益合计:149,973,404.26-6,908,141.95143,065,262.31---
少数股东权益-2,696,997.662,696,997.66---
所有者权益合计:149,973,404.26-4,211,144.29145,762,259.97152,484,638.72-8,211,144.29144,273,494.43
负债和股东权益总计:440,292,260.22-8,211,144.29432,081,115.93372,990,494.79-8,211,144.29364,779,350.50
资产减值损失2,766,496.589,660,169.7512,426,666.332,385,105.569,660,169.7512,045,275.31
营业利润:16,898,646.14-9,660,169.757,238,476.3918,248,935.35-9,660,169.758,588,765.60
利润总额:23,386,387.11-9,660,169.7513,726,217.3624,736,565.92-9,660,169.7515,076,396.17
减:所得税费用2,550,075.09-1,449,025.461,101,049.632,755,574.39-1,449,025.461,306,548.93
净利润20,836,312.02-8,211,144.2912,625,167.7321,980,991.53-8,211,144.2913,769,847.24
归属于母公司20,836,312.02-8,136,733.8312,699,578.1921,980,991.53-8,211,144.2913,769,847.24
股东的净利润
少数股东损益--74,410.46-74,410.46---

3.2

因会计差错更正需追溯调整或重述情况

√适用 □不适用

单位:元

科目上年期末(上年同期)上上年期末(上上年同期)
调整重述前调整重述后调整重述前调整重述后
预付款项19,458,454.8918,400,206.17--
存货151,763,140.95141,457,208.4796,757,890.9087,097,721.15
流动资产合计:370,885,944.08359,521,762.88267,310,268.04257,650,098.29
固定资产133,986,648.34135,404,641.73--
无形资产31,855,127.5632,429,127.56--
递延所得税资产5,388,401.837,190,713.655,162,783.546,611,809.00
其他非流动资产95,968.091,154,216.81--
非流动资产合计:178,862,317.30183,714,871.23172,981,992.18174,431,017.64
资产总计:549,748,261.38543,236,634.11440,292,260.22432,081,115.93
其他应付款21,321,742.1624,516,220.02--
流动负债合计348,475,875.60351,670,353.46--
预计负债-1,306,946.22--
递延收益16,239,000.0016,641,533.40--
其他非流动负债4,000,000.00-4,000,000.00-
非流动负债合计:25,238,901.9122,948,381.5358,544,584.8554,544,584.85
负债合计:373,714,777.51374,618,734.99290,318,855.96286,318,855.96
资本公积17,203,945.0918,689,569.4117,203,945.0918,432,536.97
盈余公积12,653,609.1111,534,738.639,763,915.118,942,800.68
未分配利润86,175,929.6775,702,535.4263,005,544.0655,689,924.66
归属于母公司股东权益合计:176,033,483.87165,926,843.46149,973,404.26143,065,262.31
少数股东权益-2,691,055.66-2,696,997.66
所有者权益合计:176,033,483.87168,617,899.12149,973,404.26145,762,259.97
负债和股东权益总计:549,748,261.38543,236,634.11440,292,260.22432,081,115.93
营业收入588,489,549.86587,033,507.06--
营业成本476,876,933.17475,951,966.09--
销售费用24,480,751.7724,670,909.04--
管理费用45,333,758.8145,491,641.40--
资产减值损失3,267,423.043,913,185.772,766,496.5812,426,666.33
营业利润:26,646,159.8125,134,141.9116,898,646.147,238,476.39
营业外收入3,818,757.023,416,223.62--
利润总额:30,353,906.2428,426,494.5323,386,387.1113,726,217.36
减:所得税费用3,093,826.632,828,397.262,550,075.091,101,049.63
净利润27,260,079.6125,598,097.2720,836,312.0212,625,167.73
归属于母公司股东的净利润27,260,079.6125,604,039.2720,836,312.0212,699,578.19
少数股东损益--5,942.00--74,410.46

3.3

合并报表范围的变化情况

√适用□不适用

截止2017年12月31日,公司合并财务报表范围为四家公司,包括母公司珠海拾比佰彩图板股份有限公司、子公司珠海拾比佰新型材料有限公司、子公司珠海拾比佰供应链管理有限公司及孙公司珠海拾比佰项目管理有限公司。

3.4

关于非标准审计意见的说明

□适用√不适用


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