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旷达科技:2024年度财务决算报告下载公告
公告日期:2025-03-22

旷达科技集团股份有限公司2024年度财务决算报告

一、2024年度公司财务报表的审计情况

旷达科技集团股份有限公司(以下简称“公司”或“旷达科技”)2024年财务报表已经致同会计师事务所(特殊普通合伙)审计,出具了标准无保留意见的审计报告。会计师的审计意见为:旷达科技财务报表在所有重大方面按照企业会计准则的规定编制,公允反映了旷达科技2024年12月31日的合并及公司财务状况以及2024年度的合并及公司经营成果和现金流量。

二、主要财务数据和指标

单位:元

2024年2023年本年比上年增减2022年
营业收入(元)2,098,301,394.471,803,462,903.6816.35%1,784,029,097.95
归属于上市公司股东的净利润(元)163,488,162.55191,204,470.33-14.50%199,716,113.35
归属于上市公司股东的扣除非经常性损益的净利润(元)134,728,010.86162,185,789.33-16.93%191,886,089.66
经营活动产生的现金流量净额(元)215,751,952.63216,731,117.64-0.45%422,937,480.25
基本每股收益(元/股)0.11120.1300-14.46%0.1358
稀释每股收益(元/股)0.11060.1300-14.92%0.1358
加权平均净资产收益率4.50%5.37%-0.87%5.76%
2024年末2023年末本年末比上年末增减2022年末
总资产(元)4,558,717,928.944,421,493,241.123.10%4,405,223,043.85
归属于上市公司股东的净资产(元)3,672,353,193.393,639,755,613.710.90%3,721,481,461.79

三、财务状况、经营成果和现金流量情况分析

(一)主要资产变动情况

单位:元

项目2024年末2023年末同比变动(金额)同比变动(%)
金额占总资产比例金额占总资产比例
流动资产:
货币资金312,389,539.296.85%306,943,713.106.94%5,445,826.191.77%
交易性金融资产583,170,285.0912.79%472,211,437.2310.68%110,958,847.8623.50%
应收票据49,350,480.131.08%38,005,754.440.86%11,344,725.6929.85%
应收账款1,003,425,913.4622.01%894,346,518.2020.23%109,079,395.2612.20%
应收款项融资195,277,811.414.28%198,265,202.664.48%-2,987,391.25-1.51%
预付款项8,347,839.800.18%7,506,846.740.17%840,993.0611.20%
其他应收款30,976,968.660.68%3,830,199.470.09%27,146,769.19708.76%
存货378,551,028.048.30%332,735,286.607.53%45,815,741.4413.77%
其他流动资产78,142,339.531.71%84,546,575.061.91%-6,404,235.53-7.57%
流动资产合计2,639,632,205.4157.90%2,338,391,533.5052.89%301,240,671.9112.88%
非流动资产:
长期股权投资530,893,689.7211.65%538,413,681.6412.18%-7,519,991.92-1.40%
投资性房地产28,511,710.630.63%30,925,704.460.70%-2,413,993.83-7.81%
固定资产1,082,266,341.0923.74%1,146,001,052.3225.92%-63,734,711.23-5.56%
在建工程20,364,460.880.45%21,925,243.270.50%-1,560,782.39-7.12%
生产性生物资产8,578,861.900.19%-8,578,861.90-100.00%
公益性生物资产4,316,034.140.10%-4,316,034.14-100.00%
使用权资产98,712,499.952.17%106,536,795.472.41%-7,824,295.52-7.34%
无形资产70,154,702.211.54%74,776,815.661.69%-4,622,113.45-6.18%
商誉11,782,190.400.26%17,111,190.400.39%-5,329,000.00-31.14%
长期待摊费用27,988,994.790.61%94,186,590.912.13%-66,197,596.12-70.28%
递延所得税资产44,747,041.950.98%38,916,535.180.88%5,830,506.7714.98%
其他非流动资产3,664,091.910.08%1,413,202.270.03%2,250,889.64159.28%
非流动资产合计1,919,085,723.5342.10%2,083,101,707.6247.11%-164,015,984.09-7.87%
资产总计4,558,717,928.94100.00%4,421,493,241.12100.00%137,224,687.823.10%

报告期内:

(1)其他应收款:增加2,714.68万元,主要为出售土地经营权形成应收款影响;

(2)生产性生物资产:减少857.89万元,主要为受本期出售土地经营权影响;

(3)公益性生物资产:减少431.60万元,主要为受本期出售土地经营权影响;

(4)商誉:减少532.90万元,主要为受本期计提减值影响;

(5)长期待摊费用:减少6,619.76万元,主要为受本期出售土地经营权影响;

(6)其他非流动资产:增加225.09万元,主要为预付设备款等。

(二)负债变动情况

单位:元

项目2024年末2023年末同比变动 (金额)同比变动(%)
金额占总负债比例金额占总负债比例
流动负债:
应付票据76,140,000.009.80%-76,140,000.00-100.00%
应付账款591,789,355.7766.87%463,862,211.1459.68%127,927,144.6327.58%
预收款项439,482.560.05%449,234.690.06%-9,752.13-2.17%
合同负债2,249,447.700.25%2,729,151.000.35%-479,703.30-17.58%
应付职工薪酬72,998,038.278.25%66,387,176.668.54%6,610,861.619.96%
应交税费23,787,098.042.69%30,629,475.133.94%-6,842,377.09-22.34%
其他应付款92,502,941.1710.45%27,784,549.443.57%64,718,391.73232.93%
一年内到期的非流动负债23,572,419.162.66%18,206,949.722.34%5,365,469.4429.47%
其他流动负债292,428.180.03%355,375.260.05%-62,947.08-17.71%
流动负债合计807,631,210.8591.25%686,544,123.0488.33%121,087,087.8117.64%
非流动负债:
租赁负债76,301,724.298.62%89,453,592.4911.51%-13,151,868.20-14.70%
递延收益1,112,054.950.13%1,233,877.270.16%-121,822.32-9.87%
非流动负债合计77,413,779.248.75%90,687,469.7611.67%-13,273,690.52-14.64%
负债合计885,044,990.09100.00%777,231,592.80100.00%107,813,397.2913.87%

报告期内:

(1)应付票据:减少7,614.00万元,主要为原票据到期后未开具票据;

(2)其他应付款:增加6,471.84万元,主要为确认股权激励回购义务。

(三)股东权益情况

单位:元

项目2024年末2023年末同比变动(金额)同比变动(%)
股本1,470,838,682.001,470,838,682.00-0.00%
资本公积1,235,411,786.291,257,816,214.08-22,404,427.79-1.78%
减:库存股61,941,250.00100,012,304.91-38,071,054.91-38.07%
其他综合收益-11,657,126.12-9,447,348.91-2,209,777.21-23.39%
专项储备558,997.82300,212.40258,785.4286.20%
盈余公积249,323,625.19232,550,333.1016,773,292.097.21%
未分配利润789,818,478.21787,709,825.952,108,652.260.27%
归属于母公司股东权益合计3,672,353,193.393,639,755,613.7132,597,579.680.90%
少数股东权益1,319,745.464,506,034.61-3,186,289.15-70.71%
股东(或所有者)权益合计3,673,672,938.853,644,261,648.3229,411,290.530.81%

报告期内:

(1)库存股:减少3,807.11万元,主要为本期使用库存股实施股权激励;

(2)专项储备:增加25.88万元,主要为本期计提安全生产费。

(四)利润表情况

单位:元

项目2024年2023年同比变动(金额)同比变动(%)
一、营业收入2,098,301,394.471,803,462,903.68294,838,490.7916.35%
营业成本1,633,236,451.491,350,127,116.22283,109,335.2720.97%
税金及附加19,956,342.1719,615,631.21340,710.961.74%
销售费用19,063,947.0119,750,643.26-686,696.25-3.48%
管理费用141,846,968.79124,398,556.5617,448,412.2314.03%
研发费用64,684,577.5754,746,091.179,938,486.4018.15%
财务费用4,080,749.771,803,267.642,277,482.13126.30%
其他收益17,251,645.314,906,434.2712,345,211.04251.61%
投资收益(损失以“-”号填列)-3,034,327.6910,366,697.39-13,401,025.08-129.27%
公允价值变动收益(损失以“-”号填列)8,313,075.236,888,035.801,425,039.4320.69%
信用减值损失(损失以“-”号填列)-9,498,993.85-5,233,107.33-4,265,886.5281.52%
资产减值损失(损失以“-”号填列)-36,652,974.49-32,968,125.39-3,684,849.1011.18%
资产处置收益(损失以“-”号填列)4,507,586.52-263,718.554,771,305.071809.24%
二、营业利润196,318,368.70216,717,813.81-20,399,445.11-9.41%
加:营业外收入1,657,053.721,274,060.15382,993.5730.06%
减:营业外支出3,419,594.936,197,587.28-2,777,992.35-44.82%
三、利润总额194,555,827.49211,794,286.68-17,238,459.19-8.14%
减:所得税费用34,253,954.0941,772,868.49-7,518,914.40-18.00%
四、净利润160,301,873.40170,021,418.19-9,719,544.79-5.72%
归属于母公司股东的净利润163,488,162.55191,204,470.33-27,716,307.78-14.50%
少数股东损益-3,186,289.15-21,183,052.1417,996,762.9984.96%

报告期内:

(1)财务费用:增加227.75万元,主要为利息收入减少;

(2)其他收益:增加1,234.52万元,主要为受先进制造业增值税加计抵扣的影响;

(3)投资收益:减少1,340.10万元,主要为本期受合营企业亏损的影响;

(4)信用减值损失:增加426.59万元,主要为应收账款金额同比增加;

(5)资产处置收益:增加477.13万元,主要为受本期出售土地经营权影响;

(6)营业外收入:增加38.30万元,主要为索赔款和保险赔款增加;

(7)营业外支出:减少277.80 万元,主要为本期捐赠支出减少。

(五)现金流量情况

单位:元

项目2024年2023年同比变动(金额)同比变动(%)
经营活动现金流入小计1,248,427,768.091,293,702,386.40-45,274,618.31-3.50%
经营活动现金流出小计1,032,675,815.461,076,971,268.76-44,295,453.30-4.11%
经营活动产生的现金流量净额215,751,952.63216,731,117.64-979,165.01-0.45%
投资活动现金流入小计1,249,734,543.371,475,109,995.29-225,375,451.92-15.28%
投资活动现金流出小计1,333,304,157.921,651,883,260.13-318,579,102.21-19.29%
投资活动产生的现金流量净额-83,569,614.55-176,773,264.8493,203,650.2952.72%
筹资活动现金流入小计61,941,250.00-61,941,250.00100.00%
筹资活动现金流出小计167,056,732.80309,456,729.07-142,399,996.27-46.02%
筹资活动产生的现金流量净额-105,115,482.80-309,456,729.07204,341,246.2766.03%
汇率变动对现金及现金等价物的影响-46,997.85124,716.89-171,714.74-137.68%
现金及现金等价物净增加额27,019,857.43-269,374,159.38296,394,016.81110.03%

报告期内:

(1)投资活动产生的现金流量净额:增加9,320.37万元,主要为受出售土地经营权和理财的影响;

(2)筹资活动产生的现金流量净额:增加20,434.12万元,主要为受收到股权激励款和减少利润分配的影响。

旷达科技集团股份有限公司董事会2025年3月20日


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