旷达科技(002516)_公司公告_旷达科技:2025年度财务决算报告

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旷达科技:2025年度财务决算报告下载公告
公告日期:2026-03-28

旷达科技集团股份有限公司2025年度财务决算报告

一、2025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”)2025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2025年12月31日的合并及公司财务状况以及2025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

2025年2024年本年比上年增减2023年
营业收入(元)2,275,746,792.472,098,301,394.478.46%1,803,462,903.68
归属于上市公司股东的净利润(元)184,177,272.39163,488,162.5512.65%191,204,470.33
归属于上市公司股东的扣除非经常性损益的净利润(元)170,760,019.25134,728,010.8626.74%162,185,789.33
经营活动产生的现金流量净额(元)359,622,392.88215,751,952.6366.68%216,731,117.64
基本每股收益(元/股)0.130.1118.18%0.13
稀释每股收益(元/股)0.130.1118.18%0.13
加权平均净资产收益率4.98%4.50%0.48%5.37%
2025年末2024年末本年末比上年末增减2023年末
总资产(元)4,665,059,597.164,558,717,928.942.33%4,421,493,241.12
归属于上市公司股东的净资产(元)3,777,160,078.873,672,353,193.392.85%3,639,755,613.71

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2025年末2024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335,237,984.537.19%312,389,539.296.85%22,848,445.247.31%
交易性金融资产782,755,335.6316.78%583,170,285.0912.79%199,585,050.5434.22%
应收票据37,793,800.940.81%49,350,480.131.08%-11,556,679.19-23.42%
应收账款824,289,754.9217.67%1,003,425,913.4622.01%-179,136,158.54-17.85%
应收款项融资303,622,092.726.51%195,277,811.414.28%108,344,281.3155.48%
预付款项9,369,000.630.20%8,347,839.800.18%1,021,160.8312.23%
其他应收款2,334,504.010.05%30,976,968.660.68%-28,642,464.65-92.46%
存货440,403,902.729.44%378,551,028.048.30%61,852,874.6816.34%
持有待售资产202,424.770.00%202,424.77100.00%
其他流动资产89,834,439.011.93%78,142,339.531.71%11,692,099.4814.96%
流动资产合计2,825,843,239.8860.57%2,639,632,205.4157.90%186,211,034.477.05%
非流动资产:
长期股权投资501,488,780.3310.75%530,893,689.7211.65%-29,404,909.39-5.54%
投资性房地产23,911,078.020.51%28,511,710.630.63%-4,600,632.61-16.14%
固定资产1,037,715,167.0922.24%1,082,266,341.0923.74%-44,551,174.00-4.12%
在建工程28,711,734.310.62%20,364,460.880.45%8,347,273.4340.99%
使用权资产78,110,624.351.67%98,712,499.952.17%-20,601,875.60-20.87%
无形资产86,712,574.151.86%70,154,702.211.54%16,557,871.9423.60%
商誉0.000.00%11,782,190.400.26%-11,782,190.40-100.00%
长期待摊费用34,378,549.930.74%27,988,994.790.61%6,389,555.1422.83%
递延所得税资产43,832,559.100.94%44,747,041.950.98%-914,482.85-2.04%
其他非流动资产4,355,290.000.09%3,664,091.910.08%691,198.0918.86%
非流动资产合计1,839,216,357.2839.43%1,919,085,723.5342.10%-79,869,366.25-4.16%
资产总计4,665,059,597.16100.00%4,558,717,928.94100.00%106,341,668.222.33%

报告期内:

(1)交易性金融资产:增加19,958.51万元,主要为业务回款向好,自有资金增加,增加购买理财业务;

(2)应收款项融资:增加10,834.43万元,主要为销售增长,货款回收增加;

(3)其他应收款:减少2,864.25万元,主要为收回出售承包权转让款;

(4)持有待售资产:增加20.24万元,主要为一项房地产待拆迁,进行资产重分类;

(5)在建工程:增加834.73万元,主要为基建、设备投入增加;

(6)商誉:减少1,178.22万元,主要为对商誉计提减值准备。

(二)负债变动情况

单位:元

项目2025年末2024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:
应付账款619,325,878.1669.77%591,789,355.7766.87%27,536,522.394.65%
预收款项5,595,714.180.63%439,482.560.05%5,156,231.621,173.25%
合同负债2,539,219.150.29%2,249,447.700.25%289,771.4512.88%
应付职工薪酬86,483,285.619.74%72,998,038.278.25%13,485,247.3418.47%
应交税费19,883,403.262.24%23,787,098.042.69%-3,903,694.78-16.41%
其他应付款75,835,089.738.54%92,502,941.1710.45%-16,667,851.44-18.02%
一年内到期的非流动负债25,716,166.592.90%23,572,419.162.66%2,143,747.439.09%
其他流动负债329,831.490.04%292,428.180.03%37,403.3112.79%
流动负债合计835,708,588.1794.15%807,631,210.8591.25%28,077,377.323.48%
非流动负债:
租赁负债50,920,781.265.74%76,301,724.298.62%-25,380,943.03-33.26%
递延收益990,232.630.11%1,112,054.950.13%-121,822.32-10.95%
非流动负债合计51,911,013.895.85%77,413,779.248.75%-25,502,765.35-32.94%
负债合计887,619,602.06100.00%885,044,990.09100.00%2,574,611.970.29%

报告期内:

(1)预收款项:增加515.62万元,主要为预收房屋拆迁款;

(2)租赁负债:减少2,538.09万元,主要为按合同约定支付租赁款及重分类。

(三)股东权益情况

单位:元

项目2025年末2024年末同比变动(金额)同比变动(%)
股本1,470,838,682.001,470,838,682.000.000.00%
资本公积1,253,985,633.331,235,411,786.2918,573,847.041.50%
减:库存股37,164,750.0061,941,250.00-24,776,500.00-40.00%
其他综合收益-16,755,284.24-11,657,126.12-5,098,158.12-43.73%
专项储备603,516.55558,997.8244,518.737.96%
盈余公积261,283,285.24249,323,625.1911,959,660.054.80%
未分配利润844,368,995.99789,818,478.2154,550,517.786.91%
归属于母公司股东权益合计3,777,160,078.873,672,353,193.39104,806,885.482.85%
少数股东权益279,916.231,319,745.46-1,039,829.23-78.79%
股东(或所有者)权益合计3,777,439,995.103,673,672,938.85103,767,056.252.82%

报告期内:

)库存股:减少2,477.65万元,主要为本期一期股权激励解锁;(

)其他综合收益:减少

509.82万元,主要为外币报表折算汇率波动及按照权益法核算确认合营企业其他综合收益变动所致。

(四)利润表情况

单位:元

项目2025年2024年同比变动(金额)同比变动(%)
一、营业收入2,275,746,792.472,098,301,394.47177,445,398.008.46%
减:营业成本1,716,480,031.381,633,236,451.4983,243,579.895.10%
税金及附加22,224,749.1819,956,342.172,268,407.0111.37%
销售费用27,738,926.6519,063,947.018,674,979.6445.50%
管理费用145,534,843.17141,846,968.793,687,874.382.60%
研发费用61,335,397.2564,684,577.57-3,349,180.32-5.18%
财务费用3,387,051.194,080,749.77-693,698.58-17.00%
加:其他收益9,265,357.2017,251,645.31-7,986,288.11-46.29%
投资收益(损失以“-”号填列)-27,268,371.63-3,034,327.69-24,234,043.94-798.66%
公允价值变动收益(损失以“-”号填列)9,387,025.858,313,075.231,073,950.6212.92%
信用减值损失(损失以“-”号填列)11,185,149.74-9,498,993.8520,684,143.59217.75%
资产减值损失(损失以“-”号填列)-71,771,585.23-36,652,974.49-35,118,610.74-95.81%
资产处置收益(损失以“-”号填列)88,306.074,507,586.52-4,419,280.45-98.04%
二、营业利润229,931,675.65196,318,368.7033,613,306.9517.12%
加:营业外收入6,461,617.691,657,053.724,804,563.97289.95%
减:营业外支出2,903,296.833,419,594.93-516,298.10-15.10%
三、利润总额233,489,996.51194,555,827.4938,934,169.0220.01%
减:所得税费用50,352,553.3534,253,954.0916,098,599.2647.00%
四、净利润183,137,443.16160,301,873.4022,835,569.7614.25%
归属于母公司股东的净利润184,177,272.39163,488,162.5520,689,109.8412.65%
少数股东损益-1,039,829.23-3,186,289.152,146,459.9267.37%

报告期内:

(1)销售费用:增加867.50万元,主要为随新业务拓展及收入规模增长而增加;

(2)其他收益:减少798.63万元,主要为先进制造业增值税进项税加计抵减减少;

(3)投资收益:减少2,423.40万元,主要为本期受合营企业战略性亏损的影响;

(4)信用减值损失:减少2,068.41万元,主要为新能源补贴款回收超预期及应收款回笼较好;

(5)资产减值损失:增加3,511.86万元,主要为计提商誉减值和存货计提跌价;

(6)资产处置收益:减少441.93万元,主要为上期处置土地承包经营权;

(7)营业外收入:增加480.46万元,主要为客户呆滞补偿款和保险赔款增加;

(8)所得税费用:增加1,609.86万元,主要为本期利润增加所得税同步增长。

(五)现金流量情况

单位:元

项目2025年2024年同比变动(金额)同比变动(%)
经营活动现金流入小计1,329,389,591.461,248,427,768.0980,961,823.376.49%
经营活动现金流出小计969,767,198.581,032,675,815.46-62,908,616.88-6.09%
经营活动产生的现金流量净额359,622,392.88215,751,952.63143,870,440.2566.68%
投资活动现金流入小计1,823,616,878.131,249,734,543.37573,882,334.7645.92%
投资活动现金流出小计2,011,477,651.151,333,304,157.92678,173,493.2350.86%
投资活动产生的现金流量净额-187,860,773.02-83,569,614.55-104,291,158.47-124.80%
筹资活动现金流入小计0.0061,941,250.00-61,941,250.00-100.00%
筹资活动现金流出小计148,966,888.27167,056,732.80-18,089,844.53-10.83%
筹资活动产生的现金流量净额-148,966,888.27-105,115,482.80-43,851,405.47-41.72%
汇率变动对现金及现金等价物的影响53,713.65-46,997.85100,711.50214.29%
现金及现金等价物净增加额22,848,445.2427,019,857.43-4,171,412.19-15.44%

报告期内:

(1)经营活动产生的现金流量净额:增加14,387.04万元,主要为新能源补贴款超预期和销售增长回款增加;

(2)投资活动现金流入小计:增加57,388.23万元,主要为理财到期收到现金增加;

(3)投资活动现金流出小计:增加67,817.35万元,主要为购买理财支付现金增加;

(4)投资活动产生的现金流量净额:减少10,429.12万元,主要为自有资金购买理财增加;

(5)筹资活动现金流入小计:减少6,194.13万元,主要为上期收到股权激励对象的股权购买款;

(6)筹资活动产生的现金流量净额:减少4,385.14万元,主要为上期收到股权激励对象的股权购买款;

(7)汇率变动对现金及现金等价物的影响:增加10.07万元,主要为汇率变动影响。

旷达科技集团股份有限公司董事会

2026年3月26日


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