领益智造:2025年度财务决算报告

发布时间:2026-03-28 公告类型:年度财务报告 证券代码:002600

            广东领益智造股份有限公司

              2025 年度财务决算报告

  广东领益智造股份有限公司(以下简称“本公司”、“公司”)2025 年度财务报表,经容诚会计师事务所(特殊普通合伙)审计,并出具了无保留意见的审计报告。现将本公司有关的财务决算情况汇报如下:

  一、主要财务数据和指标

                                                                              单位:人民币元

                                                          2024 年                本年比上年增减
                              2025 年          调整前          调整后          调整后

营业收入(元)            51,428,944,353.94  44,211,224,427.93  44,259,532,627.20          16.20%

归属于上市公司股东的净利    2,287,723,584.28  1,753,492,060.19  1,755,226,308.27          30.34%
润(元)
扣除股权激励摊销费用归属

于上市公司股东的净利润    2,604,631,763.55  1,854,687,438.38  1,856,421,686.46          40.30%
(元)

归属于上市公司股东的扣除    1,746,588,091.08  1,626,064,857.29  1,626,064,857.29            7.41%
非经常性损益的净利润(元)
扣除股权激励摊销费用归属

于上市公司股东的扣除非经    2,063,496,270.35  1,727,260,235.48  1,727,260,235.48          19.47%
常性损益的净利润(元)

经营活动产生的现金流量净    4,432,801,652.65  4,021,271,442.69  4,015,061,392.51          10.40%
额(元)

基本每股收益(元/股)                  0.33              0.25              0.25          32.00%

稀释每股收益(元/股)                  0.32              0.25              0.25          28.00%

加权平均净资产收益率                10.77%            9.24%            9.26%  增长 1.51 个百分
                                                                                              点

                                                        2024 年末              本年末比上年末
                              2025 年末                                              增减

                                                  调整前          调整后          调整后

总资产(元)              57,900,451,001.32  45,161,192,304.34  45,193,484,399.15          28.12%

归属于上市公司股东的净资  24,040,141,759.83  19,807,670,030.84  19,786,334,939.35          21.50%
产(元)

  2025年度公司实现营业收入5,142,894.44万元,较上年同期增加16.20%。

  2025年公司归属于上市公司股东的净利润为228,772.36万元,上年同期金额为175,522.63万元,本期较上期增加30.34%。

  二、2025年度决算主要财务数据说明

  (一)资产主要构成及变动情况


                              2025 年末                    2025 年初

      项 目                            占总资产                      占总资产  增减幅度
                          金额                          金额

                                          比重                          比重

货币资金                6,183,127,578.46    10.68%    6,573,409,034.73    14.55%      -5.94%

交易性金融资产          1,529,402,409.97    2.64%        6,960,000.00    0.02%  21,874.17%

应收票据                253,945,303.23    0.44%      104,487,696.64    0.23%    143.04%

应收账款              13,769,759,950.12    23.78%    11,444,644,057.03    25.32%      20.32%

应收款项融资            403,378,297.24    0.70%      248,517,176.68    0.55%      62.31%

预付款项                126,352,737.35    0.22%      120,097,728.90    0.27%      5.21%

其他应收款              426,267,877.26    0.74%      378,192,394.26    0.84%      12.71%

存货                    7,189,891,213.02    12.42%    5,859,233,677.83    12.96%      22.71%

合同资产                      80,151.50    0.00%                                    不适用

其他流动资产            1,400,040,306.39    2.42%      810,289,503.31    1.79%      72.78%

长期股权投资            796,950,944.27    1.38%      569,274,735.06    1.26%      39.99%

其他权益工具投资          85,325,212.45    0.15%        73,801,600.00    0.16%      15.61%

其他非流动金融资产        18,126,616.36    0.03%      204,026,122.08    0.45%      -91.12%

投资性房地产            275,232,142.89    0.48%      278,088,928.69    0.62%      -1.03%

固定资产              14,444,823,272.09    24.95%    11,055,728,398.20    24.46%      30.65%

在建工程                2,859,779,949.07    4.94%    2,078,085,791.33    4.60%      37.62%

使用权资产              1,386,698,847.81    2.39%      704,596,825.15    1.56%      96.81%

无形资产                1,261,886,025.89    2.18%      995,406,296.13    2.20%      26.77%

开发支出                                                  7,917,337.37    0.02%    -100.00%

商誉                    2,703,669,154.54    4.67%    1,173,941,171.61    2.60%    130.31%

长期待摊费用            529,039,112.62    0.91%      520,997,672.43    1.15%      1.54%

递延所得税资产          732,459,945.09    1.27%      676,936,003.47    1.50%      8.20%

其他非流动资产          1,524,213,953.70    2.63%    1,308,852,248.25    2.90%      16.45%

资产总计              57,900,451,001.32  100.00%    45,193,484,399.15  100.00%      28.12%

  截至2025年12月31日,本公司资产总额为5,790,045.10万元,较年初增长28.12%,其中主要资产项目变动情况如下:

  1、交易性金融资产较年初增加21,874.17%,主要系期末公司持有的理财产品增加;

  2、应收票据较年初增加143.04%,主要系应收银行承兑汇票增加;

  3、应收款项融资较年初增加62.31%,主要系应收银行承兑汇票增加;

  4、其他流动资产较年初增加72.78%,主要系待摊模具费增加;

  5、长期股权投资较年初增加39.99%,主要系对外投资增加;

  6、其他非流动金融资产较年初减少91.12%,主要系本期出售证券投资;

        7、固定资产较年初增加30.65%,主要系厂房及生产设备增加;

        8、在建工程较年初增加37.62%,主要系在建厂房及生产线设备增加;

        9、使用权资产较年初增加96.81%,主要系租赁厂房增加;

        10、开发支出较年初减少100.00%,主要系研发资本化支出减少;

        11、商誉较年初增加130.31%,主要系非同一控制下收购公司导致。

        (二)负债主要构成及变动情况

                                                                                    单位:人民币元

                                        2025 年末                    2025 年初
本报告信息基于证券交易所公开披露数据提取,由于数据抓取及清洗可能有延迟或偏差,爱金股不对内容准确性做任何保证,仅供参考。