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首页 公告 华映科技:公司2024年度财务决算报告

华映科技:公司2024年度财务决算报告

公告日期:2025-04-15


                  华映科技(集团)股份有限公司

                      2024 年度财务决算报告

  希格玛会计师事务所(特殊普通合伙)对华映科技(集团)股份有限公司(以下简称“公司”)2024年财务报告进行了审计,并出具标准无保留意见审计报告。现就公司2024年财务决算情况汇报如下:

  一、企业生产经营的基本情况

  本期合并财务报表范围包括本公司及3家子公司:华映科技(纳闽)有限公司、科立视材料科技有限公司(以下简称“科立视”)、福建华佳彩有限公司(以下简称“华佳彩”)。

  本年度公司生产经营情况如下:

  1、2024年度公司主要经营成果与上年度对比如下:

                                                              单位:人民币元

        项目              2024 年度          2023 年度      增减(+、-)

 营业收入                  1,738,973,014.92    1,455,444,762.62            19.48%

 营业成本                  2,187,889,167.24    2,250,634,678.57            -2.79%

 税金及附加                  30,869,969.49      30,432,638.29            1.44%

 销售费用                    15,476,562.13      16,068,163.06            -3.68%

 管理费用                    146,591,177.52      152,050,591.01            -3.59%

 研发费用                    150,848,938.96      183,107,331.10          -17.62%

 财务费用                    190,502,318.00      164,243,157.18            15.99%

 其他收益                    25,671,481.71        7,173,766.65          257.85%

 投资收益(损失以“-”      -45,232,043.92        2,860,323.28        -1681.36%
 填列)

 公允价值变动收益(损                    -          274,866.67          -100.00%
 失以“-”号填列)

 信用减值损失(损失以        -32,003,176.93      -26,243,298.53            21.95%
 “-”填列)

 资产减值损失(损失以        -95,179,080.21    -249,854,910.27          -61.91%
 “-”填列)

 资产处置收益(损失以          1,944,139.78      -1,382,480.09          240.63%
 “-”填列)

 营业利润                -1,128,003,797.99  -1,608,263,528.88            29.86%

 营业外收入                    4,713,201.58        2,543,985.81            85.27%

 营业外支出                    7,818,196.30        1,279,049.16          511.25%

 利润总额                -1,131,108,792.71  -1,606,998,592.23            29.61%

 所得税费用                              -


 净利润                  -1,131,108,792.71  -1,606,998,592.23            29.61%

 归属于母公司所有者    -1,129,749,187.54  -1,604,178,273.58            29.57%
 的净利润

 少数股东损益                -1,359,605.17      -2,820,318.65            51.79%

  2、与上年同期比较,经营指标变动幅度超过30%的原因说明:

  其他收益本期较上年同期增加 257.85%,主要系本期按加计抵减政策确认当期增值税进项加计 5%抵减税额所致。

  投资收益本期较上年同期减少 1,681.36%,主要系投资福建福兆半导体有限公司确认本期损失所致。

  公允价值变动收益本期较上年同期减少 100%,主要系上期持有结构性存款产生收益(本期无)。

  资产减值损失本期数较上年同期数减少 61.91%,主要系固定资产计提减值及存货计提跌价均较上年同期减少。

  资产处置收益本期较上年同期增加 240.63%,主要系本期出售闲置固定资产收益较上年同期增加。

  营业外收入本期较上年同期增加 85.27%,主要系本期无形资产报废利得增加所致。

  营业外支出本期较上年同期增加 511.25%,主要系涉诉款项确认损失所致。

  少数股东损益本期较上年同期增加 51.79%,主要系非全资子公司科立视本期较上年同期利润减亏所致。

  二、2024年度公司的财务状况

  截至 2024 年 12 月 31 日,公司资产总额是 5,893,323,664.85 元,负债
总额是 4,578,617,670.26 元,所有者权益是 1,314,705,994.59 元,其中归属于母公司所有者权益合计 1,297,043,051.17 元。主要项目与年初数对比变动如下:

  1、资产、负债、股东权益

                                                              单位:人民币元

      项 目            2024/12/31            2024/1/1        变动比例

流动资产:

 货币资金                    500,257,095.23    1,060,466,099.91        -52.83%

 应收账款                      80,946,640.91      133,279,168.61        -39.27%


 应收款项融资                  11,243,930.33        3,423,418.37        228.44%

 预付款项                      12,395,171.12        53,008,457.30        -76.62%

 其他应收款                    49,911,236.77        48,012,492.66          3.95%

 存货                        202,499,544.78      214,997,530.11        -5.81%

 其他流动资产                  17,892,228.24        13,249,268.04        35.04%

    流动资产合计            875,145,847.38    1,526,436,435.00        -42.67%

非流动资产:

 长期股权投资                118,407,090.77      159,761,302.60        -25.88%

 其他权益工具投资              43,370,182.08        47,791,273.60        -9.25%

 固定资产                  4,417,883,219.40    5,185,619,565.33        -14.81%

 在建工程                    118,381,183.06        87,138,837.16        35.85%

 使用权资产                    2,787,132.95        4,832,018.71        -42.32%

 无形资产                    296,332,445.23      283,981,411.37          4.35%

 开发支出                      3,685,113.94        21,190,699.52        -82.61%

 长期待摊费用                  17,225,449.04        25,707,363.19        -32.99%

 其他非流动资产                  106,001.00        9,389,373.07        -98.87%

    非流动资产合计          5,018,177,817.47    5,825,411,844.55        -13.86%

      资产总计            5,893,323,664.85    7,351,848,279.55        -19.84%

流动负债:

 短期借款                  1,228,283,500.11    1,866,400,195.41        -34.19%

 应付票据                    153,215,353.24        75,645,303.18        102.54%

 应付账款                    532,051,075.63      436,273,283.46        21.95%

 预收款项                          21,316.22                    -

 合同负债                      69,775,736.10        30,383,148.80        129.65%

 应付职工薪酬                  50,117,776.14        51,379,779.42        -2.46%

 应交税费                      15,893,051.34        8,150,823.12        94.99%

 其他应付款                  158,892,031.61      156,421,586.53          1.58%

 一年内到期的非流动负        996,974,181.24      982,762,877.71          1.45%


 其他流动负债                105,340,583.33        2,753,861.99      372