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首页 公告 神雾节能:2024年年度财务报告

神雾节能:2024年年度财务报告

公告日期:2025-04-29


                  神雾节能股份有限公司

      2024 年度财务决算及 2025 年度财务预算报告

                (除特别注明外,本议案金额单位均为人民币元)

  一、2024 年度财务报表的审计情况

  公司 2024 年 12 月 31 日母公司及合并的资产负债表、2024 年度母公司及合

并的利润表、2024 年度母公司及合并的现金流量表、2024 年度母公司及合并的
所有者权益变动表及相关报表附注已经由中审众环会计师事务所(特殊普通合伙)
审计。

  二、主要会计数据和财务指标

 指标                              2024 年度          2023 年度        较上年增长

 资产负债率                              40.35%            60.01%        -19.66%

 流动比率                                150.82%            92.43%        58.39%

 速动比率                                116.51%            80.68%        35.83%

 应收账款周转率                            0.90                1.17        -23.08%

 归属于上市公司的每股净资产                0.22                0.13        69.23%

 扣除非经常性损益后归属于公司      -28,003,352.49      -26,400,760.24        -6.07%
 普通股股东的净利润

 净资产收益率                            -28.95%            -22.81%        -6.14%

 基本每股净收益                          -0.0347            -0.0267        -29.95%

 每股经营活动产生的现金净流量            -0.0678              0.0148      -558.111%

    三、资产负债情况

            项目                2024 年度        2023 年度      较上年增长

 货币资金                        7,637,416.78      18,467,052.30      -58.64%

 应收票据                        1,627,500.00        2,252,179.00      -27.74%

 应收账款                      148,744,552.00      125,472,400.95        18.55%

 应收款项融资                    2,366,578.50          80,000.00      2858.22%

 预付款项                      35,407,260.07        9,265,925.22      282.12%

 其他应收款                      6,082,397.03        5,602,167.94        8.57%

 存货                            2,889,858.08        2,821,632.33        2.42%

 其他流动资产                  10,717,401.20      10,029,487.61        6.86%

 固定资产                        1,453,389.04        214,936.93      576.19%

 无形资产                        2,080,216.67        2,461,463.04      -15.49%


 商誉                          128,006,213.66      128,006,213.66        0.00%

 递延所得税资产                26,684,197.04      18,206,674.41        46.56%

 流动负债合计                  142,866,616.50      188,231,206.72      -24.10%

 非流动负债合计                  7,965,473.49        5,513,675.70        44.47%

 负债合计                      150,832,089.99      193,744,882.42      -22.15%

 股本                          95,615,933.00      91,190,954.00        4.85%

 资本公积                      591,573,493.48      513,384,680.31        15.23%

 盈余公积                      40,109,318.76      40,109,318.76        0.00%

 未分配利润                  -585,813,201.61    -563,689,636.32        -3.92%

 归属于母公司所有者权益合计    141,485,543.63      80,995,316.75        74.68%

 少数股东权益                  81,446,631.81      48,139,934.22        69.19%

 所有者权益合计                222,932,175.44      129,135,250.97        72.63%

    四、                        经营成果

            项目                2024 年度        2023 年度      较上年增长

 营业收入                      123,340,962.57      157,126,100.30      -21.50%

 营业成本                      98,602,560.97      125,490,197.09      -21.43%

 税金及附加                        472,205.99        610,712.43      -22.68%

 销售费用                        2,399,492.58        2,732,686.78      -12.19%

 管理费用                      34,047,845.59      43,816,343.95      -22.29%

 研发费用                        5,021,433.72        7,036,644.34      -28.64%

 财务费用                          534,809.42        137,864.14      287.92%

 投资收益                              0.00        9,345,026.16      -100.00%

 净利润                        -28,158,355.14      -15,185,005.84      -85.44%

 归属于母公司所有者的净利润    -22,123,565.29      -17,039,286.24      -29.84%

  1、报告期内,公司实现营业总收入 123,340,962.57 元,较上年同期下降21.50%;实现净利润总额-28,158,355.14 元,较上年同期下降 85.44%;

  2、销售费用较上年减少 12.19%,减少原因主要系公司本期日常经营性支出的减少;

  3、管理费用较上年减少 22.29%,减少原因主要系公司本期计提股权激励费用减少;

  4、财务费用较上年大幅增加,增加比率为 287.92%,增加原因主要系子公司借款利息支出的增加;

  5、研发费用较上年减少,减少比率为 28.64%,减少原因主要系本期子公司研发投入的减少;

  6、投资收益较上年大幅减少,报告期内无投资收益,上年同期为债务重组
收益;

  7、净利润较上年大幅减少,减少比率为 85.44%,主要为本年单项计提应收
账款坏账损失导致亏损增加。

  五、现金流量情况

    项目                            2024 年度        2023 年度      较上年增长

 经营活动现金流入小计                  94,310,511.64    166,244,980.29      -43.27%

 经营活动现金流出小计                137,545,573.75    156,805,325.30      -12.28%

 经营活动产生的现金流量净额          -43,235,062.11      9,439,654.99      -558.02%

 投资活动现金流入小计                    95,051.01                -            /

 投资活动现金流出小计                    223,241.15        21,512.32      937.74%

 投资活动产生的现金流量净额              -128,190.14        -21,512.32      -495.89%

 筹资活动现金流入小计                  32,682,170.83      2,800,000.00      1067.22%

 筹资活动现金流出小计                  2,534,650.15      3,455,701.23      -26.65%

 筹资活动产生的现金流量净额            30,147,520.68        -655,701.23      4697.75%

 现金及现金等价物净增加额            -13,215,731.57      8,762,441.44      -250.82%

  1、经营活动产生的现金流量净额减少,主要系子公司本期销售回款的减
少。

  2、投资活动产生的现金流量净额减少,主要系子公司本期购买无形资产所
致。

  3、筹资活动产生的现金流量净额增加,主要系本期银行借款和股票期权激
励计划行权所致。

  4、现金及现金等价物净增加额减少,主要系经营活动现金流量净额的减少。

  六、利润分配情况

  经中审众环会计师事务所(特殊普通合伙)审计,公司 2024