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首页 公告 鲁西化工:2024年度财务决算报告

鲁西化工:2024年度财务决算报告

公告日期:2025-04-26


          鲁西化工集团股份有限公司

            2024 年度财务决算报告

    报告期内,公司财务部门严格按照《会计法》《企业会计准则》《企业会计制度》的规定进行财务核算,公司所编制的年度财务报表及报表附注已经天职国际会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告。现将 2024 年度财务决算情况报告如下:

    一、2024 年主要会计数据和财务指标

        项目              2024 年          2023 年      本年比上年    2022 年末

                                                            增减

  营业收入(万元)    2,976,271.00    2,535,779.06    17.37%    3,035,669.86

 归属于上市公司股东的    202,871.17      81,871.02      147.79%      315,542.73

  净利润(万元)
 归属于上市公司股东的

 扣除非经常性损益的净    196,169.12      86,455.20      126.90%      305,142.04

    利润(万元)

 经营活动产生的现金流    393,891.82      386,474.28      1.92%      511,619.35

  量净额(万元)

 基本每股收益(元/股)      1.065          0.428        148.83%        1.641

 稀释每股收益(元/股)      1.065          0.428        148.83%        1.641

 加权平均净资产收益率      11.43%          4.78%        6.65%        17.83%

                          2024 年末        2023 年末    本年末比上    2022 年末

                                                          年末增减

  总资产(万元)      3,626,844.99    3,528,216.87      2.80%      3,440,798.33

 归属于上市公司股东的  1,868,115.05    1,689,600.21    10.57%    1,732,979.32
  净资产(万元)


    二、公司主营业务经营及财务状况

    公司主营业务包括化工新材料、基础化工、化肥产品及其他 业务,其中化工新材料产品主要包括聚碳酸酯、尼龙 6、己内酰胺、 多元醇等;基础化工产品主要包括甲烷氯化物和二甲基甲酰胺等; 化肥产品主要包括复混肥等;其他业务主要包括上网电、新能源 装备制造等。

    1、报告期内公司营业收入构成情况

                                                                            单位:万元

                          2024 年                        2023 年

                      金额        占营业收          金额          占营业收  同比增减
                                    入比重                          入比重

 营业收入合计    2,976,271.00      100%      2,535,779.06        100%      17.37%

                                        分行业

化工新材料行业    2,036,637.23    68.43%      1,605,818.21      63.33%    26.83%

 基础化工行业      579,512.38      19.47%      625,867.89        24.68%    -7.41%

  化肥行业        306,528.75      10.30%      260,107.58        10.26%    17.85%

  其他行业        53,592.64      1.80%        43,985.37        1.73%    21.84%

                                        分产品

化工新材料产品    2,036,637.23    68.43%      1,605,818.21      63.33%    26.83%

 基础化工产品      579,512.38      19.47%      625,867.89        24.68%    -7.41%

  化肥产品        306,528.75      10.30%      260,107.58        10.26%    17.85%

  其他产品        53,592.64      1.80%        43,985.37        1.73%    21.84%

                                        分地区

    国内        2,840,341.93    95.43%      2,408,797.72      94.99%    17.92%

    国外        135,929.07      4.57%        126,981.34        5.01%      7.05%

                                      分销售模式

  直接销售      2,976,271.00    100.00%      2,535,779.06      100.00%    17.37%

    2、报告期内主要经营数据如下

                                                                          单位:万元

                项目                      2024 年            2023 年        同比增减

              营业收入                  2,976,271.00        2,535,779.06      17.37%

              营业成本                  2,535,011.87        2,194,846.92      15.50%

              销售费用                    6,186.83            4,779.28        29.45%

              管理费用                  57,423.10          59,678.63        -3.78%

              财务费用                  15,945.73          25,100.89      -36.47%


              研发费用                  96,028.24          93,266.43        2.96%

    经营活动产生的现金流量净额          393,891.82          386,474.28        1.92%

    投资活动产生的现金流量净额        -241,404.48        -342,784.34      29.58%

    筹资活动产生的现金流量净额        -119,875.71        -33,551.34      -257.29%

 与上年度相比:

    (1)营业收入本期发生额较上年增加 17.37%,主要原因系受
 公司尼龙 6、辛醇、正丁醇、聚碳等产品产销量增加所致;

    (2)销售费用本期发生额较上年增加 29.45%,主要原因系公
 司强化销售队伍增加销售人员,薪酬及差旅费用增加所致;

    (3)财务费用本期发生额较上年减少 36.47%,主要原因系公
 司有息负债规模降低以及融资成本下降所致;

    (4)投资活动产生的现金净流出较上年减少 10.14 亿元,主
 要原因系购建固定资产及其他长期资产同比减少所致;

    (5)筹资活动产生的现金净流出较上年增加 8.63 亿元,主
 要原因系公司本年度有息负债减少所致。

    3、报告期内资产负债项目变动情况

                                                                        单位:万元

                        2024 年末                      2024 年初

  项目            金额        占总资产比例      金额      占总资产比例  比重增减

 货币资金      72,118.05        1.99%        39,380.52        1.12%      0.87%

 应收账款        4,551.34        0.13%        3,480.83        0.10%      0.03%

  存货        173,714.07        4.79%        159,662.53        4.53%      0.26%

投资性房地产      2,850.49        0.08%        3,106.21        0.09%      -0.01%

长期股权投资      4,668.57        0.13%        4,661.98        0.13%      0.00%

 固定资产      2,321,072.79      64.00%      2,002,021.41      56.74%      7.26%

 在建工程      475,988.82        13.12%      745,597.02      21.13%      -8.01%

 使用权资产        77.82          0.01%          149.66          0.01%      0.00%

 短期借款      477,045.89        13.15%      825,587.25      23.40%      -10.25%

 合同负债      58,171.47        1.60%        57,660.79        1.63%      -0.03%

 长期借款      392,058.00        10.81%      227,200.00        6.44%      4.37%

 租赁负债