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首页 公告 黑猫股份:2024年度财务决算报告

黑猫股份:2024年度财务决算报告

公告日期:2025-04-25


              2024年度财务决算报告

      一、财务报表审计意见

      公司 2024 年度财务报告已经大信会计师事务所(特殊普通合伙)审核,并
  出具了大信审字[2025]第 6-00037 号标准无保留意见的审计报告。认为:后附的
  财务报表在所有重大方面按照企业会计准则的规定编制,公允反映了贵公司
  2024 年 12 月 31 日的合并及母公司财务状况以及 2024 年度的合并及母公司经营
  成果和现金流量。

      二、报告期内主要会计数据

      公司是否需追溯调整或重述以前年度会计数据

      ?是 ?否

                                                                                      单位:元

                                2024 年末        2023 年末    本年末比上年末增减    2022 年末

总资产                        8,308,265,711.86  7,940,740,028.55              4.63%  8,412,195,270.07

归属于上市公司股东的净资产    2,975,537,541.60  3,019,524,292.34              -1.46%  3,279,994,068.04

                                2024 年          2023 年        本年比上年增减        2022 年

营业收入                    10,131,697,631.62  9,451,120,155.17              7.20%  9,893,099,881.22

归属于上市公司股东的净利润      25,134,712.16  -242,942,816.36            110.35%      8,975,104.59

归属于上市公司股东的扣除非      -29,289,103.23  -264,212,564.08              88.91%      -4,648,820.74
经常性损益的净利润

经营活动产生的现金流量净额    -121,839,315.72    495,847,635.55            -124.57%    -87,526,010.27

基本每股收益(元/股)                  0.0342          -0.3308            110.34%          0.0122

稀释每股收益(元/股)                  0.0341          -0.3310            110.30%          0.0120

加权平均净资产收益率                  0.83%          -7.70%              8.53%            0.28%

      三、报告期内公司财务状况、经营成果与现金流量

      (一)资产负债状况分析

                                                                                      单位:元

 项目                                期末余额            期初余额      比重增减    重大变动说明

 货币资金                              461,660,741.87      442,335,298.37      -0.01%

 应收账款                            1,837,814,415.39    1,825,154,731.70      -0.86%

 合同资产                                117,810.90        151,471.15      0.00%

 存货                                  893,707,761.54      904,391,987.17      -0.63%


 长期股权投资                          117,176,999.35      132,292,000.90      -0.26%

 固定资产                            2,940,582,185.87    2,942,975,335.66      -1.67%

 在建工程                              417,577,218.39      282,225,547.40      1.48%

 使用权资产                            14,698,740.69      18,371,827.26      -0.05%

 短期借款                            1,158,775,630.45      943,112,766.27      2.07%

 合同负债                              109,532,813.60      54,797,428.65      0.63%

 长期借款                            1,170,995,065.28      888,801,044.48      2.90%

 租赁负债                              13,564,800.85      18,213,266.88      -0.07%

 递延收益                              73,093,344.34      80,174,381.46      -8.83%

 递延所得税负债                          2,467,620.86        3,109,973.34      -20.65%

 负债合计                            5,195,875,424.40    4,770,518,344.46      8.92%

 股本                                  735,345,196.00      741,412,396.00      -0.82%

 资本公积                            1,448,437,922.61    1,456,462,717.74      -0.55%

 盈余公积                              204,035,508.52      192,199,866.55      6.16%

 未分配利润                            652,358,499.59      639,059,429.40      2.08%

 归属于母公司股东权益合计            2,975,537,541.60    3,019,524,292.34      -1.46%

 少数股东权益                          136,852,745.86      150,697,391.75      -9.19%

 股东权益合计                        3,112,390,287.46    3,170,221,684.09      -1.82%

 负债和股东权益合计                  8,308,265,711.86    7,940,740,028.55      4.63%

      (二)现金流量状况分析

                                                                                        单位:元

        项目                2024 年          2023 年      同比增减        重大变动原因说明

经营活动现金流入小计      5,221,357,717.63  5,160,659,068.05      1.18%

经营活动现金流出小计      5,343,197,033.35  4,664,811,432.50    14.54%

经营活动产生的现金流量      -121,839,315.72    495,847,635.55  -124.57%  主要系本期存货以及经营性应
净额                                                                    收应付较同期变化所致

投资活动现金流入小计            920,592.75      3,562,549.19    -74.16%  主要系本期取得处置固定资产
                                                                        收回的现金较同期减少

投资活动现金流出小计        441,318,317.56    521,909,551.79    -15.44%

投资活动产生的现金流量      -440,397,724.81  -518,347,002.60    15.04%

净额

筹资活动现金流入小计      3,229,805,850.00  3,856,266,000.00    -16.25%

筹资活动现金流出小计      2,644,430,607.48  4,000,571,312.54    -33.90%  主要系本期偿还银行借款较同
                                                                        期减少所致

筹资活动产生的现金流量      585,375,242.52  -144,305,312.54    505.65%  主要系本期偿还银行借款较同
净额                                                                    期减少所致

现金及现金等价物净增加                                                  主要系经营活动、筹资活动、投
额                            41,111,780.62  -156,987,332.88    126.19%  资活动产生现金流量净额综合
                                                                        变化所致


    (三)经营成果分析

                                                                                      单位:元

                              2024 年          2