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首页 公告 安纳达:2024年年度财务报告

安纳达:2024年年度财务报告

公告日期:2025-03-22


                安徽安纳达钛业股份有限公司

              2024 年度财务决算报告(草案)

    一、2024 年度财务报表审计情况

  2024 年度财务报表经容诚会计师事务所(特殊普通合伙)审计,出具了标准无保留意见的审计报告(容诚审字[2025]230Z0446 号),容诚会计师事务所审计报告认为:公司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、主要经营情况和相关会计数据

  (一)主要经营情况

  报告期,公司主营业务钛白粉及磷酸铁业务依旧处于高度竞争市场环境之下。面对竞争激烈的外部环境,销售方面,公司优化直销、内销及外贸市场结构,提高单位产品获利能力;采购方面,公司拓宽物资采购渠道,细化物资采购考核,通过制定灵活有效的采购策略,着力降低物资采购成本,全年实现了钛白粉、磷酸铁产品的产销平衡。

  报告期,公司营业收入总额为 18.87 亿元,较上年同期 21.11 亿元下降
10.63%,归属于上市公司股东的净利润为 1,125.62 万元,较上年同期下降82.55%。本期净资产收益率 0.96%,同比下降了 4.57 个百分点,公司基本每股收益 0.05 元,同比下降 82.57%。

  报告期内,公司主营业务收入来自钛白粉和磷酸铁的销售,其中:2024 年
累计生产钛白粉 9.44 万吨(其中金红石 9.34 万吨,锐钛 0.10 万吨),完成年
度计划的 94.45%;生产磷酸铁 6.66 万吨,完成年度计划的 55.48%;销售钛白粉
9.45 万吨(其中金红石 9.34 万吨,锐钛 0.11 万吨),完成年度计划的 94.46%;
销售磷酸铁 6.55 万吨,完成年度计划的 54.60%;实现主营业务收入 18.87 亿元
(其中纳源公司 5.93 亿元),回笼资金 20.19 亿元(其中纳源公司 5.51 亿元)。
  (二)相关会计数据

                                                            单位:人民币万元

          项目              2024 年        2023 年        本年比上年增减

营业收入                    188,670.01    211,104.46          -10.63%

归属于上市公司股东的净利    1,125.62      6,450.44            -82.55%



归属于上市公司股东的扣除    1,789.18      6,483.32            -72.40%

非经常性损益的净利润

经营活动产生的现金流量净    -9,108.89      2,623.34            -447.23%



基本每股收益(元/股)        0.0523        0.3000            -82.57%

稀释每股收益(元/股)        0.0523        0.3000            -82.57%

加权平均净资产收益率          0.96%        5.53%              -4.57%

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

总资产                      209,698.82    201,111.04            4.27%

归属于上市公司股东的净资    117,353.00    118,218.76            -0.73%



    三、财务状况、经营成果和现金流量情况分析

  (一)资产负债和所有者权益情况              单位:人民币万元

            2024 年 12 月 31 日  2023 年 12 月 31 日  增减幅度(%) 变动原因说
  项目                                                                明

                                                                    主要系本期
                                                                    应收账款余
 货币资金        45,563.60            57,073.75          -20.17    额增加、销
                                                                    售商品收到
                                                                    的现金减少
                                                                    所致。

                                                                    主要系本期
                                                                    公司销售商
 应收票据        14,294.43            10,834.38          31.94      品收到的银
                                                                    行承兑汇票
                                                                    增加所致。

                                                                    主要系本期
                                                                    销售货款信
 应收账款        26,207.45            13,945.96          87.92      用期增加,
                                                                    货款回笼减
                                                                    少影响所致

                                                                    主要系本期
 应收款项融                                                        购买物资支
    资          6,226.18            9,439.12          -34.04    付的银行承
                                                                    兑汇票增加
                                                                    所致。


                                                                    主要系本期
 预付款项        3,219.35            1,162.60          176.91    末预付材料
                                                                    款增加影响
                                                                    所致

                                                                    主要系本期
  存货          23,787.00            16,613.46          43.18      原材料库存
                                                                    增加影响所
                                                                    致

                                                                    主要系本期
                                                                    增值税留底
 其他流动资        850.37            3,076.07          -72.36    税额退税影
    产                                                            响所致

 固定资产        81,763.96            83,128.07          -1.64

                                                                    主要系本期
 在建工程        1,534.86            507.32            202.54    期末在建工
                                                                    程项目增加
                                                                    影响所致。

                                                                    主要系本期
                                                                    期末子公司
                                                                    未弥补亏损
 递延所得税      1,883.55            1,395.00          35.02      确定的递延
  资产                                                            所得税资产