联系客服QQ:86259698

002270 深市 华明装备


首页 公告 华明装备:2025年财务决算报告

华明装备:2025年财务决算报告

公告日期:2026-02-27


                华明电力装备股份有限公司

                  2025 年度财务决算报告

  报告期内,华明电力装备股份有限公司(以下简称“公司”)严格按照《公司法》、《会计法》、《企业会计准则》等规定进行会计核算,公司编制的 2025 年度财务报表经信永中和会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告(编号:XYZH/2026JNAA1B0017)。现将公司 2025 年度的财务决算情况报告如下:

  一、2025 年度经营成果

  报告期内,利润表相关项目变动情况如下表所示(单位:元)

        项目                  2025 年度            2024 年度      同比变动幅度

营业收入                      2,426,794,600.12    2,322,202,947.07        4.50%

减:营业成本                  1,104,448,872.37    1,188,919,649.01        -7.10%

  税金及附加                  32,026,572.75        30,793,756.77        4.00%

  销售费用                    251,513,769.27      209,622,678.74        19.98%

  管理费用                    169,580,865.40      143,903,478.06        17.84%

  研发费用                    88,470,681.24        81,360,934.02        8.74%

  财务费用                    -26,087,029.44      -12,585,401.87      107.28%

加:其他收益                      6,430,634.43        11,047,615.26      -41.79%

  投资收益                    -12,148,158.04        17,175,640.57      -170.73%

  公允价值变动收益                6,518.56                    -            -

  信用减值损失                  -800,924.73        -4,548,652.68      -82.39%

  资产减值损失                -5,199,873.65        -6,246,667.66      -16.76%

  资产处置收益                39,134,781.27        -1,275,040.60    -3169.30%

营业利润                        834,263,846.37      696,340,747.23        19.81%

  营业外收入                  22,280,891.77        33,627,751.74      -33.74%

  营业外支出                    8,332,510.58        3,332,202.39      150.06%

利润总额                        848,212,227.56      726,636,296.58        16.73%

  所得税费用                  128,585,316.15      106,855,244.88        20.34%

净利润                          719,626,911.41      619,781,051.70        16.11%

归属于母公司股东的净利润      709,737,360.27      614,298,729.87        15.54%

  本报告期,公司实现归属于母公司股东的净利润 7.10 亿元,较上年同比增加 15.54%。主要原因如下:

  1、营业收入较上年同期增加 4.5%,主要是本期电力设备和数控设备业务收入增长以及电力工程业务减少所致。2025 年公司电力设备产品实现营业收入21.02 亿,同比增长 16.05%;数控设备产品实现营业收入 2.44 亿,同比增长
39.86%;电力工程业务收入 0.29 亿,同比减少 89.93%。

  2、销售费用较上年同期增加 19.98%,主要是本期营业收入增长及加大海外市场投入所致。

  3、管理费用较上年同期增加 17.84%,主要是本期新增股权激励费用及加大海外市场投入所致。

  4、研发费用较上年同期增加 8.74%,主要是本期新增股权激励费用所致。
  5、财务费用较上年同期减少 13,501,627.57 元,主要是本期子公司外币升值所致。

  6、其他收益较上年同期减少 41.79%,主要是上期确认政府补助收益较多所致。

  7、投资收益较上年同期减少 170.73%,主要是本期处置子公司及上期确认对金开启昱的投资收益所致。

  8、资产处置收益较上年同期增加 40,409,821.87 元,主要是本期政府收储房产土地所致。

  9、营业外收入较上年同期减少 33.74%,主要是本期政府补助及无需支付的应付款减少所致。

  10、营业外支出较上年同期增加 150.06%,主要是本期对外捐赠增加所致。
  二、2025 年末财务状况

  报告期末,资产负债表相关项目变动情况如下表所示(单位:元)

项目                              2025 年末          2025 年初      同比变动幅度

货币资金                      1,292,412,414.14  1,161,330,710.21        11.29%

交易性金融资产                    2,477,162.55                  -              -

应收票据                        141,863,675.57    223,185,863.52        -36.44%

应收账款                        536,918,296.38    506,692,591.84          5.97%

应收款项融资                    577,484,604.19    394,706,881.34        46.31%

预付款项                          44,970,492.33      35,793,284.75        25.64%

其他应收款                      148,138,409.67      62,539,955.84        136.87%

存货                            387,087,652.19    383,566,721.56          0.92%

合同资产                          43,255,338.13      58,360,861.37        -25.88%

持有待售资产                                  -    128,180,058.36      -100.00%

其他流动资产                      99,307,455.07      60,552,021.55        64.00%

流动资产合计                  3,273,915,500.22  3,014,908,950.34          8.59%

长期股权投资                      21,140,812.49      27,192,284.63        -22.25%

其他权益工具投资                  58,803,622.03      58,269,630.23          0.92%

投资性房地产                      3,560,420.30      3,779,936.30        -5.81%

固定资产                      1,016,394,280.61    861,135,151.41        18.03%

在建工程                        132,148,705.43      57,920,800.86        128.15%

使用权资产                      354,761,469.04      36,177,570.02        880.61%

无形资产                        154,017,608.91    153,913,066.16          0.07%

商誉                              99,418,923.61      99,418,923.61          0.00%

长期待摊费用                      21,880,440.56      29,569,545.08        -26.00%

递延所得税资产                    68,204,710.46      94,555,241.32        -27.87%

其他非流动资产                    4,196,190.53      20,853,131.08        -79.88%

非流动资产合计                1,934,527,183.97  1,442,785,280.70        34.08%

资产总计                      5,208,442,684.19  4,457,694,231.04        16.84%

短期借款                        220,034,333.35    120,008,166.67        83.35%

应付票据                        179,868,609.48    154,012,282.24        16.79%

应付账款                        221,465,363.88    268,375,711.02        -17.48%

合同负债                          67,675,745.31      54,413,522.64        24.37%

应付职工薪酬                      65,877,690.56      64,240,170.15          2.55%

应交税费                          69,776,909.47      73,277,600.55        -4.78%

其他应付款