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首页 公告 洋河股份:2024年度洋河股份财务决算报告

洋河股份:2024年度洋河股份财务决算报告

公告日期:2025-04-29


            江苏洋河酒厂股份有限公司

              2024 年度财务决算报告

  一、2024 年度主要经营指标完成情况及说明

              项目                  2024 年度    2023 年度  同比增减(%)

 1、营业收入(万元)                        2,887,629.70    3,312,627.76          -12.83

 2、销售费用(万元)                        551,623.85      538,695.37            2.40

 3、管理费用(万元)                        192,473.03      176,442.31            9.09

 4、财务费用(万元)                        -61,089.00      -75,452.56          19.04

 5、利润总额(万元)                        914,307.66    1,321,783.31          -30.83

 6、归属于上市公司股东的净利润(万元)      667,338.86    1,001,593.00          -33.37

 7、每股收益(元)                              4.4299          6.6487          -33.37

  1、本报告期公司销售费用为 551,623.85 万元,比上年同期上升 2.40%,
主要是本期加大市场活动投入促销费增长,以及销售人员的差旅费等销售费用增加所致。

  2、本报告期公司管理费用为 192,473.03 万元,比上年同期上升 9.09%,
主要是本报告期职工薪酬、机物料消耗等管理费用增加所致。

  3、本报告期公司财务费用为-61,089.00 万元,比上年同期增长 19.04%,主要是本报告其货币资金减少,存款利率下降,存款利息收入相应下降所致。

  4、本报告期公司利润总额 914,307.66 万元,比上年同期下降 30.83%,
主要是本报告期营业收入下降所致。

  5、本报告期公司归属于上市公司股东的净利润为 667,338.86 万元,比上年同期下降 33.37%,主要是本报告期利润总额下降,归属于上市公司股
 东的净利润相应下降。

    6、本报告期公司每股收益为 4.4299 元,比上年同期下降 33.37%,主
 要是本报告期归属于上市公司股东的净利润下降,每股收益相应下降。
    二、主要报表项目变动说明

      项目        期末余额(元)  期初余额(元)  变动幅(%)        原因说明

                  (或本期金额)  (或上期金额)

应收账款              8,994,904.73      3,528,778.28      154.90  系本期末应收部分客户货款
                                                                            增加所致

应收款项融资        1,090,851,688.67    261,576,568.30      317.03  系本期末持有的信用等级较
                                                                            高的银行承兑汇票增加所致

预付款项              23,310,180.68    50,971,870.03      -54.27  主要系本期末预付的广告费
                                                                            下降所致

其他应收款            17,051,847.78    57,782,263.17      -70.49  主要系本期末支付的保证金
                                                                            下降所致

                                                                            主要系本期双沟 12 万吨陶坛
在建工程            1,912,601,220.28  1,457,315,739.56      31.24  库、南京运营中心大楼、泗
                                                                            阳基地新建制曲厂房等项目
                                                                            工程投入增加所致

                                                                            主要系本期酒都公园酒史
长期待摊费用          116,472,530.48      8,052,339.84    1346.44  馆、酒韵馆、酒道馆展陈装
                                                                            饰等项目投入使用,以及租
                                                                            入固定资产装修费增加所致

其他非流动资产      180,606,719.81    266,028,733.50      -32.11  主要系本期末预付的土地
                                                                            款、工程及设备款减少所致

                                                                            主要系本期销售收入和利润
应交税费            564,746,863.05  1,009,471,862.46      -44.06  总额下降,致使期末应交增
                                                                            值税、所得税等减少所致

                                                                            主要系本期末预收货款减
其他流动负债        695,673,863.30  1,247,749,929.26      -44.25  少,待转增值税销项税额相
                                                                            应下降,以及期末未终止确
                                                                            认的应收票据背书减少所致

                                                                            主要系本期控股子公司哈尔
递延收益              45,530,066.67    87,520,166.67      -47.98  滨市宾州酿酒厂有限公司退
                                                                            回政府酿酒厂建设项目专项
                                                                            资金所致

                                                                            主要系本期末交易性金融资
递延所得税负债        110,393,056.95    234,386,134.01      -52.90  产公允价值变动形成的递延
                                                                            所得税负债减少所致

其他综合收益          -1,225,575.49      2,023,194.81      -160.58  系本期末因汇率变动形成的
                                                                            外币报表折算差额减少所致

研发费用            104,796,407.26    284,753,881.33      -63.20  本期研发项目减少,研发费
                                                                            用发生额相应下降所致

投资收益            146,415,168.80    255,520,777.61      -42.70  主要系本期理财产品投入下
                                                                            降,投资收益相应减少所致

公允价值变动收益    -396,164,080.43    -37,082,477.77      -968.33  系本期末交易性金融资产公
                                                                            允价值变动收益下降所致


资产减值损失          -11,203,156.73      -2,828,018.24      296.15  系本期末计提的跌价准备增
                                                                            加所致

资产处置收益          -2,729,328.84      -5,282,977.32      48.34  主要系本期固定资产处置收
                                                                            益中的损失