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首页 公告 旷达科技:2025年度财务决算报告

旷达科技:2025年度财务决算报告

公告日期:2026-03-28


                旷达科技集团股份有限公司

                  2025 年度财务决算报告

  一、2025 年度公司财务报表的审计情况

  旷达科技集团股份有限公司(以下简称“公司”或“旷达科技”)2025 年财务报表已经致同会计师事务所(特殊普通合伙)审计,出具了标准无保留意见的审计报告。会计师的审计意见为:旷达科技财务报表在所有重大方面按照企业会计准则的规定编制,
公允反映了旷达科技 2025 年 12 月 31 日的合并及公司财务状况以及 2025 年度的合并及
公司经营成果和现金流量。

  二、主要财务数据和指标

                                                                  单位:元

                          2025 年          2024 年      本年比上年      2023 年

                                                            增减

  营业收入(元)      2,275,746,792.47  2,098,301,394.47        8.46%  1,803,462,903.68

  归属于上市公司股东    184,177,272.39    163,488,162.55      12.65%    191,204,470.33
  的净利润(元)

  归属于上市公司股东

  的扣除非经常性损益    170,760,019.25    134,728,010.86      26.74%    162,185,789.33
  的净利润(元)

  经营活动产生的现金    359,622,392.88    215,751,952.63      66.68%    216,731,117.64
  流量净额(元)

  基本每股收益(元/              0.13              0.11      18.18%            0.13
  股)

  稀释每股收益(元/              0.13              0.11      18.18%            0.13
  股)

  加权平均净资产收益          4.98%            4.50%        0.48%          5.37%
  率

                        2025 年末        2024 年末      本年末比上      2023 年末

                                                          年末增减

  总资产(元)        4,665,059,597.16  4,558,717,928.94        2.33%  4,421,493,241.12

  归属于上市公司股东  3,777,160,078.87  3,672,353,193.39        2.85%  3,639,755,613.71
  的净资产(元)


      三、财务状况、经营成果和现金流量情况分析

      (一)主要资产变动情况

                                                                      单位:元

                      2025 年末                  2024 年末            同比变动      同比

    项目            金额      占总资        金额      占总资产    (金额)    变动(%)
                                产比例                    比例

流动资产:

货币资金        335,237,984.53    7.19%  312,389,539.29    6.85%    22,848,445.24      7.31%

交易性金融资    782,755,335.63  16.78%  583,170,285.09    12.79%  199,585,050.54      34.22%


应收票据        37,793,800.94    0.81%    49,350,480.13    1.08%  -11,556,679.19    -23.42%

应收账款        824,289,754.92  17.67%  1,003,425,913.46    22.01%  -179,136,158.54    -17.85%

应收款项融资    303,622,092.72    6.51%  195,277,811.41    4.28%  108,344,281.31      55.48%

预付款项          9,369,000.63    0.20%    8,347,839.80    0.18%    1,021,160.83      12.23%

其他应收款        2,334,504.01    0.05%    30,976,968.66    0.68%  -28,642,464.65    -92.46%

存货            440,403,902.72    9.44%  378,551,028.04    8.30%    61,852,874.68      16.34%

持有待售资产        202,424.77    0.00%                                202,424.77    100.00%

其他流动资产    89,834,439.01    1.93%    78,142,339.53    1.71%    11,692,099.48      14.96%

流动资产合计  2,825,843,239.88  60.57%  2,639,632,205.41  57.90%  186,211,034.47      7.05%

非流动资产:

长期股权投资    501,488,780.33  10.75%  530,893,689.72    11.65%  -29,404,909.39      -5.54%

投资性房地产    23,911,078.02    0.51%    28,511,710.63    0.63%    -4,600,632.61    -16.14%

固定资产      1,037,715,167.09  22.24%  1,082,266,341.09    23.74%  -44,551,174.00      -4.12%

在建工程        28,711,734.31    0.62%    20,364,460.88    0.45%    8,347,273.43      40.99%

使用权资产      78,110,624.35    1.67%    98,712,499.95    2.17%  -20,601,875.60    -20.87%

无形资产        86,712,574.15    1.86%    70,154,702.21    1.54%    16,557,871.94      23.60%

商誉                    0.00    0.00%    11,782,190.40    0.26%  -11,782,190.40    -100.00%

长期待摊费用    34,378,549.93    0.74%    27,988,994.79    0.61%    6,389,555.14      22.83%

递延所得税资    43,832,559.10    0.94%    44,747,041.95    0.98%    -914,482.85      -2.04%


其他非流动资      4,355,290.00    0.09%    3,664,091.91    0.08%      691,198.09      18.86%


非流动资产合  1,839,216,357.28  39.43%  1,919,085,723.53  42.10%  -79,869,366.25      -4.16%


资产总计      4,665,059,597.16  100.00%  4,558,717,928.94  100.00%  106,341,668.22      2.33%

      报告期内:

      (1)交易性金融资产:增加19,958.51万元,主要为业务回款向好,自有资金增加,
  增加购买理财业务;

      (2)应收款项融资:增加10,834.43万元,主要为销售增长,货款回收增加;


    (3)其他应收款:减少2,864.25万元,主要为收回出售承包权转让款;

    (4)持有待售资产:增加20.24万元,主要为一项房地产待拆迁,进行资产重分类;
    (5)在建工程:增加834.73万元,主要为基建、设备投入增加;

    (6)商誉:减少1,178.22万元,主要为对商誉计提减值准备。

    (二)负债变动情况

                                                                      单位:元

                        2025 年末                2024 年末          同比变动    同比变动
    项目            金额      占总负债      金额      占总负    (金额)      (%)
                                  比例                    债比例

流动负债:

应付账款        619,325,878.16    69.77%  591,789,355.77  66.87%    27,536,522.39    4.65%

预收款项          5,595,714.18    0.63%      439,482.56    0.05%    5,156,231.62  1,173.25%

合同负债          2,539,219.15    0.29%    2,249,447.70    0.25%      289,771.45    12.88%

应付职工薪酬      86,483,285.61    9.74%    72,998,038.27    8.25%    13,485,247.34    18.47%

应交税费          19,883,403.26    2.24%    23,787,098.04    2.69%    -3,903,694.78    -16.41%

其他应付款        75,835,089.73    8.54%    92,502,941.17  10.45%  -16,667,851.44    -18.02%

一年内到期的非    25,716,166.59    2.90%    23,572,419.16    2.66%    2,