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首页 公告 史丹利:2024年度财务决算报告

史丹利:2024年度财务决算报告

公告日期:2025-04-18


                  史丹利农业集团股份有限公司

                      2024 年财务决算报告

          公司 2024 年度财务报告已经致同会计师事务所(特殊普通合伙)审核,并

      出具了标准无保留意见的审计报告。根据 2024 年度财务报告反映的相关数据,

      总结 2024 年度公司经营情况、财务情况及现金流量情况并形成报告如下:

      一、 公司经营情况

      (一)公司主要经营数据如下,单位万元:

序号  项  目      2024 年          2023 年          同比减额      同比增减率

 1  营业收入          1,026,252.86          999,134.95            27,117.91      2.71%

 2  营业成本            839,669.29          824,530.19            15,139.10      1.84%

 3  毛利额              186,583.57          174,604.76            11,978.81      6.86%

 4  销售费用            38,550.76          40,556.97            -2,006.21      -4.95%

 5  管理费用            38,965.28          36,474.30            2,490.98      6.83%

 6  研发费用            39,400.46          34,944.63            4,455.83      12.75%

 7  财务费用              -2,157.66            -9,798.35            7,640.69      77.98%

 8  其他收益            11,596.18            7,555.35            4,040.83      53.48%

 9  投资收益            19,970.62            8,722.35            11,248.27    128.96%

 10  营业利润            90,915.13          81,722.32            9,192.81      11.25%

 11  利润总额            91,504.03          82,351.07            9,152.97      11.11%

      归属于上

 12  市公司普            82,607.97          70,074.20            12,533.77      17.89%
      通股股东

      的净利润

      (二)较同期增减分析:

      1. 营业收入较同期增长 2.71%,主要系本期销量增长及平均售价同比略低综合影

      响所致;

      2. 毛利额较同期增长 6.86%,主要系本期销量增长带来的毛利额增加所致;

      3. 销售费用较同期下降 4.95%,主要系本期销售提成及广告费下降所致;

      4. 管理费用较同期增长 6.83%,主要系本期松滋公司在建转运营管理费用增加所

      致;

      5. 研发费用较同期上涨 12.75%,主要系本期研发投入较同期上涨所致;

      6. 财务费用较同期增长 77.98%,主要系本期银行类理财收益减少所致;

      7. 其他收益较同期增长 53.48%,主要系本期享受增值税进项加计抵减增加所致;;

      8. 投资收益较同期增长 128.96%,主要系本期对联营企业投资收益增加以及券商

      理财收益增加所致;

      9. 营业利润、利润总额、归属于上市公司普通股股东的净利润较同期分别上涨

      11.25% 、11.11%、17.89%,主要系销量增长及产品毛利额增加所致。

      二、公司资产财务状况


          (一)公司资产负债状况如下,单位万元:

序号            项  目          2024 年 12 月 31 日  2023 年 12 月 31 日  较期初变动额  较期初变动%

 1    货币资金                          120,945.58          259,014.89    -138,069.31      -53.31%

 2    交易性金融资产                    136,337.86          64,093.83      72,244.03      112.72%

 3    应收账款                            1,205.71            540.82        664.89      122.94%

 4    预付款项                          25,972.28          18,827.56        7,144.72      37.95%

 5    其他应收款                          1,074.74            1,697.55        -622.81      -36.69%

 6    存货                              202,018.57          155,303.18      46,715.39      30.08%

 7    一年内到期的非流动资产            18,664.99            4,082.77      14,582.22      357.17%

 8    其他流动资产                      49,080.50          126,935.04      -77,854.54      -61.33%

 9    流动资产合计                      555,985.90          630,495.64      -74,509.74      -11.82%

 10  固定资产                          415,892.91          214,832.69      201,060.22      93.59%

 11  在建工程                          64,551.40          162,703.93      -98,152.53      -60.33%

 12  无形资产                          86,402.35          81,313.32        5,089.03        6.26%

 13  其他非流动资产                    156,142.77          64,798.67      91,344.10      140.97%

 14  非流动资产合计                    845,834.98          647,752.56      198,082.42      30.58%

 15  资产总额                        1,401,820.88        1,278,248.20      123,572.68        9.67%

 16  短期借款                            8,005.69          15,013.67      -7,007.98      -46.68%

 17  应付票据                          180,002.21          218,335.10      -38,332.89      -17.56%

 18  应付账款                          88,048.59          61,521.83      26,526.76      43.12%

 19  应交税费                            9,229.46            5,728.12        3,501.34      61.13%

 20  其他应付款                        23,543.55          17,367.22        6,176.33      35.56%

 21  流动负债合计                      494,512.74          513,270.57      -18,757.83      -3.65%

 22  长期借款                          107,851.39          35,188.51      72,662.88      206.50%

 23  非流动负债合计                    126,434.31          53,712.34      72,721.97      135.39%

 24  负债总额                          620,947.05          566,982.91      53,964.14        9.52%

 25  股东权益总额                      780,873.83          711,265.30      69,608.53        9.79%

          (二)资产负债相比上年变动分析如下:

          1.货币资金较期初下降 53.31%,主要系期末用于证券理财和三年期大额存单的资

          金较期初增加所致;

          2.交易性金融资产较期初上涨 112.72%,主要系本期购买理财产品增加所致;

          3.应收账款较期初增长 122.94%,主要系客户应收款增加所致;

          4.预付款项较期初增长 37.95%,主要系本期预付大宗原材料款项增加所致;

          5.其他应收款较期初下降 36.69%,主要系本期其他应收款项减少所致;

          6.存货较期初增长 30.08%,主要系期末订单增加,备货增加所致;

          7.一年内到期的非流动资产较期初增长 357.17%,主要系一年内到期的大额存单

          增加所致;

          8.其他流动资产较期初下降 61.33%,主要系本期短期固定收益类理财减少所致;

          9.固定资产较期初增长 93.59%,主要系松滋新材料公司资产增加所致;

          10.在建工程较期初下降 60.33%,主要系松滋新材料公司在建工程转资所致;


      11.其他非流动资产较期初上涨 140.97%,主要系三年期大额存单较期初增加所

      致;

      12.资产总额较期初上涨 9.67%,主要系松