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首页 公告 电光科技:电光防爆科技股份有限公司2024年度财务决算报告

电光科技:电光防爆科技股份有限公司2024年度财务决算报告

公告日期:2025-04-24


            电光防爆科技股份有限公司

              2024 年度财务决算报告

  电光防爆科技股份有限公司(以下简称“公司”)2024年度财务报告已经天健会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告。现将公司2024 年度财务决算(合并口径)的相关情况汇报如下:

    一、主要会计数据和财务指标

                                                                  单位:元

        项目              2024 年            2023 年      本年比上年增
                                                                  减

 营业收入(元)          1,189,164,821.33  1,373,536,850.06        -13.42%

 归属于上市公司股东的      94,431,009.03    119,612,934.55        -21.05%
 净利润(元)

 归属于上市公司股东的      92,321,896.32    108,640,207.40        -15.02%
 扣除非经常性

 经营活动产生的现金流      190,880,301.88    118,782,770.30        60.70%
 量净额(元)

 基本每股收益(元/股)              0.26              0.33        -21.21%

 稀释每股收益(元/股)              0.26              0.33        -21.21%

 加权平均净资产收益率                5.98              7.87          -1.89

                            2024 年末          2023 年末      本年末比上年
                                                                末增减

 总资产(元)            2,804,515,351.38  2,527,764,982.14        10.95%

 归属于上市公司股东的    1,607,905,715.05  1,560,545,090.42          3.03%
 净资产(元)

  公司 2024 年全年实现营业收入 1,189,164,821.33 元,较上年下降 13.42%;
实现归属于上市公司股东的净利润 94,431,009.03 元,较上年下降 21.05%;归属于上市公司股东的扣除非经常性损益的净利润 92,321,896.32 元,较上年下降
15.02%;经营活动产生的现金流量净额同比增加 60.70%,主要系公司应收货款回款较同比增长所致。

  2024 年度公司基本每股收益为 0.26 元/股,较上年下降 21.21%;加权平均净
资产收益率为 5.98%,较上年下降 1.89 个百分点;主要系公司净利润同比下降所致。

    二、财务状况、经营成果和现金流量情况分析

  (一)财务状况分析


  1、资产情况分析

                                                            单位:元

          项目              期末余额          期初余额      变动幅度

 货币资金                  365,564,373.69    562,310,601.05    -34.99%

 交易性金融资产                                75,163,976.42

 应收票据                    21,138,681.13    18,067,789.32      17.00%

 应收账款                  722,821,709.77    683,580,854.22      5.74%

 应收款项融资                71,527,260.52    81,975,983.43    -12.75%

 预付款项                    18,299,498.73    19,634,426.02      -6.80%

 其他应收款                  15,905,833.32    16,085,945.28      -1.12%

 存货                      288,029,407.57    272,248,420.76      5.80%

 合同资产                    62,766,817.91    78,120,903.96    -19.65%

 一年内到期的非流动资产      2,865,717.75

 其他流动资产                67,769,782.24    24,839,626.97    172.83%

 流动资产合计            1,636,689,082.63  1,832,028,527.43    -10.66%

 长期股权投资

 其他非流动金融资产          7,780,980.99      7,780,980.99      0.00%

 投资性房地产                71,991,242.90    75,537,403.92      -4.69%

 固定资产                  546,184,674.84    204,143,990.54    167.55%

 在建工程                  293,509,334.90    212,932,181.83      37.84%

 使用权资产                    278,827.71

 无形资产                  183,303,047.62    153,954,446.28      19.06%

 商誉                        25,213,761.83      4,529,055.50

 长期待摊费用                6,469,060.25      8,282,327.48    -21.89%

 递延所得税资产              26,229,282.16    24,950,670.17      5.12%

 其他非流动资产              6,866,055.55      3,625,398.00      89.39%

 非流动资产合计          1,167,826,268.75    695,736,454.71      67.85%

 资产总计                2,804,515,351.38  2,527,764,982.14      10.95%

  货币资金:较期初减少 34.99%,主要系银行存款减少所致;

  交易性金融资产:期末余额较期初减少 75,163,976.42 元,主要系募集资金结构性理财减少所致;

  一年内到期的非流动资产:期末余额较期初 2,865,717.75 元,主要系一年内到期的应收质保金;

  其他流动资产:较期初增加 172.83%,主要系待抵扣增值税进项税额增加所致;

  固定资产:较期初增加 167.55%,主要系电光云公司购置 GPU 设备以及收购华
夏天信大连公司所致;


  在建工程:较期初增加 37.84%,主要系智慧矿山系统以及高端智能化装备项目在建所致;

  其他非流动资产:较期初增加 89.39%,主要系预付设备工程款增加所致。
    2、负债情况分析

                                                            单位:元

            项目                期末余额          期初余额        变动幅度

  短期借款                    232,971,473.23      208,694,474.47        11.63%

  应付票据                      99,748,750.87      128,083,808.57      -22.12%

  应付账款                    471,242,937.14      467,682,751.07        0.76%

  预收款项                      2,293,779.17        1,163,274.63        97.18%

  合同负债                      56,925,276.25        34,765,263.41        63.74%

  应付职工薪酬                  32,364,121.06        28,085,332.28        15.23%

  应交税费                      26,303,596.25        22,592,841.24        16.42%

  其他应付款                    9,034,851.49        12,045,645.68      -24.99%

  一年内到期的非流动负债

  其他流动负债                  11,217,536.75        5,069,484.27      121.28%

  流动负债合计                942,102,322.21      908,182,875.62        3.73%

  长期借款                    177,912,937.50

  租赁负债                        267,773.97

  预计负债                                          2,689,260.68

  递延收益                      7,108,315.92        7,739,511.12        -8.16%

  递延所得税负债                    1,658.06

  非流动负债合计              185,290,685.45        10,428,771.80      1676.73%

  负债合计                  1,127,393,007.66      918,611,647.42        22.73%

  预收款项:较期初增加 97.18%,主要系预收乐清泊雅酒店有限公司租金所致;

  合同负债:较期初增加 63.74%,主要系预收货款增加所致;

  其他流动负债:较期初增加 121.28%,主要系待转销项税额增加所致;

  应交税费:较期初增加 41.49%,主要系企业所得税增加所致;

  长期借款:较期初增加 177,912,937.50 元,主要系电光云公司项目融资所致;

  3、