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首页 公告 三夫户外:2024年度财务决算报告

三夫户外:2024年度财务决算报告

公告日期:2025-04-26


              北京三夫户外用品股份有限公司

                  2024 年度财务决算报告

    2024 年度,公司实现营业收入 800,262,975.04 元,同比减少 5.45%;归属于上市
 公司股东的净利润为-21,494,108.54 元,同比减少 158.83%。

    一、 财务报表审计情况

    公司 2024 年度财务报表已经容诚会计师事务所(特殊普通合伙)审计,并出具了
 标准无保留意见审计报告。会计师的审计意见是:北京三夫户外用品股份有限公司财务 报表在所有重大方面按照企业会计准则的规定编制,公允反映了三夫户外公司 2024 年 12月31日的合并及母公司财务状况以及2024年度的合并及母公司经营成果和现金流量。
    二、 主要财务数据和指标

              项目                  2024 年度          2023 年度        变动幅度

                                (2024 年 12 月 31 日)(2023 年 12 月 31 日)

 营业收入(元)                      800,262,975.04    846,399,984.53      -5.45%

 归属于上市公司股东的净利润(元)      -21,494,108.54      36,533,966.95    -158.83%

 归属于上市公司股东的扣除非经常      -27,999,280.54      32,515,933.97    -186.11%

 性损益的净利润(元)

 经营活动产生的现金流量净额(元)      25,748,191.14      54,110,515.12      -52.42%

 基本每股收益(元/股)                        -0.14              0.23    -160.87%

 稀释每股收益(元/股)                        -0.14              0.23    -160.87%

 加权平均净资产收益率                        -3.17%              5.45%      -8.62%

 总资产(元)                      1,111,251,437.24  1,105,053,620.18        0.56%

 归属于上市公司股东的净资产(元)      667,275,354.91    688,769,463.45      -3.12%

    三、 2024 年度公司财务情况分析

(一)资产情况

                                                                              单位:元

      资    产          2024 年 12 月 31 日        2023 年 12 月 31 日        变动幅度

 货币资金                    75,254,826.73          115,324,020.61        -34.74%


 交易性金融资产                                        15,728,891.78      -100.00%

 应收账款                    32,801,732.30            34,471,144.46        -4.84%

 预付款项                    51,437,036.56            52,647,850.81        -2.30%

 其他应收款                  20,109,595.05            22,510,094.66        -10.66%

 存货                        479,131,797.21          397,316,465.31        20.59%

 其他流动资产                14,844,729.50            19,092,948.25        -22.25%

  流动资产合计            673,579,717.35          657,091,415.88          2.51%

 长期股权投资                51,375,406.96            5,437,039.44        844.92%

 投资性房地产                  7,366,840.96            7,660,587.04        -3.83%

 固定资产                    111,861,422.59          229,630,447.95        -51.29%

 在建工程                                                          -          0.00%

 使用权资产                  168,214,652.51            93,149,714.48        80.59%

 无形资产                    47,623,428.99            55,181,126.66        -13.70%

 商誉                            492,949.07            4,667,049.07        -89.44%

 长期待摊费用                25,350,347.93            34,681,250.05        -26.90%

 递延所得税资产              24,940,569.71            17,307,778.99        44.10%

 其他非流动资产                  446,101.17              247,210.62        80.45%

  非流动资产合计            437,671,719.89          447,962,204.30        -2.30%

    资产总计            1,111,251,437.24        1,105,053,620.18          0.56%

  2024 年末公司资产总额 1,111,251,437.24 元,较去年末增加 0.56%,其中流动资
产 673,579,717.35 元,较去年末增加 2.51%,非流动资产 437,671,719.89 元,较去年
末减少 2.3%。公司资产变动的主要原因是:

  1、2024 年末货币资金较 2023 年末减少 34.74%,主要是报告期储备货物及新开店
所致;

  2、2024 年末交易性金融资产较 2023 年末减少 100%,主要是报告期内理财资金赎
回所致;

  3、2024 年末长期股权投资较 2023 年末增加 844.92%,主要是克拉特慕森(北京)
户外用品有限公由全资子公司变为联营公司,相应长期股权投资由成本法转为权益法核算所致;

  4、2024 年末固定资产较 2023 年末减少 51.29%,主要是报告期上海悉乐计提较大
金额固定资产减值所致;

  5、2024 年末使用权资产较 2023 年末增加 80.59%,主要是本期新开立 X-BIONIC 上
 海南京西路店所致;

    6、2024 年末商誉较 2023 年末减少 89.44%,主要是鹰极体育商誉计提减值所致;
    7、2024 年末递延所得税资产较 2023 年末增加 44.1%,主要是存货跌价准备及租赁
 负债增加所致;

    8、2024 年末其他非流动资产较 2023 年末增加 80.45%,主要是预付工程设备款增
 加所致。
(二)负债情况

                                                                              单位:元

        负  债              2024 年 12 月 31 日      2023 年 12 月 31 日      变动幅度

短期借款                        163,445,429.44          179,248,487.21      -8.82%

应付票据及应付账款                50,840,604.39          22,631,004.35      124.65%

合同负债                          37,209,200.16          31,715,726.48      17.32%

应付职工薪酬                      14,840,899.24          19,645,672.26      -24.46%

应交税费                          4,677,735.63            9,699,432.05      -51.77%

其他应付款                        31,025,052.66          28,612,792.20        8.43%

一年内到期的非流动负债            42,428,019.55          34,422,069.70      23.26%

其他流动负债                      4,134,088.59            3,878,470.62        6.59%

      流动负债合计              348,601,029.66          329,853,654.87        5.68%

长期借款                          1,590,083.93            3,075,718.55      -48.30%

租赁负债                        138,659,708.13          64,433,106.17      115.20%

递延收益                            622,222.35              675,555.63      -7.89%

递延所得税负债                                                        -        0.00%

    非流动负债合计              140,872,014.41          68,184,380.35      106.60%

        负债合计                489,473,044.07          398,038,035.22      22.97%

    2024 年末,公司负债总额 489,473,044.07 元,较去年末增加 22.97%。其中:流动
 负债 348,601,029.66 元,较去