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首页 公告 安宁股份:2024年度财务决算报告

安宁股份:2024年度财务决算报告

公告日期:2025-03-14


      四川安宁铁钛股份有限公司

        2024 年度财务决算报告

    一、2024 年度公司财务报表审计情况

    四川安宁铁钛股份有限公司(以下简称“公司”)2024年度财务报表已经信永中和会计师事务所(特殊普通合伙)
审计,并于 2025 年 3 月 12 日出具标准无保留意见的《审计
报告》。会计师的审计意见是:公司报表在所有重大方面按照企业会计准则的规定编制,公允反映了公司 2024 年 12 月31日的财务状况以及 2024 年度的经营成果和现金流量。

    二、2024 年度主要财务数据、指标

                                                                        单位:万元

                    项目                      2024 年度      2023 年度      变动幅度

  营业收入                                      185,702.77      185,599.70        0.06%

  归属于上市公司股东的净利润                    85,162.95        93,640.49        -9.05%

  归属于上市公司股东的扣除非经常性损益的净

  利润                                          85,194.83        93,327.34        -8.71%

  经营活动产生的现金流量净额                    118,382.57        89,242.75        32.65%

  基本每股收益(元/股)                          2.1282          2.3352          -8.86%

  稀释每股收益(元/股)                          2.1282          2.3352          -8.86%

  加权平均净资产收益率                            13.61%          16.27%          -2.66%

                                                2024 年末      2023 年末      变动幅度

  资产总额                                      949,419.85      713,357.08        33.09%

  归属于上市公司股东的净资产                    814,063.33      600,602.48        35.54%

    三、财务状况、经营成果和现金流量情况


  (一) 资产情况

                                                                          单位:元

        项目          2024 年 12 月 31 日    2023 年 12 月 31 日      增减金额      变动幅度

  货币资金                3,819,200,375.36        2,469,417,346.19  1,349,783,029.17    54.66%

  交易性金融资产            99,000,000.00                            99,000,000.00

  应收票据                  74,535,476.61          566,736,379.16    -492,200,902.55    -86.85%

  应收账款                  52,693,013.58          52,837,155.88      -144,142.30    -0.27%

  应收款项融资              255,944,689.03          63,829,382.50    192,115,306.53  300.98%

  预付款项                  16,610,185.17          17,710,805.78      -1,100,620.61    -6.21%

  其他应收款                  6,990,241.16            8,510,455.96      -1,520,214.80    -17.86%

  存货                      85,606,530.25          78,796,656.58      6,809,873.67    8.64%

  其他流动资产              289,983,560.12          41,963,335.46    248,020,224.66  591.04%

  流动资产合计            4,700,564,071.28        3,299,801,517.51  1,400,762,553.77    42.45%

  长期股权投资              268,951,724.66          285,064,487.68    -16,112,763.02    -5.65%

  其他权益工具投资          715,919,558.49          719,919,558.49      -4,000,000.00    -0.56%

  固定资产                1,442,116,279.31        1,342,386,298.55    99,729,980.76    7.43%

  在建工程                  840,895,796.13          390,324,068.55    450,571,727.58  115.44%

  使用权资产                    189,413.17            1,325,893.21      -1,136,480.04    -85.71%

  无形资产                  689,276,186.52          701,737,514.77    -12,461,328.25    -1.78%

  长期待摊费用              280,523,428.66          193,506,766.02    87,016,662.64    44.97%

  递延所得税资产            26,688,919.50          29,408,203.63      -2,719,284.13    -9.25%

  其他非流动资产            529,073,094.36          170,096,498.52    358,976,595.84  211.04%

  非流动资产合计          4,793,634,400.80        3,833,769,289.42    959,865,111.38    25.04%

      资产合计            9,494,198,472.08        7,133,570,806.93  2,360,627,665.15    33.09%

    1.货币资金上升 54.66%,原因为报告期向特定对象发行
股票,收到募集资金净额 16.84 亿元。

    2.交易性金融资产增加主要是报告期购买结构性存款未到期所致。

    3.其他流动资产上升 591.04%,原因为报告期购买 2 亿
元大额存单未到期所致。


    4.在建工程上升 115.44%,原因为报告期公司钛材项目
工程建设投入所致。

    5.其他非流动资产上升 211.04%,原因为报告期预付项
目建设设备款增加。

  (二) 负债情况

                                                                          单位:元

          项目            2024 年 12 月 31 日  2023 年 12 月 31 日    增减金额    变动幅度

  短期借款                    316,238,333.37        263,124,944.66    53,113,388.71    20.19%

  应付票据                    129,725,628.53        84,570,288.52    45,155,340.01    53.39%

  应付账款                    244,710,841.38        224,072,238.42    20,638,602.96    9.21%

  预收款项                                              25,600.00      -25,600.00  -100.00%

  合同负债                      50,158,921.73        28,015,293.71    22,143,628.02    79.04%

  应付职工薪酬                  47,243,169.66        40,404,294.12      6,838,875.54    16.93%

  应交税费                      67,925,307.21        87,301,682.44    -19,376,375.23  -22.19%

  其他应付款                    67,572,265.26        37,528,845.46    30,043,419.80    80.05%

  一年内到期的非流动负债          110,516.38          1,253,412.83    -1,142,896.45  -91.18%

  其他流动负债                  44,433,672.57        75,560,891.93    -31,127,219.36  -41.19%

  长期借款                    100,087,500.00                        100,087,500.00

  租赁负债                                              110,516.42      -110,516.42  -100.00%

  预计负债                      88,561,583.49        89,634,109.74    -1,072,526.25    -1.20%

  递延收益                    114,263,775.00        109,367,814.02      4,895,960.98    4.48%

  递延所得税负债