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300014 深市 亿纬锂能


首页 公告 亿纬锂能:2024年度财务决算报告

亿纬锂能:2024年度财务决算报告

公告日期:2025-04-18


        证券代码:300014              证券简称:亿纬锂能              公告编号:2025-047

                      惠州亿纬锂能股份有限公司

                        2024 年度财务决算报告

              公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记

          载、误导性陈述或重大遗漏。

            一、2024 年度公司财务报表的审计情况

            惠州亿纬锂能股份有限公司(以下简称“公司”)2024 年财务报表已经容诚会计师

        事务所(特殊普通合伙)审计,出具了容诚审字[2025]200Z0658 号标准无保留意见的

        审计报告。

            二、财务状况

            1、资产构成情况

                                                                                              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        变动原因

货币资金              9,064,859,345.79  10,506,208,550.05 -1,441,349,204.26 -13.72%

交易性金融资产        4,527,842,320.00  3,152,615,500.00  1,375,226,820.00 43.62% 购买结构性存款。

应收票据              2,982,874,308.55  1,767,866,336.62  1,215,007,971.93        收到客户以票据支付的货款增
                                                                      68.73% 加。

应收账款            13,098,572,528.22  12,427,533,747.50  671,038,780.72  5.40%

应收款项融资          1,050,582,538.65    968,382,943.94    82,199,594.71  8.49%

预付款项              519,687,092.77    233,047,244.39  286,639,848.38 123.00% 预付供应商货款。

其他应收款            138,798,794.63    141,822,497.45    -3,023,702.82  -2.13%

存货                  5,251,441,952.53  6,316,007,223.39 -1,064,565,270.86 -16.86%

合同资产              256,055,753.94    222,322,609.40    33,733,144.54 15.17%

其他流动资产          745,454,487.70  1,050,629,745.54  -305,175,257.84 -29.05%

债权投资              1,971,725,963.55  1,689,305,990.12  282,419,973.43 16.72%

其他债权投资            11,790,718.16    10,754,572.92    1,036,145.24  9.63%

长期股权投资        14,866,661,606.38  14,410,652,020.47  456,009,585.91  3.16%

其他权益工具投资      332,911,345.01    331,690,450.04    1,220,894.97  0.37%

                                                                            报告期内,子公司投资的厂房
固定资产            30,317,973,232.06  21,747,908,175.39  8,570,065,056.67        和设备达到可使用状态,转化
                                                                      39.41% 为可使用的固定资产,带来固
                                                                            定资产的增加。


                                                                              报告期内,子公司投资的厂房
 在建工程              9,307,781,435.63  14,053,075,716.65 -4,745,294,281.02        和设备达到可使用状态,转化
                                                                      -33.77% 为可使用的固定资产,带来在
                                                                              建工程的减少。

 使用权资产            106,926,834.49    95,008,845.38    11,917,989.11 12.54%

 无形资产              2,013,390,609.96  1,895,626,149.89  117,764,460.07  6.21%

 开发支出              117,573,423.67    101,028,427.24    16,544,996.43 16.38%

 商誉                    65,798,821.25    65,798,821.25            0.00  0.00%

 长期待摊费用          346,294,271.48    389,121,788.93    -42,827,517.45 -11.01%

 递延所得税资产        1,417,352,820.43  1,168,280,218.76  249,072,601.67 21.32%

 其他非流动资产        2,029,763,972.46  1,610,650,423.39  419,113,549.07 26.02%

            2、负债构成情况

                                                                                                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          变动原因

短期借款          1,236,046,136.47    1,120,974,369.36  115,071,767.11  10.27%

衍生金融负债        31,778,751.00          705,050.00    31,073,701.00 4,407.30% 现金流量套期公允价值变动。

                                                                              前期开具的银行承兑汇票到期
应付票据          3,408,868,197.02    6,198,257,151.45 -2,789,388,954.43  -45.00% 兑付,电子债权凭证结算比例增
                                                                              加。

应付账款          25,512,401,961.68    23,987,365,900.99 1,525,036,060.69    6.36%

合同负债            367,130,957.67      397,395,558.88  -30,264,601.21  -7.62%

应付职工薪酬        662,871,211.04      673,065,141.93  -10,193,930.89  -1.51%

应交税费            236,058,833.91      211,697,567.29    24,361,266.62  11.51%

其他应付款          35,565,837.56        23,892,729.71    11,673,107.85  48.86% 子公司收到客户交易保证金。

一年内到期的非    6,137,965,146.39    4,044,938,402.59 2,093,026,743.80        公司及子公司借入的部分款项
                                                                      51.74% 将于一年内到期。

流动负债

其他流动负债      2,209,512,097.36    1,233,691,437.37  975,820,659.99        报告期内,子公司背书支付了部
                                                                      79.10% 分汇票。

长期借款          17,568,758,921.53    14,000,794,012.99 3,567,964,908.54  25.48%

应付债券            499,659,624.24    2,456,852,595.77 -1,957,192,971.53  -79.66% 子公司提前赎回可交换债券。

租赁负债            66,058,149.79        67,524,196.06    -1,466,046.27  -2.17%

长期应付款          45,084,987.63      342,141,281.50  -297,056,293.87        部分融资租赁款将于一年内到
                                                                      -86.82% 期。

递延收益          1,023,384,950.89      983,593,003.57    39,791,947.32    4.05%

                                                                              子公司持续扩大