联系客服QQ:86259698

300056 深市 中创环保


首页 公告 中创环保:2024年度财务决算报告

中创环保:2024年度财务决算报告

公告日期:2025-04-23


                厦门中创环保科技股份有限公司

              2024 年度财务决算报告

      现将厦门中创环保科技股份有限公司财务决算情况汇报如下:

      一、主要会计数据

                                                              单位:万元

                项目                  2024 年      2023 年      本年比上年增减

  营业收入                            46,600.53    51,513.02        -9.54%

  利润总额                            -12,841.79  -19,647.40        34.64%

  归属于上市公司股东的净利润          -10,911.56  -15,534.48        29.76%

  归属于上市公司股东的扣除非经常性    -14,340.75  -15,534.48        7.68%

  损益的净利润

  经营活动产生的现金流量净额          -10,197.18    -5,035.35        -102.51%

                项目                  2024 年末    2023 年末    本年比上年增减

  总资产                              79,242.33    110,392.72        -28.22%

  归属于上市公司股东的所有者权益      19,260.40    26,980.62        -28.61%

  股本                                38,549.04    38,549.04        0.00%

      二、主要财务指标

              项目                  2024 年    2023 年  本年比上年增减  2022 年

基本每股收益(元/股)                      -0.28      -0.42        33.33%      -0.22

稀释每股收益(元/股)                      -0.28      -0.42        33.33%      -0.22

扣除非经常性损益后的基本每股收益        -0.37        -0.4          7.50%      -0.25
(元/股)

加权平均净资产收益率                  -45.61%    -48.12%          5.22%    -18.18%

扣除非经常性损益后的加权平均净资      -59.94%    -46.68%        -28.41%    -21.28%
产收益率

每股经营活动产生的现金流量净额          -0.26      -0.13      -102.51%        0.11
(元/股)

              项目                  2024 年    2023 年  本年比上年增减  2022 年

归属于上市公司股东的每股净资产            0.50        0.70        -28.61%        1.04
(元/股)

      三、财务状况分析

      (一)资产状况分析

                                                            单位:万元

                              2024 年末                2023 年末            本年

          项目

                          金额        比例        金额        比例      比上年增减

      货币资金                4,417.85        5.58%        2,562.97          2.3%        72.37%

      应收票据                  53.71        0.07%          237.51          0.2%      -77.39%

      应收账款              23,105.94        29.16%      19,844.84        18.0%        16.43%

      应收款项融资            1,789.76        2.26%        1,153.28          1.0%        55.19%

      预付款项                  907.52        1.15%        1,451.06          1.3%      -37.46%

      其他应收款              2,115.70        2.67%        1,878.30          1.7%        12.64%

      存货                    6,978.96        8.81%      20,515.52        18.6%      -65.98%

      合同资产                1,760.60        2.22%        2,279.65          2.1%      -22.77%

      其他流动资产            1,127.53        1.42%        1,087.40          1.0%        3.69%

      长期股权投资                  -        0.00%        1,937.42          1.8%      -100.00%

      其他权益工具投资          462.10        0.58%        1,339.12          1.2%      -65.49%

      投资性房地产            1,202.20        1.52%        1,312.74          1.2%        -8.42%

      固定资产              25,268.83        31.89%      35,911.14        32.5%      -29.64%

    在建工程                  487.15        0.61%          472.55          0.4%        3.09%

    使用权资产                532.85        0.67%          379.78          0.3%        40.31%

    无形资产                2,500.20        3.16%        4,080.60          3.7%      -38.73%

    商誉                    5,585.87        7.05%      10,128.48          9.2%      -44.85%

    长期待摊费用              197.76        0.25%          245.17          0.2%      -19.34%

    递延所得税资产            732.86        0.92%        3,575.21          3.2%      -79.50%

    其他非流动资产            13.20        0.02%              -          0.0%

    资产总计              79,242.33      100.00%      110,392.72        100.0%      -28.22%

      报告期内,货币资金比上年末增加 72.37%,主要是本期现金支出减少所

  致;应收票据比上年末减少 77.39%,主要是本期收到商票减少所致;应收款项

  融资比上年末增加 55.19%,主要是收到银行承兑汇票增加所致;存货上年末减

  少 65.98%,主要是宝丰工程项目完工验收所致;长期股权投资减少 100%,主要

  是本期按权益法核算的参股公司亏损严重所致;其他权益工具投资比上年末减

  少 65.49%,使用权资产比上年末增加 40.31%,主要是本期经营租赁增加所致,

  无形资产减少 38.73%,主要是合并范围不同所致;商誉比上年末减少 44.85%,

  苏州德桐源经营亏损而计提商誉减值所致;递延所得税资产减少 79.50%,主要

  是合并范围变动和苏州德桐源累计经营亏损而调整所致。

      (二)负债状况分析

                                                            单位:万元

    项目              2024 年末                  2023 年末              本年

                    金额        比例        金额        比例      比上年增减

短期借款                  20,797.47      31.75%        26,811.61        34.74%        -22.43%

应付票据                    1,500.00      2.29%            0.01        0.00%  14999900.00%

应付账款                  15,432.57      23.56%        14,910.99        19.32%          3.50%

预收款项                      43.13      0.07%          102.34        0.13%        -57.85%

合同负债                    4,537.67      6.93%        7,919.70        10.26%        -42.70%

应付职工薪酬                2,900.42      4.43%        2,543.32        3.30%        14.04%

 应交税费                      488.31      0.75%          659.51        0.85%        -25.96%

 其他应付款                10,789.25      16.47%        11,882.29        15.40%        -9.20%

 一