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首页 公告 ST先河:2024年度财务决算报告

ST先河:2024年度财务决算报告

公告日期:2025-04-24


            河北先河环保科技股份有限公司

                2024 年度财务决算报告

  2024 年在公司董事会及管理层的领导下,通过管理团队及全体员工共同努力,积极拓展市场,认真贯彻落实年度经营计划。受整体经济环境影响,公司收入和利润等指标出现了一定程度下滑。公司实现营业收入 95,251.28 万元,同比降幅 1.44%;归属于上市公司股东的净利润-15,241.36 万元,同比亏损增加 23.23%。

  一、 2024 年度财务决算情况

(一) 资产                                                单位:人民币元

 项目            2024 年 12 月 31 日  2023 年 12 月 31 日    本年比上年    2022 年 12 月 31 日
                                                            增减(%)

资产总额            2,056,863,377.12    2,257,695,914.22      -8.90%      2,333,998,957.61

流动资产            1,664,241,455.46    1,824,262,466.73      -8.77%      1,814,934,811.57

固定资产            207,637,983.97      189,479,733.60        9.58%        209,718,124.84

无形资产              18,821,053.40        16,497,441.43      14.08%        17,015,802.39

其他资产            166,162,884.29      227,456,272.46      -26.95%        292,330,218.81

  报告期末公司总资产 205,686.34 万元,比报告期初 225,769.59 万元减少了 20,083.25
万元,降幅 8.90%。其中:流动资产 166,424.15 万元,占期末总资产 80.91%;固定资产
20,763.80 万元,占期末总资产 10.09%;无形资产 1,882.11 万元,占期末总资产 0.92%;其
他资产 16,616.29 万元,占期末总资产 8.08%。

  (二) 负债                                              单位: 人民币元

  项目          2024 年 12 月 31 日  2023 年 12 月 31 日  本年比上年  2022 年 12 月 31 日
                                                          增减(%)

  负债总额          412,122,143.29      457,155,081.33      -10.93%      395,986,406.82

  流动负债          403,816,493.56      446,153,049.80      -10.48%      379,357,215.44

  非流动负债          8,305,649.73      11,002,031.53      -24.51%      16,629,191.38

  报告期末公司总负债 41,212.21 万元,比报告期初 45,715.51 万元,减少 4,503.29 万
元,降幅 10.93%。其中:流动负债 40,381.65 万元,占期末总负债 97.98%;非流动负债 830.56
万元,占期末总负债 2.02%。

  (三) 股东权益                                            单位:人民币元

  项 目    2024 年 12 月 31 日  2023 年 12 月 31 日    本年比上年增  2022 年 12 月 31

                                                        减(%)      日

    股本        536,582,210.00        536,582,210.00          0%    545,374,010.00


  股东权益    1,626,794,227.01      1,778,374,362.40        -8.52%    1,901,615,656.14

  报告期末,股本 53,658.22万元,与报告期初53,658.22 万元持平。股东权益 162,679.42
万元,比报告期初 177,837.44 万元减少了 15,158.01 万元,降幅 8.52%。

 (四) 利润相关财务数据                                      单位:人民币元

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

                                                                减(%)

        营业收入        952,512,775.52    966,447,597.78      -1.44%    1,008,131,304.72

        营业成本        600,499,546.94    576,361,308.57      4.19%      638,779,875.89

        销售费用        113,316,464.34    143,489,111.84      -21.03%    143,790,473.67

        管理费用        137,425,960.32    123,534,854.09      11.24%      130,079,666.24

        研发费用        63,562,779.85      88,047,306.11      -27.81%      82,647,944.58

        财务费用          -2,608,052.48      -4,375,295.64      40.39%      -4,414,721.46

    其中:利息费用        783,468.89        785,599.28        -0.27%        825,447.52

        利息收入          3,717,783.56      4,908,867.23      -24.26%      3,324,991.32

        其他收益        10,317,507.30      23,054,738.65      -55.25%      30,701,850.94

        营业利润        -164,702,002.22    -113,745,971.72    -44.80%    -136,999,387.73

      营业外收入        3,728,445.21      3,813,849.10      -2.24%      2,398,619.83

      营业外支出        2,612,572.33      2,263,919.88      15.40%      2,780,249.65

        净利润        -150,450,901.22    -118,060,900.01    -27.43%    -131,139,519.11

  2024 年度营业收入较 2023 年减少 1,393.48 万元, 降幅 1.44%,2024 年度营业成本较
2023 年增加 2,413.82 万元,增幅 4.19%。2024 年度净利润较 2023 年减少 3,239.00 万元,
降幅 27.43%。

  销售费用 2024 年度发生额较 2023 年减少 3,017.26 万元,降幅 21.03%;管理费用 2024
年度发生额较 2023 年增加 1,389.11 万元,增幅 11.24%;研发费用 2024 年度发生额较 2023
年度减少 2,448.45 万元,降幅 27.81%;财务费用 2024 年度发生额较 2023 年度增加 176.72
万元,增幅 40.39%;利息收入 2024 年度发生额较 2023 年度减少 119.11 万元,降幅 24.26%。
  (五) 现金流量                                    单位: 人民币元

      项      目              2024 年          2023 年      本年比上年      2022 年

                                                                增减(%)

  经营活动现金流入小计      990,423,616.48  1,040,551,644.72    -4.82%    915,798,321.08

  经营活动现金流出小计      1,051,768,019.42  1,030,657,525.93    2.05%    1,062,666,525.40


经营活动产生的现金流量净额    -61,344,402.94    9,894,118.79    -720.01%  -146,868,204.32

  投资活动现金流入小计      112,456,025.51    356,422,943.32    -68.45%    13,829,025.92

  投资活动现金流出小计      54,330,496.69    198,389,341.64    -72.61%    297,973,479.17

投资活动产生的现金流量净额    58,125,528.82    158,033,601.68    -63.22%    -284,144,453.25

  筹资活动现金流入小计            0.00              0.00                          0.00

  筹资活动现金流出小计        4,463,907.53      8,091,389.01      -44.83%    61,535,059.53

筹资活动产生的现金流量净额    -4,463,907.53      -8,091,389.01      44.83%    -61,535,059.53

    报告期经营活动现金流入 99,042.36 万元,经营活动现金流出 105,176.80 万元,经营
 活动现金流量净额-6,134.44 万元;投资活动现金流入 11,245.60 元,投资活动现金流出
 5,433.05 万元,投资活动现金流量净额 5,812.55 万元;筹资活动现金流入 0 万元, 筹资
 活动现金流出 446.39 万元,筹资活动现金流量净额-446.39 万元。

    报告期内,经营活动产生的现金流量净额同期减少的