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首页 公告 *ST佳沃:2025年度财务决算报告

*ST佳沃:2025年度财务决算报告

公告日期:2026-03-16


              佳沃食品股份有限公司

              2025年度财务决算报告

  公司 2025 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,
并出具了标准无保留的审计报告。结合公司 2025 年 12 月 31 日的财务状况、
2025 年度的经营成果、现金流量以及公司实际情况,我们进行了认真的研究分析,现将公司有关的财务决算情况汇报如下:

    一、主要会计数据及财务指标变动情况

                                                                单位:人民币元

                                  2025 年度          2024 年度      本年比上年
                                                                      增减

营业收入                          1,657,158,308.52    3,417,572,942.68      -51.51%

归属于上市公司股东的净利润        -427,311,333.24    -924,421,813.03      53.78%

归属于上市公司股东的扣除非      -418,071,815.34    -924,840,853.90      54.80%
经常性损益的净利润

经营活动产生的现金流量净额        -514,925,727.33    -144,297,132.34    -256.85%

基本每股收益(元/股)                    -2.4530          -5.3067      53.78%

稀释每股收益(元/股)                    -2.4530          -5.3067      53.78%

加权平均净资产收益率                          -                -            -

资产总额                          527,302,747.16    9,295,306,013.20      -94.33%

归属于上市公司股东的净资产        274,884,259.03    -442,750,094.62    162.09%

  2025 年度公司实现营业总收入为 16.57 亿元,同比减少 51.51%;归属于上
市公司股东的净利润-4.27 亿元,同比增加 53.78%;资产总额 5.27 亿元,同比减少 94.33%;归属于母公司的所有者权益 2.75 亿元,同比增加 162.09%。

    二、财务状况

    1.2025 年公司各项主要资产变动情况如下表所示

                                                                单位:人民币元

    项目          2025 年 12 月 31 日        2024 年 12 月 31 日      增减幅度
                      金额        比重        金额        比重

货币资金                99,843,991.65    18.93%      216,210,892.09      2.33%      -53.82%


交易性金融资产                      -      0.00%      23,516,618.34      0.25%      -100.00%

应收账款                88,960,258.42    16.87%      349,503,577.45      3.76%      -74.55%

预付款项                10,954,561.19      2.08%      43,685,741.30      0.47%      -74.92%

其他应收款                6,772,850.88      1.28%      76,268,550.14      0.82%      -91.12%

存货                    193,810,370.62    36.76%    1,458,652,618.12    15.69%      -86.71%

其他流动资产              3,620,564.97      0.69%      48,513,425.79      0.52%      -92.54%

长期股权投资                  2,792.82      0.00%        8,651,687.57      0.09%      -99.97%

固定资产                60,874,062.72    11.54%    1,891,696,145.69    20.35%      -96.78%

在建工程                            -      0.00%      69,037,897.43      0.74%      -100.00%

使用权资产                2,511,034.80      0.48%      108,820,506.13      1.17%      -97.69%

无形资产                23,868,715.38      4.53%    3,622,784,944.62    38.97%      -99.34%

商誉                    27,034,595.11      5.13%      48,690,160.48      0.52%      -44.48%

长期待摊费用                182,250.00      0.03%          299,586.58      0.00%      -39.17%

递延所得税资产            7,369,687.24      1.40%    1,326,722,896.71    14.27%      -99.44%

其他非流动资产            1,497,011.36      0.28%        2,250,764.76      0.02%      -33.49%

      资产总计          527,302,747.16    100.00%    9,295,306,013.20    100.00%      -94.33%

  报告期末,货币资金较期初减少 1.16 亿元,降幅 53.82%;交易性金融资产
较期初减少 0.24 亿元,降幅 100.00%;应收账款较期初减少 2.61 亿元,降幅
74.55%;预付款项较期初减少 0.26 亿元,降幅 74.92%;其他应收款较期初减
少 0.76 亿元,降幅 91.12%;存货较期初减少 12.65 亿元,降幅 86.71%;其他流
动资产较期初减少 0.45 亿元,降幅 92.54%;长期股权投资较期初减少 0.09 亿
元,降幅 99.97%;固定资产较期初减少 18.31 亿元,降幅 96.78%;在建工程较
期初减少 0.69 亿元,降幅 100.00%;使用权资产较期初减少 1.06 亿元,降幅
97.69%;无形资产较期初减少 35.99 亿元,降幅 99.34%;商誉较期初减少 0.22亿元,降幅 44.48%;递延所得税资产较期初减少 13.19 亿元,降幅 99.44%。上述资产变动主要由于本期公司完成了重大资产重组交割程序,公司原子公司北京佳沃臻诚科技有限公司(以下简称“北京臻诚”)不再纳入合并范围所致。
    2.2025 年公司各项主要负债变动情况如下表所示

                                                                单位:人民币元

        项目            2025 年 12 月 31 日      2024 年 12 月 31 日    增减幅
                            金额      比重        金额        比重      度

短期借款                                -    0.00%      77,100,519.66    0.79%  -100.00%

应付账款                    12,507,835.65  21.82%    1,198,022,486.23  12.28%    -98.96%

合同负债                      4,817,729.29    8.40%      52,611,927.87    0.54%    -90.84%

应付职工薪酬                15,695,840.63  27.38%      44,693,772.51    0.46%    -64.88%

应交税费                      2,130,272.38    3.72%      21,129,077.35    0.22%    -89.92%


其他应付款                  16,326,341.53  28.48%    124,389,534.30    1.28%    -86.87%

一年内到期的非流动负债      1,390,063.35    2.42%      78,906,595.36    0.81%    -98.24%

其他流动负债                  529,324.75    0.92%        629,291.14    0.01%    -15.89%

长期借款                                -    0.00%      26,938,365.54    0.28%  -100.00%

应付债券                                -    0.00%    1,114,078,910.73  11.42%  -100.00%

租赁负债                        670,149.22    1.17%      70,763,476.53    0.73%    -99.05%

长期应付款                              -    0.00%    105,022,196.86    1.08%  -100.00%

递延所得税负债              3,259,793.50    5.69%    1,107,528,578.97  11.36%    -99.71%

其他非流动负债                        -    0.00%    5,730,858,091.23  58.76%  -100.00%

      负债合计            57,327,350.30  100.00%    9,752,672,824.28  100.00%    -99.41%

  报告期末,短期借款较期初减少 0.77 亿元