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首页 公告 云意电气:2024年度财务决算报告

云意电气:2024年度财务决算报告

公告日期:2025-03-21


              江苏云意电气股份有限公司

                2024 年度财务决算报告

    江苏云意电气股份有限公司(以下简称“公司”)2024 年 12 月 31 日的资产负债
表、2024 年度的利润表、现金流量表、股东权益变动表以及财务报表附注已经中汇会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告,现将决算情况报告如下:

    一、主要财务指标

  2024 年,公司实现营业收入 2,145,031,884.76 元,比上年同期增长 28.35%,归属
于上市公司股东的净利润 401,079,777.13 元,比上年同期增加 31.51%,主要财务指标如下:

                  项目                    2024 年度    2023 年度    增减变动幅度

 基本每股收益(元/股)                      0.47        0.35        34.29%

 稀释每股收益(元/股)                      0.47        0.35        34.29%

 扣除非经常性损益后的基本每股收益(元/        0.42        0.30        40.00%

 股)

 加权平均净资产收益率                      14.49%      11.64%        2.85%

 扣除非经常性损益后的加权平均净资产收益    13.02%      9.96%        3.06%

 率

 每股经营活动产生的现金流量净额(元/股)      0.43        0.24        37.50%

 归属于上市公司股东的每股净资产(元/股)      3.420        3.089        10.72%

二、财务状况、经营成果和现金流量分析
(一)报告期资产构成及变动情况


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

      货币资金          1,338,150,689.17    1,096,465,595.85            22.04%

  交易性金融资产        285,186,740.65      597,741,425.52            -52.29%

      应收票据              4,727,656.97          475,000.00            895.30%

      应收账款            569,853,609.13      510,875,043.81            11.54%

    应收款项融资          80,921,251.94      61,381,303.17            31.83%

      预付款项            20,039,290.56      10,538,033.09            90.16%

    其他应收款            1,611,424.73        1,013,988.32            58.92%

        存货              452,083,420.01      393,289,708.56            14.95%

      合同资产                191,936.36          102,321.72            87.58%

    其他流动资产          178,400,864.95      55,124,899.33            223.63%

    流动资产合计        2,931,166,884.47    2,727,007,319.37              7.49%

    长期股权投资          78,107,321.98      78,122,162.52            -0.02%

 其他非流动金融资产        52,191,028.90      49,768,897.10              4.87%

    投资性房地产          51,234,555.48      55,079,965.51            -6.98%

      固定资产            526,936,217.50      554,498,625.74            -4.97%

      在建工程            288,019,667.17      161,658,692.31            78.17%

    使用权资产            3,241,170.39        2,461,461.07            31.68%

      无形资产            26,145,979.59      26,404,105.96            -0.98%

        商誉                      0.00      17,065,423.64          -100.00%

    长期待摊费用            9,894,559.96      12,294,052.29            -19.52%

  递延所得税资产          18,149,661.54      10,560,047.80            71.87%

  其他非流动资产          23,111,056.84        11,379,134.75            103.10%

  非流动资产合计        1,077,031,219.35      979,292,568.69              9.98%

      资产总计          4,008,198,103.82    3,706,299,888.06              8.15%

1、交易性金融资产期末数较期初数减少 31,255.47 万元,主要系本报告期理财产品到期所致;
2、应收票据期末数较期初数增加 425.27 万元,主要系本期收到商业汇票所致;

3、应收款项融资期末数较期初数增加 1,953.99 万元,主要系本期收到的银行承兑汇票增加所致;
4、预付款项期末数较期初数增加 950.13 万元,主要系本期公司预付材料款及电费所致;
5、其他应收款期末数较期初数增加 59.74 万元,主要系本期支付押金保证金所致;6、其他流动资产期末数较期初数增长 223.63%,主要系本期投资理财产品增加所致;7、在建工程期末数较期初数增加 12,636.10 万元,主要系本期投资建设厂房所致;8、使用权资产期末数较期初数增加 77.97 万元,主要系本期新增租赁厂房所致;
9、 商誉期末数较期初数减少 1,706.54 万元,主要系本期计提商誉减值所致。
10、 递延所得税资产期末数较期初数增加 758.96 万元,主要系本期确认政府补助计入递延收益的暂时性差异所致。
11、其他非流动资产期末数较期初数增加 1,173.19 万元,主要系本期预付设备款增加所致。
(二)报告期负债构成及变动情况

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

      短期借款              70,983,611.05      20,016,666.66          254.62%

      应付票据            118,699,939.42      268,040,345.60          -55.72%

      应付账款            438,054,464.71      357,869,819.92            22.41%

      预收款项                817,210.13              0.00          100.00%

      合同负债              16,698,035.20      12,310,041.47            35.65%

    应付职工薪酬            61,523,801.38      65,274,391.74            -5.75%

      应交税费              26,269,641.92      18,373,899.95            42.97%

      其他应付款            16,709,214.24      16,515,144.39            1.18%

 一年内到期的非流动负债        1,674,821.02        1,178,305.36            42.14%

    其他流动负债            3,925,120.82        485,049.36          709.22%

    流动负债合计          755,355,859.89      760,063,664.45            -0.62%

      租赁负债              1,626,866.90        1,457,078.97            11.65%

      长期应付款                      -      11,915,000.00          -100.00%

      预计负债              11,225,451.76      13,832,909.93          -18.85%

      递延收益              72,413,500.60      77,182,700.80            -6.18%

    递延所得税负债          14,212,486.85      16,265,268.68          -12.62%

    非流动负债合计          99,478,306.11      120,652,958.38          -17.55%

      负债合计            854,834,166.00      880,716,622.83            -2.94%

1、短期借款期末数较期初数增加 5,096.69 万元,主要系本期银行贷款增加所致;2、应付票据期末数较期初数减少 14,934.04 万元,主要系本期票据到期解付所致;3、预收款项期末数较期初数增长 100%,主要系本期预收承租人房租所致;
4、合同负债期末数较期初数增加 438.8 万元,主要系本期预收货款增加所致;
5、应交税费期末数较期初数增加 789.57 万元,主要系本期业务规模和利润大幅增长,应交企业所得税增加所致;
6、一年内到期的非流动负债期末数较期初数增加 49.65 万元,主要系本期新增租赁厂房所致;
7、其他流动负债期末数较期初数增加 344.01 万元,主要系期末已背书未到期商业汇票增加所致;
8、长期应付款期末数较期初数减少 1,191.5 万元,主要系本期调整或有股权转让对价所