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首页 公告 德尔股份:阜新德尔汽车部件股份有限公司2024年度财务决算报告

德尔股份:阜新德尔汽车部件股份有限公司2024年度财务决算报告

公告日期:2025-04-23


            阜新德尔汽车部件股份有限公司

              2024 年度财务决算报告

  阜新德尔汽车部件股份有限公司(以下简称“本公司”或“公司”)2024 年度公司财务报表已经普华永道中天会计师事务所(特殊普通合伙)审计,并出具了普华永道中天审字(2025)第 10030 号的标准无保留意见的审计报告。现将公司有关的财务决算情况汇报如下:
一、主要会计数据和财务指标

                                                                              单位:人民币元

                    项目                          2024 年          2023 年      增减(%)

营业总收入(元)                          4,513,484,787.40 4,299,433,799.79      4.98%

归属于上市公司股东的净利润(元)              32,427,524.33    12,881,659.17    151.73%

归属于上市公司股东的扣除非经常性损益的净利润

(元)                                    26,016,651.06    1,573,177.45  1553.76%

经营活动产生的现金流量净额(元)              474,511,230.73  359,593,662.83    31.96%

基本每股收益(元/股)                                0.22            0.09    144.44%

稀释每股收益(元/股)                                0.22            0.09    144.44%

加权平均净资产收益率                              2.08%          0.85%    1.23%

                    项目                        2024 年          2023 年    增减(%)

资产总额(元)                              3,698,566,591.05  4,159,656,057.26    -11.08%

归属于上市公司股东的净资产(元)              1,552,051,820.73  1,563,103,213.05      -0.71%

二、资产情况及主要变动原因分析

                                                                              单位:人民币元

        资产            2024 年 12 月 31 日  2023 年 12 月 31 日      增减额        增减(%)

货币资金                    247,556,511.51    545,481,624.82    -297,925,113.31      -54.62%

应收票据                      34,233,046.80    34,203,559.00          29,487.80        0.09%

应收账款                    696,599,120.38    700,325,418.90      -3,726,298.52        -0.53%

应收款项融资                  29,937,231.27    27,480,929.69      2,456,301.58        8.94%

预付款项                      32,341,721.04    60,106,386.85    -27,764,665.81      -46.19%

其他应收款                    34,747,087.10    27,913,364.65      6,833,722.45        24.48%

存货                        682,032,698.44    711,316,365.48    -29,283,667.04        -4.12%

持有待售资产                              -    80,019,948.60    -80,019,948.60      -100.00%

一年内到期的非流动资产        2,951,338.77      7,223,743.97      -4,272,405.20      -59.14%

其他流动资产                  98,852,060.82    89,814,411.63      9,037,649.19        10.06%

长期应收款                    27,745,509.86    19,904,245.79      7,841,264.07        39.39%

投资性房地产                  13,197,282.25    13,452,343.87        -255,061.62        -1.90%

固定资产                    959,901,961.66    998,915,752.27    -39,013,790.61        -3.91%

在建工程                    111,823,646.30    86,463,609.35      25,360,036.95        29.33%

使用权资产                  207,421,606.30    207,492,924.12        -71,317.82        -0.03%

无形资产                    239,444,170.65    262,323,006.68    -22,878,836.03        -8.72%

开发支出                      40,616,813.31    43,799,101.07      -3,182,287.76        -7.27%

长期待摊费用                  64,169,653.17    71,983,930.83      -7,814,277.66      -10.86%

递延所得税资产              126,988,425.54    115,294,750.34      11,693,675.20        10.14%

其他非流动资产                48,006,705.88    56,140,639.35      -8,133,933.47      -14.49%

资产总计                  3,698,566,591.05  4,159,656,057.26    -461,089,466.21      -11.08%

1、货币资金较上年减少 29,792.51 万元,降幅 54.62%,主要系本期偿还有息负

  债所致。
2、预付款项较上年减少2,776.47万元,降幅46.19%,主要系采购订单交付所致。3、持有待售资产较上年减少 8,001.99 万元,降幅 100.00%,主要系子公司向常

  州市罗溪镇政府处置国有土地使用权和其上的房屋建筑物完成交割验收确认
  所致。
4、在建工程较上年增加 2,536.00 万元,增幅 29.33%,主要系本年度已有在建工
  程项目持续投入资金增加所致。
5、无形资产较上年减少 2,287.88 万元,降幅 8.72%,主要系计提无形资产摊销

  所致。
三、负债情况及主要变动原因分析

                                                                              单位:人民币元

          负债          2024 年 12 月 31 日  2023 年 12 月 31 日      增减额        增减(%)

短期借款                    202,957,314.42    213,124,000.91    -10,166,686.49        -4.77%

应付票据                    153,905,058.40    144,757,142.00      9,147,916.40        6.32%

应付账款                    727,226,159.65    716,047,655.89    11,178,503.76        1.56%

合同负债                      7,851,866.29      7,522,693.62        329,172.67        4.38%

应付职工薪酬                129,603,026.26    90,078,677.01    39,524,349.25        43.88%

应交税费                    65,409,266.09    31,196,280.96    34,212,985.13      109.67%

其他应付款                  153,711,797.51    130,567,455.64    23,144,341.87        17.73%

一年内到期的非流动负债      207,842,882.87    469,864,172.20  -262,021,289.33      -55.77%

其他流动负债                    507,137.36    32,001,054.07    -31,493,916.71      -98.42%

长期借款                    189,644,056.04    420,337,199.33  -230,693,143.29      -54.88%

租赁负债                    168,078,427.71    160,814,753.87      7,263,673.84        4.52%

长期应付款                  15,190,000.00    33,068,233.86    -17,878,233.86      -54.06%

长期应付职工薪酬              6,631,923.52      9,144,283.70    -2,512,360.18      -27.47%

预计负债                    22,020,666.98    17,503,128.53      4,517,538.45        25.81%

递延收益                    29,162,405.83    33,779,211.61    -4,616,805.78      -1