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首页 公告 ST路通:上网-无锡路通视信网络股份有限公司2024年度财务决算报告

ST路通:上网-无锡路通视信网络股份有限公司2024年度财务决算报告

公告日期:2025-04-29


                无锡路通视信网络股份有限公司

                    2024 年度财务决算报告

      无锡路通视信网络股份有限公司(以下简称“公司”)2024 年度会计报表已经

    中审亚太会计师事务所(特殊普通合伙)审计,并出具了带强调事项段的无保留

    意见的审计报告。现将决算情况报告如下

    一、主要会计数据

                                                          单位:人民币元

                  项目                本报告期      上年同期    变动幅度

    营业收入(元)                  177,099,747.09  182,113,702.05    -2.75%

    归属于上市公司股东的净利润

    (元)                          -58,103,305.38  -34,456,996.60    -68.63%

    归属于上市公司股东的扣除非经常

    性损益的净利润(元)            -61,446,249.40  -44,397,462.67    -38.40%

    基本每股收益(元/股)                  -0.2905        -0.1723    -68.60%

    稀释每股收益(元/股)                  -0.2905        -0.1723    -68.60%

    加权平均净资产收益率                  -10.75%        -5.85%    -4.90%

    归属于上市公司股东的净资产

    (元)                          511,495,119.70  569,598,425.08    -10.20%

    二、财务状况、经营成果和现金流量分析

    1、资产、负债项目变化情况及重大变化原因

                                                          单位:人民币元

            2024 年末              2024 年初

项目                  占总                          比重      重大变动说明
            金额      资产      金额      占总资产  增减

                      比例                  比例


                          13.38                                较年初增加 97.98%,
货币资金  80,028,676.54      %  40,423,237.12    5.85%  7.53%  主要系本期经营活动
                                                                现金流入增加所致

应收账款  240,826,262.1  40.25  268,643,274.0  38.90%  1.35%    未发生重大变化
                    6      %            5

                                                                较年初增加 100%,
合同资产  12,222,453.73  2.04%            -    0.00%  2.04%  主要系本期衡水湖项
                                                                目已验收但尚未完成
                                                                  财政评审所致

                                                                较年初减少 59.93%,
存货      34,413,613.29  5.75%  85,879,040.68  12.44% -6.69%  主要系本期已验收项
                                                                目的工程服务成本结
                                                                  转营业成本所致

固定资产  82,587,178.81  13.80  89,734,711.92  13.00%  0.80%    未发生重大变化
                            %

使用权资

            267,531.37  0.04%    362,307.93    0.05% -0.01%    未发生重大变化


                                                                较年初减少 87.57%,
合同负债    4,186,947.93  0.70%  33,672,940.78    4.88% -4.18%  主要系本期衡水湖项
                                                                目已验收并结转营业
                                                                    收入所致

                                                                较年初减少 100%,
租赁负债              -  0.00%    53,947.01    0.01% -0.01%  主要系本期末均为一
                                                                年内到期的租赁负债
                                                                      所致

交易性金                                                        较年初减少 44.05%,
            1,124,209.20  0.19%  2,009,196.70    0.29% -0.10%  主要系本期理财规模
融资产                                                              减少所致

                                                                较年初减少 61.25%,
应收票据    6,477,431.79  1.08%  16,715,987.95    2.42% -1.34%  主要系本期应收票据
                                                                  总体下降所致

应收款项                                                        较年初减少 49.68%,
            8,194,973.84  1.37%  16,285,690.60    2.36% -0.99%  主要系本期应收票据
融资                                                              总体下降所致

                                                                    较年初增加

预付款项    4,903,038.53  0.82%  1,440,930.20    0.21%  0.61%  240.27%,主要系本
                                                                期预付货款增加所致

其他应收                                                        较年初减少 52.68%,
          37,570,063.31  6.28%  79,389,872.74  11.50% -5.22%  主要系本期关联方归
款                                                              还资金占用款项所致

其他流动                                                        较年初减少 49.49%,
            3,044,669.09  0.51%  6,027,804.12    0.87% -0.36%  主要系本期关联方归
资产                                                            还资金占用利息所致

长期应收                                                        较年初减少 44.81%,
            7,529,247.67  1.26%  13,643,414.14    1.98% -0.72%  主要系本期长期应收
款                                                                  款到期所致

其他权益                                                        较年初减少 38.50%,
            6,150,000.00  1.03%  10,000,000.00    1.45% -0.42%  主要系本期收回投资
工具投资                                                              款所致

递延所得                                                        较年初增加 49.52%,
          40,124,639.61  6.71%  26,835,039.14    3.89%  2.82%  主要系可抵扣暂时性
税资产                                                            差异增加所致

其他非流                                                        较年初增加 100%,
            2,993,401.58  0.50%            -    0.00%  0.50%  主要系本期确认衡水
动资产