联系客服QQ:86259698

300595 深市 欧普康视


首页 公告 欧普康视:2025年度财务决算报告

欧普康视:2025年度财务决算报告

公告日期:2026-03-28


证券代码:300595        证券简称:欧普康视        公告编号:2026-010
            欧普康视科技股份有限公司

              2025 年度财务决算报告

    本公司及董事会全体成员保证信息披露内容的真实、准确、完整,没有 虚假记载、误导性陈述或重大遗漏。

  欧普康视科技股份有限公司 2025 年度财务报表已按照企业会计准则的规定编制,经容诚会计师事务所(特殊普通合伙)审计,并出具容诚审字[2026]230Z0810 号标准无保留意见的审计报告,审计意见:公司财务报表在所有重大方面按照企业会计准则的规定编制,公允反映了欧普康视 2025 年 12 月31 日的合并及母公司财务状况以及 2025 年度的合并及母公司经营成果和现金流量。现将 2025 年度财务决算报告如下:

  一、主要会计数据和财务指标

                                                                本年比上年

          项 目                  2025 年          2024 年                      2023 年

                                                                    增减

营业收入(元)                1,861,147,153.21  1,813,611,324.98    2.62%    1,737,168,463.82

归属于上市公司股东的净利润

(元)                          479,524,593.37    572,230,427.37    -16.20%    666,599,816.85

归属于上市公司股东的扣除非经

常性损益的净利润(元)          408,978,229.08    491,529,464.94    -16.79%    572,324,471.87

经营活动产生的现金流量净额

(元)                          730,078,196.25    684,906,247.55    6.60%    723,384,241.75

基本每股收益(元/股)              0.5370            0.6408        -16.20%        0.7462

稀释每股收益(元/股)              0.5370            0.6408        -16.20%        0.7462

加权平均净资产收益率              10.03%          12.69%        -2.66%        15.58%

                                                                本年末比上

          项 目                2025 年末        2024 年末      年末增减      2023 年末

资产总额(元)                6,261,176,033.27  6,030,901,444.15    3.82%    5,518,910,590.46

 归属于上市公司股东的净资产

 (元)                        4,911,934,616.94  4,697,006,548.89    4.58%    4,351,396,055.09

    二、分季度主要财务指标

            项目                第一季度        第二季度        第三季度        第四季度

 营业收入(元)                478,212,588.13    392,483,441.03    562,095,281.42    428,355,842.63

 归属于上市公司股东的净利润

 (元)                        160,278,200.05    89,718,971.98    192,052,456.69    37,474,964.65

 归属于上市公司股东的扣除非

 经常性损益的净利润(元)      147,281,543.93    68,928,873.48    175,553,233.68    17,214,577.99

 经营活动产生的现金流量净额

 (元)                        198,073,915.56    117,359,555.61    259,284,011.10  155,360,713.98

    三、本报告期末资产构成及变动原因分析

    截至 2025 年 12 月 31 日,公司资产总额 6,261,176,033.27 元,较上年末
 增长 3.82%。资产构成及变动情况如下:

                                                                      单位:人民币元

          项 目            2025 年 12 月 31 日  2024 年 12 月 31 日    变动金额      变动比例

货币资金                      847,850,824.61      758,365,298.49    89,485,526.12      11.80%

交易性金融资产                1,218,561,036.36    1,253,826,886.43    -35,265,850.07    -2.81%

应收票据                        340,071.00            0.00          340,071.00      #DIV/0!

应收账款                      265,718,554.81      267,619,184.85    -1,900,630.04      -0.71%

预付款项                        57,966,539.30      52,570,686.23      5,395,853.07      10.26%

其他应收款                    84,740,666.07      61,122,672.84    23,617,993.23      38.64%

存货                            172,108,070.84      158,054,167.28    14,053,903.56      8.89%

持有待售资产                    2,914,797.92          0.00          2,914,797.92      #DIV/0!

其他流动资产                  1,145,832,375.60    1,235,083,297.45    -89,250,921.85    -7.23%

 流动资产合计                3,796,032,936.51    3,786,642,193.57    9,390,742.94      0.25%


          项 目            2025 年 12 月 31 日  2024 年 12 月 31 日    变动金额      变动比例

长期股权投资                  444,465,443.13      458,074,831.67    -13,609,388.54    -2.97%

其他权益工具投资              50,717,528.89      69,989,118.72    -19,271,589.83    -27.54%

投资性房地产                  112,898,380.25          0.00        112,898,380.25    #DIV/0!

固定资产                      448,807,153.73      329,735,651.94    119,071,501.79    36.11%

在建工程                        2,107,179.31      187,933,815.33    -185,826,636.02    -98.88%

使用权资产                    252,894,425.12      282,001,018.73    -29,106,593.61    -10.32%

无形资产                        18,237,661.16      20,299,984.35    -2,062,323.19    -10.16%

开发支出                        65,553,804.89      59,159,836.79      6,393,968.10      10.81%

商誉                            884,023,492.50      560,831,932.72    323,191,559.78    57.63%

长期待摊费用                  90,792,829.44      92,488,382.08    -1,695,552.64      -1.83%

递延所得税资产                18,900,606.25      17,052,687.24      1,847,919.01      10.84%

其他非流动资产                75,744,592.09      166,691,991.01    -90,947,398.92    -54.56%

 非流动资产合计              2,465,143,096.76    2,244,259,250.58    220,883,846.18    9.84%

 资产总计                    6,261,176,033.27    6,030,901,444.15    230,274,589.12    3.82%

    (1)本报告期应收票据期末余额 340,071.00 元,主要系本期银行承兑汇票
 结算增加所致。

    (2)本报告期其他应收款期末余额 84,740,666.07 元,较上年末增长
 38.64%,主要系本期应收股权转让款增加所致。

    (3)本报告期持有待售资产期末余额 2,914,797.92 元,主要系本期新增并
 表子公司开展全飞秒激光治疗仪业务所致。

    (4)本报告期投资性房地产期末余额 112,898,380.25 元,主要系本期房屋
 租赁增加所致。

    (5)本报告期固定资产期末余额 448,807,153.73 元,较上年末增长
 36.11%,主要系本期接触镜和配套产品产业化建设工程转“固定资产”所致。
    (6)本报告期在建工程期末余额 2,107,179.31 元,较上年末下降 98.88%,
 主要系本期接触镜和配套产品产业化建设工程转