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首页 公告 江苏雷利:2024年度财务决算报告

江苏雷利:2024年度财务决算报告

公告日期:2025-04-23


                    江苏雷利电机股份有限公司

                      2024 年度财务决算报告

        江苏雷利电机股份有限公司(以下简称“公司”)2024 年度财务报表经天健

    会计师事务所(特殊普通合伙)审计,出具了标准无保留意见的审计报告。会计

    师的审计意见是: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,

    公允反映了公司 2024 年 12 月 31 日的合并及母公司财务状况,以及 2024 年度的

    合并及母公司经营成果和现金流量。现将决算情况报告如下:

        一、 主要财务数据和指标

                                                                      单位:人民币元

        项目          2024 年 12 月 31 日  2023 年 12 月 31 日  变动幅度        变动原因

总资产                6,440,954,009.96  5,757,190,513.47    11.88%

归属于上市公司股东的  3,369,497,239.97  3,307,430,326.16      1.88%

所有者权益

        项目          2024 年 12 月 31 日  2023 年 12 月 31 日  变动幅度      变动原因

营业收入              3,519,257,596.26  3,076,707,472.65    14.38%

归属于上市公司股东的    294,493,288.77    317,127,451.53    -7.14%

净利润
归属于上市公司股东的

扣除非经常性损益的净    300,592,464.49    290,356,063.97      3.53%

利润(元)

                                                                        为应对市场需求变
经营活动产生的现金流    300,636,020.23    569,255,669.68    -47.19%  化,增加存货备库导
量净额                                                                  致材料、人工等款项
                                                                        支出增加所致。

基本每股收益(元/                0.9255            1.0036    -7.78%

股)

加权平均净资产收益率              8.83%            10.04%    -1.21%


        二、 财务状况分析

        1、主要资产分析

                                                                      单位:人民币元

      项目        2024 年 12 月 31 日  2023 年 12 月 31 日  变动幅度      变动原因

货币资金              1,230,513,654.60  1,502,578,111.48  -18.11%

交易性金融资产          571,880,574.15    337,766,015.04    69.31% 购买理财增加。

衍生金融资产              5,699,519.65                  -            远期和期货套保工
                                                                      具期末价值变动。

应收票据                341,621,106.38    328,052,793.48    4.14%

应收账款              1,404,898,077.87  1,151,343,102.82    22.02%

应收款项融资              2,451,010.05                  -

预付款项                26,718,540.85      22,878,320.06    16.79%

其他应收款                5,331,501.18      5,587,373.65    -4.58%

存货                    835,101,003.64    605,969,100.89    37.81% 存货备库增加。

其他流动资产            52,139,599.66    101,860,002.62  -48.81% 上年5,000万元国债
                                                                      逆回购到期所致。

                                                                      主要为对上海联融
长期股权投资            68,318,051.10      46,357,157.60    47.37% 域、苏州脉塔、常州
                                                                      力笃投资增加所致。

其他权益工具投资        10,000,000.00                  -            通过投资雷鼎玖通
                                                                      对外股权投资。

其他非流动金融资产      170,655,852.14    135,448,892.44    25.99%

固定资产              1,135,307,696.32    886,538,219.91    28.06%

在建工程                124,088,592.01    197,652,405.29  -37.22% 主要为鼎智科技在
                                                                      建厂房完工转固。

使用权资产              32,891,670.41      11,892,527.07  176.57% 房屋租赁增加所致。

无形资产                172,155,864.34    179,131,232.70    -3.89%

商誉                    173,961,517.91    189,987,477.81    -8.44%

长期待摊费用            52,205,728.68      23,933,406.75  118.13% 厂房装修费增加。

递延所得税资产          17,310,311.70      22,220,841.34  -22.10%

其他非流动资产            7,704,137.32      7,993,532.52    -3.62%

        2、主要负债分析

                                                                      单位:人民币元

      项目        2024 年 12 月 31 日  2023 年 12 月 31 日  变动幅度      变动原因

短期借款              808,623,930.37      515,919,274.39    56.73% 本期票据融资和信
                                                                      用借款增加。


 交易性金融负债                                  322,335.77  -100.00%

 衍生金融负债            14,866,597.93                                远期金融工具估值
                                                                      变动影响。

 应付票据              646,505,384.43      563,365,526.20    14.76%

                                                                      因业务增长导致对
 应付账款              757,338,224.46      549,514,389.83    37.82% 供应商的货款应付
                                                                      款增加。

 预收款项                  686,639.50

 合同负债                65,728,350.86      59,421,317.01    10.61%

 应付职工薪酬            90,117,358.82      81,570,883.43    10.48%

 应交税费                30,149,173.57      31,627,245.35    -4.67%

 其他应付款              5,457,930.64        7,226,682.24  -24.48%

 一年内到期的非流动      15,116,499.81      28,270,427.23  -46.53% 一年内到期的股权
 负债                                                                  转让款减少。

 其他流动负债            25,886,781.35      24,116,153.19    7.34%

 租赁负债                27,595,681.50        7,232,137.00  281.57% 房屋租赁增加所

                                                                      致。

 长期应付款                                    7,700,000.00  -100.00% 一年以上到期的股
                                                                      权转让款减少。

 预计负债                8,873,616.