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首页 公告 富满微:2024年年度财务报告

富满微:2024年年度财务报告

公告日期:2025-04-19


            富满微电子集团股份有限公司

              2024年度财务决算报告

    本期内,富满微电子集团股份有限公司(以下简称“公司”)严格按照《公司法》《会计法》《企业会计准则》等规定进行会计核算,公司编制的 2024 年度财务报表经政旦志远(深圳)会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告(政旦志远审字第 2500181 号)。现将公司 2024 年度的财务决算情况报告如下:
一、2024 年主要财务指标

                                                      单位:人民币元

                                                      本年比

                    2024 年            2023 年      上年增        2022 年

                                                        减

营业收入(元)    681,675,496.81    701,684,939.75  -2.85%      771,302,586.82

归属于上市公司

股东的净利润      -241,509,185.41  -347,914,961.77  30.58%    -172,667,293.88
(元)
归属于上市公司

股东的扣除非经    -260,145,189.96  -355,433,849.85  26.81%    -207,339,675.68
常性损益的净利
润(元)
经营活动产生的

现金流量净额      -49,198,383.49    -46,990,030.41  -4.70%        3,272,505.28
(元)

基本每股收益                -1.11            -1.60  30.63%              -0.79
(元/股)

稀释每股收益                -1.06            -1.52  30.26%              -0.78
(元/股)

加权平均净资产            -13.94%          -17.49%    3.55%              -7.33%
收益率

                                                      本年末

                    2024 年末          2023 年末      比上年      2022 年末

                                                      末增减

资产总额(元)  2,637,844,177.86  2,913,711,600.25  -9.47%    3,275,223,194.66

归属于上市公司

股东的净资产    1,635,527,366.23  1,828,858,879.46  -10.57%    2,183,774,707.35
(元)

  主要项目重大变动说明:

  报告期全球经济持续下行,需求下降,行业复苏步伐不及预期,但公司着力
技术迭代、产品创新,产品结构调整,产品性能提升,运营成本控制,多项举措齐头并举,使得报告期内公司产品销量、综合毛利率较去年同期稳步上升。报告期公司营业收入同比减少 2.81%;归属于上市公司股东的净利润-24,150.92 万元,同比减亏 30.58%;归属于上市公司股东的扣除非经常性损益的净利润
-26,014.52 万元,同比减亏 26.81%。
二、资产负债情况

                                              单位:人民币元

  序号        项目      2024 年 12 月 31 日    2024 年 1 月 1 日    同比增减

 (一)    流动资产:

    1        货币资金        165,238,494.43      293,545,983.03      -43.71%

    2      交易性金融资产    215,980,816.45      369,554,732.38      -41.56%

    3        应收票据        146,114,026.89      156,518,809.61      -6.65%

    4        应收账款        237,345,067.36      204,541,418.65      16.04%

    5      应收款项融资      23,115,361.10      32,907,856.01      -29.76%

    6        预付款项        21,361,690.60      13,544,956.47      57.71%

    7        其他应收款        4,058,830.11        5,253,320.07      -22.74%

    8          存货          416,451,501.02      413,229,422.62        0.78%

    9      一年内到期的非      88,104,920.80      31,599,600.00      178.82%
              流动资产

  10      其他流动资产      141,254,702.42      115,973,221.76      21.80%

  11      流动资产合计    1,459,025,411.18    1,636,669,320.60      -10.85%

 (二)    非流动资产:

  12      长期应收款        6,623,963.79      10,335,736.19      -35.91%

  13      投资性房地产        1,452,145.94        1,550,043.50      -6.32%

  14        固定资产        924,197,943.37      392,551,109.57      135.43%

  15        在建工程                            556,763,636.70    -100.00%

  16      使用权资产        9,252,530.82      23,123,984.36      -59.99%

  17        无形资产        32,664,413.39      35,833,891.78      -8.84%

  18      长期待摊费用      41,723,210.24      41,538,091.03        0.45%

  19    递延所得税资产      84,464,171.27      85,406,386.53      -1.10%

  20    其他非流动资产      78,440,387.86      129,939,399.99      -39.63%

  21    非流动资产合计  1,178,818,766.68    1,277,042,279.65      -7.69%

  22        资产总计      2,637,844,177.86    2,913,711,600.25      -9.47%

(三)    流动负债:

  23        短期借款        536,348,939.64      631,309,921.95      -15.04%

  24        应付票据        45,925,320.78      39,767,572.96      15.48%

  25        应付账款        164,201,344.11      190,106,622.48      -13.63%

  26        合同负债          3,953,150.74        2,478,092.44      59.52%

  27      应付职工薪酬      12,907,029.12      16,668,587.50      -22.57%

  28        应交税费          1,365,050.24          736,094.15      85.45%

  29      其他应付款        52,366,631.96        4,489,056.22    1066.54%

  30    一年内到期的非      16,909,471.85      30,721,148.05      -44.96%
            流动负债

  31      其他流动负债      46,144,468.52      33,205,951.91      38.96%

  32      流动负债合计      880,121,406.96      949,483,047.66      -7.31%

(四)    非流动负债:

  33        长期借款        87,499,999.85      101,499,999.89      -13.79%

  34        租赁负债          6,442,790.26        8,110,121.59      -20.56%

  35        预计负债                              5,876,957.67    -100.00%

  36        递延收益        34,842,640.17      27,932,254.78      24.74%

  37    递延所得税负债        326,588.47          386,003.86      -15.39%

  38    非流动负债合计    129,112,018.75      143,805,337.79      -10.22%

  39        负债合计      1,009,233,425.71    1,093,288,385.45      -7.69%

(五)    所有者权益:


  40          股本          217,724,473.00      217,724,473.00        0.00%

  41        资本公积      1,487,496,380.67    1,439,564,810.41        3.33%

  42      其他综合收益        2,013,637.53        1,767,535.61      13.92%

  43        盈余公积        75,732,627.93      75,732,627.93        0.00%

  44      未分配利润      -147,439,752.90      94,069,432.51    -256.74%

  4