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首页 公告 聚灿光电:2024年年度财务决算报告

聚灿光电:2024年年度财务决算报告

公告日期:2025-01-25


          聚灿光电科技股份有限公司

            2024 年年度财务决算报告

  聚灿光电科技股份有限公司(以下简称“公司”)2024 年度财务报表已经容诚会计师事务所(特殊普通合伙)审计,并出具了容诚审字[2025]215Z0015 号标准无保留意见的审计报告。

  为了更全面、详细地了解公司 2024 年的财务状况和经营成果,现将 2024 年
度财务决算报告情况汇报如下:

    一、2024 年度主要财务数据

                                单位:元(除特别注明外,以下单位相同)

            项目                2024 年度        2023 年度    本年比上年增减

 营业收入                    2,759,555,124.38  2,480,924,742.72          11.23%

 营业成本                    2,381,617,021.60  2,221,940,295.78          7.19%

 营业利润                      214,119,605.95      79,068,027.31        170.80%

 净利润                        195,593,118.26    121,153,612.84        61.44%

 扣除非经常性损益后净利润      185,732,675.20    121,569,090.89        52.78%

 经营活动产生的现金流量净额    524,493,428.40    201,272,379.03        160.59%

 期末总股本                    676,211,846.00    670,982,846.00          0.78%

 资产总额                    4,632,254,475.38  4,739,743,662.17          -2.27%

 负债总额                    1,915,414,479.23  1,856,556,215.24          3.17%

 所有者权益合计              2,716,839,996.15  2,883,187,446.93          -5.77%

    二、2024 年主要财务指标

                  项目                  2024 年度  2023 年度  本年比上年增减

 基本每股收益(元/股)                          0.30      0.21            0.09

 平均净资产收益率                            7.28%      5.86%          1.42%

 每股经营活动产生的现金流量净额(元/股)        0.78      0.30            0.48

 每股净资产(元/股)                            4.02      4.30          -0.28

 流动比率                                      1.42      1.76          -0.34


速动比率                                      1.30      1.64          -0.34

资产负债率                                  41.35%    39.17%          2.18%

应收账款周转率                                5.98      5.64            0.34

存货周转率                                  10.34      8.65            1.69

总资产周转率                                  0.59      0.59              -

  三、2024 年公司财务状况

  1、资产构成状况

    项目      2024 年 12 月 31    2023 年 12 月 31      增减额        变动

                      日                日                          幅度

货币资金        1,552,985,290.85    2,335,869,344.88  -782,884,054.03    -33.52%

交易性金融资产    140,000,000.00          58,800.00  139,941,200.00  237,995.24%

应收票据          164,889,528.24    135,433,416.55    29,456,111.69      21.75%

应收账款          465,296,454.64    458,231,230.66    7,065,223.98      1.54%

应收款项融资      117,831,402.14      93,176,230.19  24,655,171.95      26.46%

预付款项            7,854,092.35      2,100,990.36    5,753,101.99    273.83%

其他应收款          4,599,808.32      2,925,425.09    1,674,383.23      57.24%

存货              239,521,565.66    221,282,762.22  18,238,803.44      8.24%

其他流动资产      28,794,799.57      24,741,831.01    4,052,968.56      16.38%

流动资产合计    2,721,772,941.77    3,273,820,030.96  -552,047,089.19    -16.86%

投资性房地产      84,276,225.53      82,379,243.98    1,896,981.55      2.30%

固定资产        1,486,064,784.72    1,241,690,557.11  244,374,227.61      19.68%

在建工程          156,565,559.30      16,044,159.68  140,521,399.62    875.84%

使用权资产          4,357,570.69      1,326,406.13    3,031,164.56    228.52%

无形资产          23,742,663.53      25,015,242.01    -1,272,578.48      -5.09%

长期待摊费用                            42,927.09      -42,927.09    -100.00%

递延所得税资产    85,897,036.71      97,933,723.61  -12,036,686.90    -12.29%

其他非流动资产    69,577,693.13      1,491,371.60  68,086,321.53    4,565.35%

非流动资产合计  1,910,481,533.61    1,465,923,631.21  444,557,902.40      30.33%


 资产总计        4,632,254,475.38    4,739,743,662.17  -107,489,186.79      -2.27%

超过 30%增减变动的说明:
(1)货币资金较去年末下降 33.52%,主要系募集项目投入及股票回购所致。(2)交易性金融资产较去年末增长 237,995.24%,主要系本期购买现金管理产品增加所致。
(3)预付账款较去年末增长 273.83%,主要系本期预付款增加所致。
(4)其他应收款较去年末增长 57.24%,主要系受让大额存单时支付的孳生利息款增加所致。
(5)在建工程较去年末增长 875.84%,主要系本期购置工程设备较多所致。
(6)使用权资产较去年末增长 228.52%,主要系本期签订房屋租赁合同所致。(7)长期待摊费用较去年末下降 100%,主要系本期长期待摊费用摊销所致。(8)其他非流动资产较去年末增长 4,565.35%,主要系本期预付的工程设备款增加所致。

    2、负债构成情况

      项目      2024 年 12 月 31  2023 年 12 月 31      增减额      变动幅度
                      日              日

 短期借款          525,000,000.00    875,203,220.58    -350,203,220.58    -40.01%

 应付票据          903,582,219.14    597,406,360.82    306,175,858.32    51.25%

 应付账款          390,907,083.31    263,933,668.63    126,973,414.68    48.11%

 合同负债            7,607,347.09      3,610,320.52      3,997,026.57  110.71%

 应付职工薪酬        31,836,481.06    22,044,150.95      9,792,330.11    44.42%

 应交税费            6,505,442.68      11,764,797.25      -5,259,354.57    -44.70%

 其他应付款          3,333,264.80      3,569,618.30      -236,353.50    -6.62%

 一年内到期的非

 流动负债              403,348.26        665,110.69      -261,762.43    -39.36%

 其他流动负债        42,726,695.92    78,165,988.02    -35,439,292.10    -45.34%

 流动负债合计    1,911,901,882.26  1,856,363,235.76      55,538,646.50    2.99%

 租赁负债            3,512,596.97        192,979.48      3,319,617.49  1,720.19%


 非流动负债合计      3,512,596.97        192,979.48      3,319,617.49  1,720.19%

 负债合计        1,915,414,479.23  1,856,556,215.24      58,8