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首页 公告 卓胜微:2024年度财务决算报告

卓胜微:2024年度财务决算报告

公告日期:2025-03-31


              江苏卓胜微电子股份有限公司

                2024 年度财务决算报告

  江苏卓胜微电子股份有限公司(以下简称“公司”)2024 年财务报表已经立信会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告,公司 2024 年度的财务决算相关情况如下:
一、主要会计数据

                                                                单位:元

              项目                    2024年            2023年        增减变动
                                                                          幅度

 营业收入                          4,486,931,811.79    4,378,236,624.12        2.48%

 营业成本                          2,715,202,907.11    2,344,668,770.85      15.80%

 营业利润                            364,085,666.11    1,175,125,322.99      -69.02%

 归属上市公司股东的净利润            401,826,648.58    1,122,340,218.97      -64.20%

 归属于上市公司股东的扣除非经常

 性损益的净利润                      363,554,786.70    1,095,041,101.35      -66.80%

 经营活动产生的现金流量净额          80,280,996.61    1,894,128,040.83      -95.76%

 期末总股本(万股)                      53,452.87          53,381.52        0.13%

 资产总额                          14,232,842,014.49  10,957,700,894.90      29.89%

 负债总额                          4,032,035,044.03    1,154,421,180.14      249.27%

 归属于上市公司普通股股东的所有

 者权益                            10,199,222,875.18    9,802,924,940.55        4.04%

二、主要财务指标

                  项目                      2024年      2023年    增减变动幅度

 基本每股收益(元/股)                            0.7522      2.1026      -64.23%

 稀释每股收益(元/股)                            0.7517      2.0989      -64.19%

 加权平均净资产收益率                            4.02%    12.15%        -8.13%

 扣除非经常性损益后的加权平均净资产收益率        3.64%    11.85%        -8.21%

 每股经营活动产生的现金流量净额(元/股)            0.15        3.55      -95.77%

 归属于上市公司股东的每股净资产(元/股)          19.08      18.36        3.92%

 资产负债率                                      28.33%    10.54%        17.79%


      项目          2024年末          2023年末          变动额      增减变动
                                                                          比率

 货币资金          1,410,841,303.52    1,008,332,904.62    402,508,398.90    39.92%

 应收账款            578,978,664.35      518,116,770.10      60,861,894.25    11.75%

 预付款项            31,037,748.86      47,807,218.50    -16,769,469.64    -35.08%

 其他应收款          41,656,922.27      33,444,888.09      8,212,034.18    24.55%

 存货              2,520,876,207.07    1,492,668,833.39    1,028,207,373.68    68.88%

 一年内到期的非

 流动资产            24,953,862.00      66,000,000.00    -41,046,138.00    -62.19%

 其他流动资产        408,081,060.91      102,363,996.52    305,717,064.39  298.66%

 流动资产合计      5,016,425,768.98    3,268,734,611.22    1,747,691,157.76    53.47%

 长期股权投资        83,829,907.33      91,467,452.68      -7,637,545.35    -8.35%

 其他权益工具投

 资                  192,329,717.71      130,496,798.67      61,832,919.04    47.38%

 其他非流动金融

 资产                161,684,522.13      148,995,143.97      12,689,378.16    8.52%

 固定资产          5,171,738,431.58    2,417,831,219.69    2,753,907,211.89  113.90%

 在建工程          3,066,102,365.20    3,184,537,243.01    -118,434,877.81    -3.72%

 使用权资产          67,780,268.63      70,895,117.05      -3,114,848.42    -4.39%

 无形资产            152,072,351.71      121,627,979.94      30,444,371.77    25.03%

 长期待摊费用        28,443,536.56      19,635,130.03      8,808,406.53    44.86%

 递延所得税资产      90,125,039.09      84,264,024.28      5,861,014.81    6.96%

 其他非流动资产      202,310,105.57    1,419,216,174.36  -1,216,906,068.79    -85.74%

 非流动资产合计    9,216,416,245.51    7,688,966,283.68    1,527,449,961.83    19.87%

 资产合计        14,232,842,014.49  10,957,700,894.90    3,275,141,119.59    29.89%

    【增减变动幅度较大的项目分析】

  货币资金期末较上年末增加402,508,398.90元,增长比例39.92%,主要系本期新增借款所致;

  预付款项期末较上年末减少16,769,469.64元,减少比例35.08%,主要系向供应商预付材料款减少所致;

  存货期末较上年末增加1,028,207,373.68元,增长比例68.88%,主要系本期备货所致;

  一年内到期的非流动资产期末较上年末减少41,046,138.00元,减少比例62.19%,

  其他流动资产期末较上年末增加305,717,064.39元,增长比例298.66%,主要系本期留抵税额增加所致;

  其他权益工具投资期末较上年末增加61,832,919.04元,增长比例47.38%,主要系持有的其他权益工具公允价值变动所致;

  固定资产期末较上年末增加2,753,907,211.89元,增长比例113.90%,主要系本期房屋建筑物以及设备转固所致;

  长期待摊费用期末较上年末增加8,808,406.53元,增长比例44.86%,主要系本期装修费增加所致;

  其他非流动资产期末较上年末减少1,216,906,068.79元,减少比例85.74%,主要系预付资产购置款减少所致。
2、负债构成及变动情况

                                                              单位:元

      项目          2024年末      2023年末        变动额        增减变动比率

 短期借款        1,895,490,700.18            0.00  1,895,490,700.18          100.00%

 应付账款        879,598,480.73  634,842,248.75    244,756,231.98            38.55%

 预收款项                  0.00    1,826,400.00    -1,826,400.00          -100.00%

 合同负债          4,587,686.92    6,593,106.05    -2,005,419.13          -30.42%

 应付职工薪酬    121,074,407.70    97,106,986.01    23,967,421.69            24.68%

 应交税费          25,214,849.34  121,330,429.80    -96,115,580.46          -79.22%

 其他应付款        15,381,354.80    9,786,858.26      5,594,496.54            57.16%

 其他流动负债      20,059,281.93            0.00    20,059,281.93          100.00%

 流动负债合计    2,970,571,763.46  880,574,329.73  2,089,997,433.73          237.34%

 长期借款        633,474,863.89