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西域旅游:2024年财务决算报告

公告日期:2025-04-25


                    2024 年度财务决算报告

      西域旅游开发股份有限公司(以下简称“公司”)2024 年
  财务报表已经大信会计师事务所(特殊普通合伙)审计,并出具
  了标准无保留意见的审计报告。现将公司 2024 年度财务决算(合
  并口径)的相关情况报告如下:

      一、主要会计数据和财务指标

                                                                                        单位:万元

        项目            2024 年/2024 年末  2023 年/2023      增减数        增减率
                                                年末

      营业收入            30,371.22        30,525.94      -154.72        -0.51%

      净利润              8,649.24        10,701.96      -2,052.72      -19.18%

归属于母公司股东的净利      8,651.31        10,558.34      -1,907.03      -18.06%
        润

扣非后归属于母公司股东      8,569.44        10,508.92      -1,939.48      -18.46%
      净利润

 基本每股收益(元/股)        0.56            0.68          -0.12        -17.65%

归属于普通股股东的净资      11.79%          15.88%        -4.09%            -

      产收益率

扣非后归属于普通股股东      11.68%          15.82%        -4.14%            -

    净资产收益率

    期末总股本            15,500.00        15,500.00          -              -

      资产总额            109,023.74        78,226.07      30,797.67      39.37%

      负债总额            31,334.40        5,298.86      26,035.54      491.34%

 归属于母公司股东权益      75,758.81        71,753.30      4,005.51        5.58%

归属于普通股股东每股净        4.89            4.63          0.26          5.58%
    资产(元/股)

    资产负债率            28.74%            6.77%          21.97%            -

      二、财务状况、经营成果、现金流量分析


        (一)资产负债构成及变动情况

        截至本报告期末,公司资产总额为 109,023.74 万元,较年

    初增加 39.37%;公司负债总额为 31,334.40 万元,较年初增加

    491.34%。

                                                                            单位:万元

  项目          2024 年期末    占比资产总额  2024 年期初  占比资产总额  同比变动幅度

 流动资产:

 货币资金          28,140.73        25.81%      31,179.51      39.86%        -9.75%

 应收账款          202.02          0.19%        313.91        0.40%        -35.64%

 预付款项          455.86          0.42%        224.54        0.29%        103.02%

 其他应收款          111.89          0.10%        61.91        0.08%        80.72%

  存货            268.38          0.25%        117.95        0.15%        127.53%

其他流动资产        1,992.07          1.83%        437.33        0.56%        355.51%

流动资产合计        31,170.94        28.59%      32,335.14      41.34%        -3.60%

非流动资产:

长期股权投资        9,661.10          8.86%        9,240.71      11.81%        4.55%

投资性房地产        390.85          0.36%        405.64        0.52%        -3.65%

 固定资产          34,127.52        31.30%      22,636.28      28.94%        50.76%

 在建工程          2,670.83          2.45%          3.96          0.01%      67345.20%

 使用权资产        7,661.71          7.03%        821.33        1.05%        832.84%

 无形资产          11,697.16        10.73%      12,343.36      15.78%        -5.24%

长期待摊费用        10,613.24          9.73%          2.06          0.00%      515105.83%

递延所得税资          86.40            0.08%        92.98        0.12%        -7.08%
    产

其他非流动资        944.00          0.87%        344.59        0.44%        173.95%
    产

非流动资产合        77,852.80        71.41%      45,890.93      58.66%        69.65%
    计

 资产总计        109,023.74        100.00%      78,226.07      100.00%        39.37%

 流动负债:        2024 年期末    占比负债总额  2024 年期初  占比负债总额  同比变动幅度

 应付账款          7,438.29          23.74%        675.41        12.75%      1001.30%

 预收款项          171.83          0.55%        152.86        2.88%        12.41%

 合同负债          104.84          0.33%        93.56        1.77%        12.06%

应付职工薪酬        1,153.06          3.68%        1,691.45      31.92%        -31.83%

 应交税费            68.58            0.22%        95.44        1.80%        -28.14%

 其他应付款        1,098.83          3.51%        411.49        7.77%        167.04%

一年内到期的        2,134.00          6.81%        165.16        3.12%        1192.08%
 非流动负债


其他流动负债          1.10            0.00%          0.77          0.01%        42.86%

流动负债合计        12,170.53        38.84%      3,286.14      62.02%        270.36%

非流动负债:

  长期借款          10,698.04        34.14%          -          0.00%

  租赁负债          7,217.48          23.03%        600.06        11.32%      1102.79%

  递延收益          1,239.60          3.96%        1,397.24      26.37%        -11.28%

递延所得税负          8.75            0.03%        15.41        0.29%        -43.22%
    债

非流动负债合        19,163.87        61.16%      2,012.72      37.98%        852.14%
    计

  负债合计          31,334.40        100.00%      5,298.86      100.00%      491.34%

        变动较大的主要项目说明如下:

    1、预付款项期末余额 455.86 万元,较上期增加 103.02%,系报告期内预付的索

    道设备款及货款。

    2、其他流动资产期末余额 1,992.07 万元,较上期增加 355.51%,系报告期采购

    服务及设备形成的待抵扣进项税额。

    3、存货期末余额 268.38 万元,较上期增长 127.53%,系报告期购买的索道备品

    备件尚未领用所致。

    4、在建工程期末余额 2,670.83 万元,较上期增长 67345.20%,系报告期内子公

    司遇见赛湖项目尚未完工所致。

    5、使用权资产期末余额 7,661.71 万元,较上期增加 832.84%,系报告期子公司

    遇见喀什项目