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首页 公告 宝丽迪:2024年度财务决算报告

宝丽迪:2024年度财务决算报告

公告日期:2025-04-16


              苏州宝丽迪材料科技股份有限公司

                  2024 年度财务决算报告

  苏州宝丽迪材料科技股份有限公司(以下简称“公司”)2024 年度财务报表经立信会计师事务所(特殊普通合伙)审计,出具了标准无保留意见的审计报告,经审计的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。公司根据本年的财务状况和经营成果编制《2024 年度财务决算报告》,现报告如下:

  一、 主要财务数据和财务指标:

                                                                              单位:人民币元

                                      2024 年            2023 年        本年比上年增减

 营业收入(元)                    1,363,010,300.33  1,197,056,530.15            13.86%

 归属于上市公司股东的净利润(元)    114,024,811.13      99,487,816.04            14.61%

 归属于上市公司股东的扣除非经常      103,230,795.50      87,639,216.11            17.79%
 性损益的净利润(元)

 经营活动产生的现金流量净额(元)    132,734,123.46      50,594,782.70            162.35%

 基本每股收益(元/股)                        0.65              0.62              4.84%

 稀释每股收益(元/股)                        0.64              0.62              3.23%

 加权平均净资产收益率                        6.29%              6.40%            -0.11%

                                      2024 年末          2023 年末      本年末比上年末增
                                                                                减

 资产总额(元)                    2,131,594,108.81  2,028,399,085.81              5.09%

 归属于上市公司股东的净资产(元)  1,866,142,560.65  1,808,055,494.03              3.21%

  报告期内,公司实现营业收入同比增长 13.86%,产品毛利率同比稳中有升,带动毛利额同比增加 4,312.79 万元,增幅达 20.91%。归属于母公司所有者的净
利润为 11,402.48 万元,较上年同期增加 1,453.70 万元,同比增长 14.61%。为
完善长效激励机制,公司实施股权激励计划,报告期内计提股份支付费用 2,442.95 万元,对归母净利润的直接影响为 2,143.25 万元。剔除股份支付费用影响后,报告期归母净利润为 13,545.73 万元,较上年同期增加 2,639.34 万元,同比增幅提升至 24.20%,核心盈利能力显著增强。
二、基本财务状况、经营成果和现金流量情况分析

(一)资产情况分析

                                                                              单位:人民币元

          项目              2024 年 12 月 31 日      2024 年 1 月 1 日        变动比率

  流动资产:

      货币资金                    377,015,119.04        142,906,756.16          163.82%

      交易性金融资产                90,858,038.13        312,898,513.69          -70.96%

      应收票据                      1,425,000.00                      -          100.00%

      应收账款                    182,051,914.50        159,797,424.02            13.93%

      应收款项融资                200,497,227.01        202,226,572.84            -0.86%

      预付款项                      5,780,447.84          9,196,459.89          -37.14%

      其他应收款                      381,422.74            591,514.01          -35.52%

      存货                        196,430,965.46        177,692,401.27            10.55%

      其他流动资产                  7,258,721.19          5,338,659.34            35.97%

  流动资产合计                  1,061,698,855.91      1,010,648,301.22            5.05%

 非流动资产:

      长期股权投资                  2,040,413.75          2,426,219.15          -15.90%

      固定资产                    678,305,554.63        570,302,973.04            18.94%

      在建工程                      78,341,267.29        142,681,178.14          -45.09%

      使用权资产                      388,737.18            785,811.49          -50.53%

      无形资产                      57,561,689.26          60,160,726.41            -4.32%

      商誉                        219,998,093.98        219,998,093.98            0.00%

      长期待摊费用                  5,820,060.33          7,949,020.18          -26.78%

      递延所得税资产                2,835,027.54          2,925,409.91            -3.09%

      其他非流动资产                24,604,408.94          10,521,352.29          133.85%

      非流动资产合计            1,069,895,252.90      1,017,750,784.59            5.12%

  资产总计                      2,131,594,108.81      2,028,399,085.81            5.09%

资产项目变动的主要原因如下:
(1) 货币资金本报告期末较上年期末增加 163.82%,主要系本期现金管理产品
    到期,银行存款相应增加。
(2) 交易性金融资产本报告期末较上年期末减少 70.96%,主要系本期现金管
    理产品到期,交易性金融资产相应减少。
(3) 应收票据本报告期末较上年期末增加 100%,主要系本期存在未到期的商
    业承兑汇票。
(4) 预付款项本报告期末较上年期末减少 37.14%,主要系期末预付的采购货
    款减少。
(5) 其他流动资产较上年期末增加 35.97%,主要系福建鹭意新厂建设项目的
    投入增加。

(6) 在建工程较上年期末减少 45.09%,主要系宝丽迪新厂二期房屋完成验收,
    相应的在建工程转入固定资产。
(7) 其他非流动资产较上年期末增加 133.85%,主要系本期福建鹭意新厂建设
    项目的投入增加。
(二)负债及股东权益情况分析

                                                                              单位:人民币元

              项目                2024 年 12 月 31 日    2024 年 1 月 1 日        变动比率

 流动负债:

    短期借款                          11,678,900.00      20,251,790.80          -42.33%

    应付票据                          66,250,000.00      61,000,000.00            8.61%

    应付账款                          62,636,790.68      87,069,991.00          -28.06%

    预收款项                              45,083.54          186,562.74          -75.83%

    应付职工薪酬                      13,733,606.45      12,411,352.33          10.65%

    应交税费                          15,713,397.86        9,980,962.13          57.43%

    其他应付款                        1,231,775.57        2,153,326.62          -42.80%

    合同负债                          2,461,770.64        1,648,181.12          49.36%

    一年内到期的非流动负债              331,401.15          375,327.20          -11.70%

    其他流动负债                        320,030.19