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首页 公告 善水科技:2024年度财务决算报告

善水科技:2024年度财务决算报告

公告日期:2025-04-21


                  2024年度财务决算报告

  九江善水科技股份有限公司(以下简称“公司”)根据《企业会计准则》《公司
章程》等的有关规定,已完成 2024 年度财务决算工作,现将有关情况报告如下:

    一、公司 2024 年度主要会计数据和财务指标

  公司主要财务指标及其同期比较情况如下表所示:

                                                                        单位:元

                              2024 年                2023 年        本年比上年增减        2022 年

营业收入(元)                504,617,322.62        495,286,440.12            1.88%      400,436,448.48

归属于上市公司股东的          52,954,946.94          21,054,499.99          151.51%      100,400,903.87
净利润(元)
归属于上市公司股东的

扣除非经常性损益的净          60,420,228.72        115,373,183.55          -47.63%      81,223,718.68
利润(元)

经营活动产生的现金流        -77,323,208.77          13,975,199.53        -653.29%      94,708,909.07
量净额(元)

基本每股收益(元/股)                0.2531                0.0981          158.00%              0.4678

稀释每股收益(元/股)                0.2531                0.0981          158.00%              0.4678

加权平均净资产收益率                  3.35%                  1.02%            2.33%              4.96%

                            2024 年末              2023 年末        本年末比上年末      2022 年末

                                                                          增减

资产总额(元)              2,218,238,761.93      2,451,410,876.03          -9.51%    2,247,553,325.58

归属于上市公司股东的      1,927,737,690.83      2,023,840,457.76          -4.75%    2,043,888,655.68
净资产(元)

    二、资产及负债状况分析

                                                              单位:元

                          2024 年末                      2024 年初                比重增减

                    金额      占总资产比例      金额      占总资产比例

 货币资金        1,063,865,18        47.96%  1,330,954,70        54.29%              -6.33%

                        6.11                          0.18

 应收账款        7,285,155.00          0.33%  6,755,283.35          0.28%              0.05%

 存货            76,786,648.8          3.46%  96,469,650.3          3.94%              -0.48%

                            2                            2


 固定资产        525,312,465.        23.68%  144,631,947.          5.90%              17.78%
                          24                            29

 在建工程        119,929,546.          5.41%  437,631,496.        17.85%            -12.44%
                          76                            00

 使用权资产      1,548,033.77          0.07%  1,019,171.01          0.04%              0.03%

 短期借款        50,039,178.0          2.26%                                              2.26%
                            8

 合同负债        2,118,010.11          0.10%  3,782,383.53          0.15%              -0.05%

 租赁负债          836,441.43          0.04%    616,975.15          0.03%              0.01%

    2024 年末,公司在建工程比重减少,固定资产比重增加,主要是报告期内募
 投项目建设逐步达到预定可使用状态转为固定资产。

    三、营业收入及营业成本分析

    公司 2023-2024 年营业收入及营业成本构成如下:

                                                              单位:元

                              本期发生额                            上期发生额

    项 目          收入      占营业收入      成本        收入      占营业收入      成本

                                的比例                                的比例

    6-硝体        278,404,                  157,724,    326,197,29      65.86%  177,978,26
                  407.17        55.17%    848.91          7.48                      6.66

2-氨基-5-硝基苯  40,074,9                  29,845,9    32,818,336        6.63%  23,082,168
    酚            64.47          7.94%      22.39            .44                      .11

    氧体        37,096,3                  20,780,3    31,917,413        6.44%  16,215,568
                    66.89          7.35%      84.49            .62                      .02

  2-氯吡啶      82,567,2                  79,942,5    58,361,189      11.78%  53,475,172
                    36.01        16.36%      78.20            .67                      .93

  其他产品      66,474,3                  81,757,2    45,992,202        9.29%  46,962,333
                    48.08        13.17%      01.21            .91                      .11

    合计        504,617,32      100.00%  370,050,93  495,286,44      100.00%  317,713,50
                      2.62                      5.20        0.12                      8.84

    报告期内,公司实现营业收入 50,461.73 万元,较上年同期增加 1.88%。公
 司积极开拓市场,充分发挥技术引领支撑作用,营业收入在外部环境的不利影响 下,仍取得稳步小幅增长。报告期内,公司营业成本为 37,005.09 万元,较上年 增长了 16.47%,主要系氯代吡啶产品销量增加导致营业成本增加。

    四、获取现金能力分析

    2023-2024 年,公司现金流量表明细如下:

                                                              单位:元

            项目                      2024 年                2023 年          同比增减


 经营活动现金流入小计                  239,658,532.41        268,834,883.64      -10.85%

 经营活动现金流出小计                  316,981,741.18        254,859,684.11      24.38%

 经营活动产生的现金流量净额            -77,323,208.77          13,975,199.53    -653.29%

 投资活动现金流入小计                1,297,670,639.17      1,139,501,690.09      13.88%

 投资活动现金流出小计                1,372,156,806.99      1,211,181,295.95      13.29%

 投资活动产生的现金流量净额            -74,486,167.82        -71,679,605.86        3.92%

 筹资活动现金流入小