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首页 公告 固高科技:2024年度财务决算报告

固高科技:2024年度财务决算报告

公告日期:2025-04-25


    一、2024 年度公司财务报表的审计情况

    公司 2024 年度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 日的财务状况以及 2024 年度的经营成果和
现金流量。公司 2024 年度财务报表已经政旦志远(深圳)会计师事务所(特殊普通合伙)审计,并出具了【政旦志远审字第 2500354 号】标准无保留意见的审计报告。现将公司 2024 年度财务报表反映的主要财务数据报告如下:
    二、2024 年度主要财务指标

          项目                    2024 年                2023 年          本年比上年增减

营业收入(元)              417,763,214.55        404,175,854.21        3.36%

归属于上市公司股东的净利润  50,237,348.15          51,364,685.59          -2.19%

(元)

归属于上市公司股东的扣除非  36,431,143.09          29,345,542.29          24.15%

经常性损益的净利润(元)

经营活动产生的现金流量净额  22,427,332.73          16,761,977.44          33.80%

(元)

基本每股收益(元/股)        0.13                  0.14                  -7.14%

稀释每股收益(元/股)        0.13                  0.14                  -7.14%

加权平均净资产收益率        3.82%                  5.59%                  -1.77%

项目                        2024 年末              2023 年末              本年末比上年末
                                                                            增减

资产总额(元)              1,548,444,923.68      1,375,746,590.91      12.55%

归属于上市公司股东的净资产  1,374,226,607.96      1,251,725,195.15      9.79%

(元)

    三、2024 年度财务状况

    (一)主要资产负债情况

      项目              期末余额          期初余额      变动比例        变动原因

货币资金            292,282,614.78      431,079,961.22  -32.20%    购买存单增加所致

应收票据            29,105,008.20      18,561,466.95    56.80%    票据回款增加所致


应收款项融资        50,376,243.74      14,724,913.13    242.12%    票据回款增加所致

其他应收款          1,840,625.77        1,084,061.63    69.79%    支付房租押金增加所致

合同资产            1,333,032.39        3,000,967.29    -55.58%    项目完结,款项收回所致

在建工程            2,984,676.49        626,322.63      376.54%    设备及工程未达可使用状
                                                                    态金额增加所致

使用权资产          17,841,254.73      4,032,370.87    342.45%    新增及续签租赁合同所致

递延所得税资产      6,973,703.94        3,979,320.27    75.25%    新增及续签租赁合同所致

其他非流动资产      129,564,236.03      1,942,683.30    6569.34%  购买一年期以上存单增加
                                                                    所致

短期借款            11,186,067.98      6,007,379.17    86.21%    子公司借款增加所致

合同负债            14,926,687.95      8,612,128.04    73.32%    预收货款增加所致

应交税费            5,849,395.96        11,423,523.27    -48.80%    主要系增值税及附加税变
                                                                    动所致

其他应付款          4,546,404.14        3,110,853.91    46.15%    预提费用增加所致

一年内到期的非流动  10,061,572.08      4,691,247.98    114.48%    新增及续签租赁合同所致
负债

其他流动负债        14,983,636.76      8,707,015.12    72.09%    未终止确认的已背书未到
                                                                    期承兑汇票增加所致

长期借款            6,888,370.00        1,946,000.00    253.98%    子公司借款增加所致

租赁负债            11,774,569.79      971,498.39      1,112.00  新增及续签租赁合同所致
                                                          %

预计负债            700,000.00          -                -          预提发明人奖励报酬所致

递延收益            7,148,800.41        5,082,962.86    40.64%    尚未确认政府补助增加所
                                                                    致

递延所得税负债      3,732,668.03        749,994.42      397.69%    新增及续签租赁合同所致

    (二)所有者权益变动情况

      项目              2024 年末          2024 年初    变动比例        变动原因

盈余公积            22,076,948.30      16,496,994.43    33.82%    母公司、伺创盈利增加所
                                                                    致

    四、经营成果

      项目              2024 年度        2023 年度    变动比例          变动原因

投资收益(损失以“-” 6,343,778.30      1,854,918.21    242.00%    主要系定期存单利息增加
号填列)                                                            所致

信用减值损失(损失以  -3,479,683.26      -6,010,581.52    -42.11%    回款增加所致

“-”号填列)


资产减值损失(损失以  -2,893,645.56      -5,442,797.58    -46.84%    存货跌价损失计提减少所
“-”号填列)                                                      致

所得税费用            6,468,995.35      3,199,439.27    102.19%    母公司、伺创盈利增加所
                                                                    致

    五、现金流量变化情况

        项目              2024 年度        2023 年度        变动比例        变动原因

收到的税费返还          6,225,433.48      9,088,187.95    -31.50%        本期收到即征即
                                                                            退退税减少所致

取得投资收益收到的现金  7,214,983.99      89.07            8,100,252.52%  购买定期存单增
                                                                            加所致

收到其他与投资活动有关  781,893,957.35    -                -              购买定期存单增
的现金                                                                      加所致

购建固定资产、无形资产和  18,496,672.70    9,384,845.11    97.09%        资产购置增加所
其他长期资产支付的现金                                                      致

投资支付的现金          3,000,000.00      12,199,350.77    -75.41%        对外投资减少所
                                                                            致

支付其他与投资活动有关  981,434,627.12    268,511,875.00  265.51%        购买定期存单增
的现金                                                                      加所致