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首页 公告 元祖股份:元祖股份2024年度财务决算报告

元祖股份:元祖股份2024年度财务决算报告

公告日期:2025-03-26


              上海元祖梦果子股份有限公司

                上海元祖梦果子股份有限公司

                      2024 年财务决算报告

        公司 2024 年度会计报表已经毕马威华振会计师事务所(特殊普通合伙)审计,

    并出具了毕马威华振审字第 2500761 号标准无保留意见的审计报告。

    一、主要财务数据

          2024 年度,公司实现营业收入 231,370.80 万元,比上年同期下降 12.99%;截

      至 2024 年 12 月 31 日,公司资产总额 305,717.52 万元,比上年同期下降 9,487.32

      万元,下降 3.01%;报告期内,公司现金及现金等价物净增加额 21,880.18 万元。

      主要财务指标如下:

          注:以上财务数据均为本公司的合并报表数据

                                                                单位:万元  币种:人民币

          项目          本报告期          上年同期        增减变动额      增减变动幅度(%)

        营业收入          231,370.80        265,910.20        -34,539.40            -12.99

        营业成本            84,837.72        100,902.90        -16,065.18            -15.92

          净利润            24,875.45        27,632.29        -2,756.84              -9.98

          项目              2024 年末          2023 年末    增减变动额      增减变动幅度

        资产总额          305,717.52        315,204.84        -9,487.32              -3.01

      股东权益总额        165,668.08        166,058.57          -390.49              -0.24

    二、财务状况、经营成果和现金流量情况分析

    (一)财务状况

        截止 2024 年 12 月 31 日,公司资产总额 305,717.52 万元,比上年同期下降

    9,487.32 万元,下降 3.01%。主要为销售的下滑导致现金流较同期下降所致。

        公司负债总额 140,049.44 万元,比上年同期下降 9,096.83 万元,主要为合同负

    债下降较上年末下降所致。

        公司股东权益 165,668.08 万元,比上年同期下降 0.24%,基本持平。

                                                                单位:万元  币种:人民币

                              本报告期                上年同期          增减变动  增减变动
项目                                  占总资产              占总资产      金额    幅度(%)
                            金额      比例(%)      金额      比例(%)


              上海元祖梦果子股份有限公司

货币资金                  54,091.10      17.69  31,759.05    10.08    22,332.05    70.32

交易性金融资产            102,058.28      33.38  132,288.31    41.97  -30,230.03    -22.85

应收账款                    9,287.86      3.04    6,934.76      2.20    2,353.10    33.93

预付款项                      408.17      0.13      249.97      0.08      158.20    63.29

其他应收款                  2,961.75      0.97    2,977.28      0.94      -15.53    -0.52

存货                        3,451.63      1.13    3,720.66      1.18      -269.03    -7.23

其他流动资产                4,193.28      1.37    3,302.88      1.05      890.40    26.96

流动资产合计              176,452.06      57.72  181,232.92    57.50    -4,780.86    -2.64

长期股权投资              40,914.54      13.38  43,773.28    13.89    -2,858.74    -6.53

其他非流动金融资产        1,996.75      0.65    1,385.10      0.44      611.65    44.16

投资性房地产                  893.14      0.29    1,061.48      0.34      -168.34    -15.86

固定资产                  29,619.01      9.69  31,939.95    10.13    -2,320.94    -7.27

在建工程                    2,347.01      0.77      947.45      0.30    1,399.56    147.72

使用权资产                35,909.96      11.75  37,339.58    11.85    -1,429.62    -3.83

无形资产                    1,192.76      0.39    1,431.52      0.45      -238.76    -16.68

长期待摊费用              14,507.34      4.75  13,983.48      4.44      523.86      3.75

递延所得税资产              1,625.36      0.53    1,778.35      0.56      -152.99    -8.60

其他非流动资产                259.58      0.08      331.74      0.11      -72.16    -21.75

非流动资产合计            129,265.46      42.28  133,971.92    42.50    -4,706.46    -3.51

资产总计                  305,717.52    100.00  315,204.84    100.00    -9,487.32    -3.01

应付账款                    8,795.35      2.88  10,933.34      3.47    -2,137.99    -19.55

合同负债                  75,508.45      24.70  83,510.68    26.49    -8,002.23    -9.58

应付职工薪酬                6,788.50      2.22    8,207.75      2.60    -1,419.25    -17.29

应交税费                    1,993.88      0.65    1,110.07      0.35      883.81    79.62

其他应付款                12,242.84      4.00  10,955.08      3.48    1,287.76    11.75

一年内到期的非流动负      15,433.00      5.05  13,837.13      4.39    1,595.87    11.53


流动负债合计              120,762.03      39.50  128,554.05    40.78    -7,792.02    -6.06


              上海元祖梦果子股份有限公司

租赁负债                  18,341.95      6.00  19,572.26      6.21    -1,230.31    -6.29

递延收益                      652.98      0.21      697.88      0.22      -44.90    -6.43

递延所得税负债                292.48      0.10      322.08      0.10      -29.60    -9.19

非流动负债合计            19,287.41      6.31  20,592.22      6.53    -1,304.81    -6.34

负债合计                  140,049.44      45.81  149,146.27    47.32    -9,096.83    -6.10

实收资本(或股本)        24,000.00      7.85  24,000.00      7.61            -        -

资本公积                  50,602.31      16.55  51,488.25    16.33      -885.94    -1.72

其他综合收益                -146.89      -0.05      230.86      0.07      -377.75  -163.63

盈余公积                  14,863.68      4.86  14,863.68      4.72            -        -

未分配利润                76,290.52      24.95  75,414.90    23.93      875.62      1.16

归属于母公司所有者权    165,609.62      54.17  165,997.70    52.66      -388.08    -0.23
益(或股东权益)合计

少数股东权益                  58.46