安科瑞: 安科瑞2025年度财务决算报告

来源:证券之星 2026-03-28 01:02:59
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                        安科瑞电气股份有限公司
  公司 2025 年 12 月 31 日母公司及合并的资产负债表、2025 年度母公司及合并的利润表、2025 年
度母公司及合并的现金流量表、2025 年度母公司及合并的所有者权益变动表及相关报表附注已经天健
会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告。
  一、经营期主要财务数据
                                                                                               单位:元
营业收入(元)               1,094,239,051.69         1,063,354,362.87                    2.90%   1,122,153,496.98
归属于上市公司股东的净利润
(元)
归属于上市公司股东的扣除非
经常性损益的净利润(元)
经营活动产生的现金流量净额
(元)
基本每股收益(元/股)                           0.86                    0.80                 7.50%                0.95
稀释每股收益(元/股)                           0.86                    0.80                 7.50%                0.95
加权平均净资产收益率                        10.25%                 12.63%                   -2.38%             16.46%
资产总额(元)               2,704,026,151.51         1,833,830,264.10                   47.45%   1,735,022,436.93
归属于上市公司股东的净资产
(元)
  二、财务状况、经营成果和现金流量情况分析
                                                                                               单位:元
                                                                         比重增
                               占总资                              占总资                        重大变动说明
               金额                                金额                       减
                               产比例                              产比例
                                                                                    系本期收到定向募集资金
货币资金        644,911,130.05     23.85%        429,909,782.15     23.44%    0.41%
                                                                                    所致。
应收账款        191,702,434.81      7.09%        178,220,145.49      9.72%   -2.63%
存货          133,399,423.73      4.93%        145,313,818.70      7.92%   -2.99%
固定资产        186,971,409.25      6.91%        200,473,978.90     10.93%   -4.02%
                                                                                    系本期研发总部大楼项目
在建工程        144,172,674.92      5.33%         52,850,226.64      2.88%    2.45%
                                                                                    款增加所致。
                                                                                    系本期预收客户款增加所
合同负债         40,082,324.12      1.48%         30,361,378.50      1.66%   -0.18%
                                                                                    致
                                                                                    系本期银行理财产品购买
交易性金融资产   1,024,385,832.45     37.88%        417,046,122.70     22.74%   15.14%
                                                                                    增加所致。
                                                                                    系本期供应商采购预付款
预付款项          7,482,226.73      0.28%          3,993,696.24      0.22%    0.06%
                                                                                    增加所致。
其他应收款         2,350,141.70      0.09%          7,056,856.58      0.38%   -0.29%     系本期收回土地履约保证
                                                                                   金所致。
                                                                                   系本期研发支出资本化所
 开发支出             2,029,591.93   0.08%                 0.00    0.00%       0.08%
                                                                                   致。
                                                                                   系本期完工转入长期待摊
 长期待摊费用           3,981,088.45   0.15%         7,459,957.83    0.41%      -0.26%
                                                                                   费用的项目减少所致。
                                                                                   系预付长期资产购置款增
 其他非流动资产          6,288,062.35   0.23%         4,190,964.59    0.23%       0.00%
                                                                                   加所致。
                                                                                   系第四期员工持股计划未
 其他应付款            4,977,291.56   0.18%        36,369,838.23    1.98%      -1.80%
                                                                                   解锁,本期冲减所致。
                                                                                   系本期收到定向募集资
 资本公积           896,869,823.58   33.17%      122,793,163.08    6.70%      26.47%
                                                                                   金,增加资本公积所致。
                                                                                   系本期回购公司股份所
 库存股            84,200,129.00    3.11%        31,726,000.00    1.73%       1.38%
                                                                                   致。
                                                                                   主要系其他权益工具投资
 其他综合收益         -3,813,198.08    -0.14%       -2,273,556.43   -0.12%      -0.02%
                                                                                   公允价值变动所致。
                                                                                   主要系本报告期内计提安
 专项储备             5,952,130.08   0.22%         4,368,692.06    0.24%      -0.02%
                                                                                   全生产费所致。
                                                                                   主要系本报告期内收到少
 少数股东权益             986,852.39   0.04%           628,447.18    0.03%       0.01%
                                                                                   数股东投资款所致。
                                                                                           单位:元
           项目                        2025 年末                   2024 年末                本年比上年增减(%)
  股本                                      250,784,655.00        214,716,125.00               16.80%
  资本公积                                    896,869,823.58        122,793,163.08              630.39%
  库存股                                      84,200,129.00         31,726,000.00              165.40%
  其他综合收益                                   -3,813,198.08         -2,273,556.43              -67.72%
  盈余公积                                    130,519,723.86        113,061,724.69               15.44%
  未分配利润                              1,047,306,720.61           959,545,908.74                9.15%
  归属于母公司所有者权益合计                      2,243,419,726.05         1,380,486,057.14               62.51%
  少数股东权益                                      986,852.39            628,447.18               57.03%
       所有者权益合计                       2,244,406,578.44         1,381,114,504.32               62.51%
                                                                                           单位:元
          项目                         2025 年末                    2024 年末                本年比上年增减(%)
一、营业总收入                             1,094,239,051.69            1,063,354,362.87               2.90%
其中:营业收入                             1,094,239,051.69            1,063,354,362.87               2.90%
二、营业总成本                               927,021,397.47              924,103,258.32               0.32%
其中:营业成本                               585,951,342.02              588,385,799.78              -0.41%
    税金及附加                                  9,449,431.32                9,602,324.81           -1.59%
    销售费用                              146,714,520.66              147,122,478.22              -0.28%
    管理费用                                  72,257,474.70            64,277,486.13              12.41%
    研发费用                              118,598,821.83              116,356,107.12               1.93%
    财务费用                                  -5,950,193.06            -1,640,937.74            -262.61%
 加:其他收益                      32,674,308.01       34,462,090.17       -5.19%
     投资收益(损失以“-”号填列)         19,385,456.46       13,263,532.84       46.16%
   公允价值变动收益(损失以
“-”号填列)
     信用减值损失(损失以“-”号填
                             -3,262,398.00       -2,237,736.69       45.79%
列)
     资产减值损失(损失以“-”号填
                               -224,384.01         -610,943.21      -63.27%
列)
     资产处置收益(损失以“-”号填
                                  -31,813.29      1,905,075.20     -101.67%
列)
三、营业利润(亏损以“-”号填列)           218,098,533.14      186,571,545.56       16.90%
 加:营业外收入                          36,984.36          51,107.96      -27.63%
 减:营业外支出                          528,116.74        868,791.77      -39.21%
四、利润总额(亏损总额以“-”号填
列)
 减:所得税费用                     12,577,480.62       16,080,820.34      -21.79%
五、净利润(净亏损以“-”号填列)           205,029,920.14      169,673,041.41       20.84%
六、其他综合收益的税后净额                -1,539,641.65       -2,852,773.86       46.03%
 归属母公司所有者的其他综合收益的
                             -1,539,641.65       -2,852,773.86       46.03%
税后净额
七、综合收益总额                    203,490,278.49      166,820,267.55       21.98%
 归属于母公司所有者的综合收益总额           203,631,873.28      166,977,540.80       21.95%
     报告期内,公司实现营业收入 109,423.91 万元,比上年同期增长 2.90%;实现归属于上市公司股
东的净利润 20,517.15 万元,比上年同期增长 20.81%;归属于上市公司股东的扣除非经常性损益的净
利润为 17,925.89 万元,比上年同期增长 18.89%。
     财务费用较上年同期减少 262.61%,主要系本期利息收入增加所致。
     投资收益较上年同期增长 46.16%,主要系本期理财产品收益增加所致。
     公允价值变动收益较上年同期增长 334.55%,主要系未到期的理财产品公允价值变动所致。
     信用减值损失较上年同期增长 45.79%,主要系本期计提的应收账款坏账准备增加所致。
     资产减值损失较上年同期减少 63.27%,主要系本期转回存货跌价准备所致。
     资产处置收益较上年同期减少 101.67%,主要系本期固定资产处置收益减少所致。
     营业外支出较上年同期减少 39.21%,主要系本期非流动资产毁损报废损失减少所致。
                                                                   单位:元
          项目             2025 年                2024 年             同比增减
 经营活动现金流入小计              1,191,316,749.87      1,175,349,346.06          1.36%
 经营活动现金流出小计                968,476,901.51        919,868,313.35          5.28%
 经营活动产生的现金流量净额             222,839,848.36        255,481,032.71       -12.78%
 投资活动现金流入小计                451,403,820.53        404,279,582.41        11.66%
 投资活动现金流出小计              1,090,760,641.14        462,297,949.81       135.94%
投资活动产生的现金流量净额      -639,356,820.61   -58,018,367.40         -1,001.99%
筹资活动现金流入小计         814,027,212.63        500,000.00         162,705.44%
筹资活动现金流出小计         184,622,644.21    87,197,770.76                111.73%
筹资活动产生的现金流量净额      629,404,568.42    -86,697,770.76               825.98%
现金及现金等价物净增加额       212,277,922.42    111,195,579.26               90.91%
 投资活动现金流出同比增加 135.94%,主要系本期银行理财产品购买增加所致。
 筹资活动现金流入同比增加 162705.44%,主要系本期收到定向募集资金所致。
 筹资活动现金流出同比增加 111.73%,主要系本期回购公司股份所致。
                                          安科瑞电气股份有限公司
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