贝斯特: 2025年度财务决算报告

来源:证券之星 2026-03-31 03:48:37
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             无锡贝斯特精机股份有限公司
   公司 2025 年 12 月 31 日资产负债表、2025 年度利润表、2025 年度现金流量
表及相关报表附注已经公证天业会计师事务所(特殊普通合伙)审计,并出具苏公
W[2026]A181 号标准无保留意见的审计报告。结合公司实际运营中的具体情况,
做了研究分析,现将公司有关财务决算情况汇报如下:
   报告期内,公司实现营业收入 150,394.20 万元,同比增长 10.82%;实现归
属于上市公司股东的净利润 27,800.72 万元,同比下降 3.72%;实现基本每股收
益 0.56 元,同比下降 3.45%。
  一、主要经营指标
                                                                 单位:万元
        项目                 2025 年              2024 年         同比增减
营业收入                   150,394.20             135,704.53       10.82%
营业利润                   31,288.39              32,703.22        -4.33%
归属于上市公司股东的净利润          27,800.72              28,874.97        -3.72%
扣除非经常性损益的净利润           26,095.58              26,271.93        -0.67%
基本每股收益(元)                   0.56                 0.58          -3.45%
资产负债率                      16.30%               16.80%         -0.50%
流动比率(倍)                     4.20                 4.59          -8.50%
速动比率(倍)                     3.44                 3.92          -12.24%
应收账款周转率(次)                  2.60                 2.92          -10.88%
  二、资产情况
                                                                 单位:万元
       项目                                         同比增减
货币资金           21,177.01       18,628.61           13.68%   5.40%       4.99%
交易性金融资产        54,660.83       75,508.35          -27.61%   13.94%   20.24%
应收票据           4,509.89            2,265.03        99.11%   1.15%       0.61%
应收账款           60,026.53       48,709.73           23.23%   15.30%   13.06%
应收款项融资         6,997.11            9,389.51       -25.48%   1.78%       2.52%
预付款项              1,370.98       1,065.93          28.62%       0.35%      0.29%
其他应收款              465.52         14.10         3201.48%        0.12%      0.00%
存货               31,514.91      27,057.51          16.47%       8.04%      7.25%
其他流动资产            4,352.22       3,910.41          11.30%       1.11%      1.05%
其他非流动金融资产         3,000.00        0.00             100.00%      0.76%      0.00%
长期股权投资            2,877.59       3,277.76          -12.21%      0.73%      0.88%
投资性房地产             290.30        319.99            -9.28%       0.07%      0.09%
固定资产             153,900.73     145,271.95         5.94%        39.24%    38.94%
在建工程             16,105.14      11,888.72          35.47%       4.11%      3.19%
无形资产             13,348.43      13,705.79          -2.61%       3.40%      3.67%
商誉                1,480.45       1,480.45          0.00%        0.38%      0.40%
递延所得税资产           5,565.55       4,078.31          36.47%       1.42%      1.09%
其他非流动资产          10,574.92       6,534.40          61.83%       2.70%      1.75%
资产总计             392,218.11     373,106.54         5.12%       100.00%    100.00%
     项目说明:
     三、负债情况
                                                                        单位:万元
                                                                占总负债比重
      项目     2025 年 12 月 31 日   2024 年 12 月 31 日     同比增减
应付票据             3,138.72                0.00        100.00%   4.91%     0.00%
应付账款             29,668.82          29,373.26         1.01%    46.41%    46.87%
合同负债             1,549.28            1,568.31         -1.21%   2.42%     2.50%
应付职工薪酬           4,405.57            3,823.12         15.23%   6.89%     6.10%
应交税费             2,173.07            3,732.78        -41.78%   3.40%     5.96%
其他应付款            2,039.18             552.29         269.22%   3.19%     0.88%
其他流动负债         1,134.46            1,598.06         -29.01%      1.77%     2.55%
预计负债             15.57              17.55           -11.29%      0.02%     0.03%
递延收益           17,183.51          18,552.24         -7.38%      26.88%     29.60%
递延所得税负债        2,622.34            3,457.94         -24.16%      4.10%     5.52%
负债合计           63,930.51          62,675.56          2.00%      100.00%   100.00%
     项目说明:
     四、所有者权益情况
                                                                          单位:万元
       项目                                     同比增减
股本              50,054.39      50,054.39        0.00%         15.25%       16.12%
资本公积            107,691.25     108,413.48       -0.67%        32.80%       34.92%
其他综合收益            309.74         15.53        1895.05%         0.09%       0.01%
专项储备              118.32         99.78          18.58%         0.04%       0.03%
盈余公积            20,236.11      16,994.58        19.07%         6.16%       5.47%
未分配利润           149,877.80     133,827.84       11.99%        45.65%       43.11%
少数股东权益             0.00         1,025.38      -100.00%         0.00%       0.33%
所有者权益合计         328,287.59     310,430.98       5.75%         100.00%     100.00%
     项目说明:
致。
     五、经营情况:
                                                                          单位:万元
                                                                           同比增减
       项目           2025 年          2024 年               增减额
                                                                             率
营业收入              150,394.20       135,704.53            14,689.67         10.82%
 营业成本           100,412.04     88,614.22      11,797.82       13.31%
 税金及附加          2,088.27       1,817.67        270.60         14.89%
 销售费用            843.02         661.35         181.67         27.47%
 管理费用           11,473.69      10,815.46       658.23         6.09%
 研发费用           7,923.36       6,965.60        957.76         13.75%
 财务费用            311.89        -1,036.22      1,348.12       130.10%
 其他收益           3,629.18       3,145.26        483.92         15.39%
 投资收益           2,103.70       2,116.06        -12.37         -0.58%
 公允价值变动收益        -186.00        726.90        -912.90        -125.59%
 信用减值损失          -714.93        -268.10       -446.83        -166.67%
 资产减值损失          -878.20        -845.83        -32.37         -3.83%
 资产处置收益           -7.29         -37.53          30.24         80.58%
 营业外收入            31.17         15.61           15.56         99.68%
 营业外支出            64.79          8.67           56.12        646.94%
 所得税费用          3,442.77       3,819.57       -376.80         -9.86%
   项目说明:
   六、现金流量情况分析:
                                                            单位:万元
                                                               同比增减
        项目          2025 年        2024 年         增减额
                                                                  率
经营活动产生的现金流量净额      15,166.29     22,787.99      -7,621.70       -33.45%
投资活动产生的现金流量净额      -5,281.92     -13,120.32      7,838.40       59.74%
筹资活动产生的现金流量净额      -8,939.69     -7,756.32      -1,183.37       -15.26%
汇率变动对现金的影响          -189.33        412.14        -601.47       -145.94%
现金及现金等价物净增加额        755.34        2,323.48      -1,568.14       -67.49%
     项目说明:
项税费增加所致。
致。
量净额减少所致。
                              无锡贝斯特精机股份有限公司

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