豪鹏科技: 2025年度财务决算报告

来源:证券之星 2026-04-02 22:12:14
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             深圳市豪鹏科技股份有限公司
     一、2025 年度公司财务报表的审计情况
     深圳市豪鹏科技股份有限公司(以下简称“豪鹏科技”或“公司”)2025
年财务报表已经信永中和会计师事务所(特殊普通合伙)审计,出具了标准无保
留意见的审计报告。会计师的审计意见是:财务报表在所有重大方面按照企业会
计准则的规定编制,公允反映了豪鹏科技 2025 年 12 月 31 日的合并及母公司财
务状况以及 2025 年度的合并及母公司经营成果和现金流量。
     二、财务状况、经营成果和现金流量情况
     (一)报告期资产构成情况
                                                             单位:元
       项目      2025 年 12 月 31 日       2024 年 12 月 31 日       同比变动
货币资金               1,196,066,329.65       1,060,045,728.07    12.83%
衍生金融资产                  798,453.16          11,659,074.40     -93.15%
应收票据                124,160,613.16         217,383,200.29     -42.88%
应收账款               1,291,062,055.95       1,418,802,675.14     -9.00%
应收款项融资               87,200,275.37          28,689,546.77    203.94%
预付款项                131,105,432.47          19,664,490.44    566.71%
其他应收款                64,198,826.55          55,884,736.44     14.88%
存货                  740,430,281.14         864,351,663.39     -14.34%
其他流动资产              232,718,385.66         407,418,118.18     -42.88%
流动资产合计             3,867,740,653.11       4,083,899,233.12     -5.29%
长期股权投资               52,225,132.51          45,555,278.90     14.64%
其他非流动金融资产            72,979,299.91          52,987,184.96     37.73%
投资性房地产                 1,302,188.03           1,462,241.33    -10.95%
固定资产               3,906,059,155.68       3,496,252,160.93    11.72%
在建工程                213,181,041.17         675,682,350.67     -68.45%
使用权资产                49,344,819.91          53,631,933.58      -7.99%
无形资产                161,060,539.43         156,703,262.89      2.78%
开发支出                 25,846,305.95          16,109,014.69     60.45%
长期待摊费用               72,434,772.80          69,828,566.69      3.73%
递延所得税资产             125,049,200.40         121,340,805.11      3.06%
       项目     2025 年 12 月 31 日          2024 年 12 月 31 日       同比变动
其他非流动资产               1,734,526.66            21,134,015.57     -91.79%
非流动资产合计           4,681,216,982.45          4,710,686,815.32     -0.63%
资产总计              8,548,957,635.56          8,794,586,048.44     -2.79%
  (二)报告期负债构成情况
                                                               单位:元
        项目      2025 年 12 月 31 日         2024 年 12 月 31 日      同比变动
短期借款                   30,000,000.00          326,000,000.00    -90.80%
衍生金融负债                  5,131,674.88           15,001,538.18    -65.79%
应付票据                1,750,037,467.53        1,635,453,185.55     7.01%
应付账款                1,195,509,594.52        1,779,525,267.80    -32.82%
合同负债                   39,211,475.51           21,170,477.11    85.22%
应付职工薪酬               104,308,187.17           114,868,453.72     -9.19%
应交税费                   11,841,919.65           25,577,964.74    -53.70%
其他应付款                  96,916,562.95           94,805,202.21     2.23%
其中:应付利息                 1,543,133.11            1,462,935.61     5.48%
一年内到期的非流动负债          140,576,575.71            35,572,203.56   295.19%
其他流动负债                 97,983,947.93          136,008,014.61    -27.96%
流动负债合计              3,471,517,405.85        4,183,982,307.48    -17.03%
长期借款                1,405,104,223.67        1,181,421,162.30    18.93%
应付债券                             0.00         870,193,594.43   -100.00%
租赁负债                   45,237,740.72           42,798,573.81     5.70%
长期应付职工薪酬                         0.00          17,949,048.16   -100.00%
递延收益                 109,933,466.66            62,944,261.97    74.65%
递延所得税负债                 7,104,268.23            8,781,119.19    -19.10%
非流动负债合计             1,567,379,699.28        2,184,087,759.86    -28.24%
负债合计                5,038,897,105.13        6,368,070,067.34    -20.87%
     (三)报告期股东权益构成情况
                                                             单位:元
       项目      2025 年 12 月 31 日        2024 年 12 月 31 日     同比变动
股本                   99,943,067.00         80,610,011.00       23.98%
其他权益工具                         0.00       260,870,051.74     -100.00%
资本公积              2,406,980,233.40      1,406,567,411.81       71.12%
减:库存股                39,448,867.27        196,201,495.65      -79.89%
其他综合收益              -22,752,672.65        -23,309,511.82        2.39%
盈余公积                 28,735,909.81         20,690,885.65       38.88%
未分配利润             1,036,602,860.14        877,288,628.37       18.16%
归属于母公司所有者权
益合计
所有者权益合计           3,510,060,530.43      2,426,515,981.10       44.65%
     (四)报告期损益构成情况
                                                             单位:元
        项目           2025 年度              2024 年度           同比变动
营业总收入               5,866,522,544.05     5,108,451,138.94     14.84%
营业成本                4,706,024,078.30     4,177,352,940.89     12.66%
税金及附加                  35,521,130.57       36,919,977.87       -3.79%
销售费用                  142,566,483.72      125,234,798.21      13.84%
管理费用                  312,313,861.98      324,045,375.98       -3.62%
研发费用                  322,734,490.61      300,873,307.04       7.27%
财务费用                   93,887,986.28       51,366,223.25      82.78%
其他收益                   22,249,038.88       22,737,078.72       -2.15%
投资收益                   16,907,759.43         -632,930.97     2771.34%
公允价值变动收益(损失以
                      -16,157,750.70         -676,258.48    -2289.29%
“-”号填列)
信用减值损失(损失以“-”号
                      -14,983,341.98        -1,313,268.95   -1040.92%
填列)
资产减值损失(损失以“-”号
                      -46,493,796.50       -44,614,186.71      -4.21%
填列)
资产处置收益(损失以“-”号
填列)
营业利润                  215,020,333.94       65,655,377.54     227.50%
营业外收入                   1,478,152.67         4,603,682.97     -67.89%
        项目       2025 年度            2024 年度           同比变动
营业外支出              4,673,024.28        3,720,665.88       25.60%
利润总额             211,825,462.33      66,538,394.63     218.35%
所得税费用              8,750,611.31      -24,715,436.03    135.41%
净利润              203,074,851.02      91,253,830.66     122.54%
归属于母公司股东的净利润     203,074,851.02      91,253,830.66     122.54%
  (五)报告期现金流量情况
                                                       单位:元
        项目       2025 年度            2024 年度           同比增减
经营活动产生的现金流量净额    756,690,939.42     468,725,772.18        61.44%
投资活动产生的现金流量净额   -580,564,401.36   -1,151,233,142.36       49.57%
筹资活动产生的现金流量净额    -31,555,761.41    -154,930,622.60        79.63%
                                  深圳市豪鹏科技股份有限公司
                                               董事会

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