安宁股份: 2025年度财务决算报告

来源:证券之星 2026-04-25 03:36:30
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        四川安宁铁钛股份有限公司
   一、2025 年度公司财务报表审计情况
   四川安宁铁钛股份有限公司(以下简称“公司”)2025
年度财务报表已经信永中和会计师事务所(特殊普通合伙)
审计,并于 2026 年 4 月 23 日出具标准无保留意见的《审计
报告》。会计师的审计意见是:公司报表在所有重大方面按
照企业会计准则的规定编制,公允反映了安宁股份公司 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、2025 年度主要财务数据、指标
                                                     单位:万元
          项目             2025 年度        2024 年度      变动幅度
营业收入                     200,874.37     185,702.77   8.17%
归属于上市公司股东的净利润             71,995.98     85,162.95    -15.46%
归属于上市公司股东的扣除非经常性损益的净利润    72,933.86     85,194.83    -14.39%
经营活动产生的现金流量净额            118,596.69     118,382.57   0.18%
基本每股收益(元/股)                1.5283        2.1282      -28.19%
稀释每股收益(元/股)                1.5283        2.1282      -28.19%
加权平均净资产收益率                  8.63%        13.61%      -4.98%
          项目             2025 年末        2024 年末      变动幅度
资产总额                     1,684,581.01   949,419.85   77.43%
归属于上市公司股东的净资产            862,191.08     814,063.33   5.91%
   三、财务状况、经营成果和现金流量情况
  (一) 资产情况
                                                                                         单位:元
     项目                          2024 年 12 月 31 日                增减金额                   变动幅度
                   日
货币资金         1,999,558,901.75       3,819,200,375.36       -1,819,641,473.61               -47.64%
交易性金融资产       179,000,000.00              99,000,000.00          80,000,000.00             80.81%
应收票据           70,025,302.24              74,535,476.61           -4,510,174.37             -6.05%
应收账款           25,965,671.67              52,693,013.58          -26,727,341.91            -50.72%
应收款项融资         15,900,630.78          255,944,689.03         -240,044,058.25               -93.79%
预付款项           18,219,719.23              16,610,185.17           1,609,534.06              9.69%
其他应收款          71,535,384.99               6,990,241.16          64,545,143.83            923.36%
存货           1,439,606,780.24             85,606,530.25     1,354,000,249.99              1581.66%
其他流动资产        247,744,729.91          289,983,560.12             -42,238,830.21            -14.57%
流动资产合计       4,067,557,120.81       4,700,564,071.28         -633,006,950.47              -13.47%
长期应收款          21,825,383.07                                     21,825,383.07
长期股权投资        206,964,263.31          268,951,724.66             -61,987,461.35            -23.05%
其他权益工具投资      715,919,558.49          715,919,558.49
固定资产         1,944,676,104.97       1,442,116,279.31         502,559,825.66                34.85%
在建工程         3,017,115,597.20         840,895,796.13        2,176,219,801.07              258.80%
使用权资产            2,276,441.25               189,413.17            2,087,028.08            1101.84%
无形资产         5,662,035,287.89         689,276,186.52        4,972,759,101.37              721.45%
长期待摊费用        211,089,029.91          280,523,428.66             -69,434,398.75            -24.75%
递延所得税资产        24,266,445.29              26,688,919.50           -2,422,474.21             -9.08%
其他非流动资产       972,084,825.71          529,073,094.36         443,011,731.35                83.73%
非流动资产合计     12,778,252,937.09       4,793,634,400.80        7,984,618,536.29              166.57%
  资产合计      16,845,810,057.90       9,494,198,472.08        7,351,611,585.82               77.43%
     (二) 负债情况
                                                                                         单位:元
       项目         2025 年 12 月 31 日          2024 年 12 月 31 日           增减金额              变动幅度
短期借款                    433,329,311.76          316,238,333.37        117,090,978.39       37.03%
应付票据                    147,072,308.99          129,725,628.53         17,346,680.46       13.37%
应付账款                    980,256,219.77          244,710,841.38        735,545,378.39      300.58%
合同负债                     74,403,777.97           50,158,921.73         24,244,856.24       48.34%
应付职工薪酬                  118,523,630.47           47,243,169.66         71,280,460.81      150.88%
应交税费                     57,938,047.78           67,925,307.21          -9,987,259.43      -14.70%
其他应付款                  1,642,859,531.98          67,572,265.26      1,575,287,266.72      2331.26%
一年内到期的非流动负债               5,670,978.53              110,516.38          5,560,462.15      5031.35%
其他流动负债                   20,733,009.45           44,433,672.57        -23,700,663.12       -53.34%
长期借款                   3,709,204,267.04         100,087,500.00      3,609,116,767.04      3605.96%
租赁负债                      1,052,131.63                                  1,052,131.63
长期应付款                   144,522,145.87                                144,522,145.87
预计负债                 160,898,507.32          88,561,583.49         72,336,923.83        81.68%
递延收益                 154,562,074.96         114,263,775.00         40,298,299.96        35.27%
递延所得税负债               25,108,607.67          33,050,940.33         -7,942,332.66       -24.03%
其他非流动负债              500,000,000.00                               500,000,000.00
合计                 8,176,134,551.19       1,304,082,454.91      6,872,052,096.28       526.96%
     (三) 所有者权益情况
                                                                                      单位:元
     项目   2025 年 12 月 31 日            2024 年 12 月 31 日               增减金额             变动幅度
股本             471,989,958.00                 471,989,958.00
资本公积          2,641,529,471.22              2,637,737,005.47          3,792,465.75       0.14%
  减:库存股         26,327,761.27                  26,327,761.27
专项储备           121,146,275.24                 128,082,969.91          -6,936,694.67     -5.42%
盈余公积           235,994,979.00                 235,994,979.00
未分配利润         5,177,577,849.34              4,693,156,131.33        484,421,718.01      10.32%
合计          8,621,910,771.53              8,140,633,282.44          481,277,489.09      5.91%
(四)经营成果情况
                                                                                      单位:元
     项目      2025 年度               2024 年度               增减金额                      变动幅度
营业收入       2,008,743,731.20      1,857,027,665.81        151,716,065.39                 8.17%
营业成本        757,298,980.73        664,275,279.25             93,023,701.48             14.00%
税金及附加        91,642,596.40         62,620,840.81             29,021,755.59             46.35%
销售费用           3,354,600.16           3,209,802.32             144,797.84               4.51%
管理费用        168,188,848.95        107,798,358.78             60,390,490.17             56.02%
研发费用         75,593,057.39         60,175,433.39             15,417,624.00             25.62%
财务费用            822,181.58         -17,387,046.93            18,209,228.51            104.73%
其他收益         17,848,729.88         18,388,477.43               -539,747.55              -2.94%
投资收益         -37,047,998.75        16,057,101.31         -53,105,100.06               -330.73%
其中:对联营企
业和合营企业的      -51,428,650.06           8,525,636.98       -59,954,287.04               -703.22%
投资收益
信用减值损失         2,077,008.50            -593,691.89            2,670,700.39            -449.85%
资产减值损失        -1,749,703.32           -2,542,357.75            792,654.43              -31.18%
资产处置收益
营业利润        892,971,502.30       1,007,644,527.29       -114,673,024.99               -11.38%
营业外收入           820,955.91              312,017.54             508,938.37             163.11%
营业外支出        16,779,412.33            2,862,230.96           13,917,181.37            486.24%
利润总额        877,013,045.88       1,005,094,313.87       -128,081,267.99               -12.74%
所得税费用       158,771,248.42        153,799,497.54              4,971,750.88              3.23%
净利润         718,241,797.46        851,294,816.33        -133,053,018.87               -15.63%
归属于母公司股
东的净利润
(五)现金流量情况
                                                                  单位:元
   项      目                2025 年度               2024 年度         变动幅度
经营活动现金流入小计              2,572,022,468.62      2,158,153,042.59    19.18%
经营活动现金流出小计              1,386,055,613.75        974,327,321.58    42.26%
经营活动产生的现金流量净额           1,185,966,854.87      1,183,825,721.01    0.18%
投资活动现金流入小计              1,077,935,572.58         99,126,855.23   987.43%
投资活动现金流出小计              8,037,761,975.27      1,606,982,323.94   400.18%
投资活动产生的现金流量净额          -6,959,826,402.69     -1,507,855,468.71   361.57%
筹资活动现金流入小计              4,740,032,198.10      2,233,302,934.16   112.24%
筹资活动现金流出小计                808,686,710.68        756,260,734.99     6.93%
筹资活动产生的现金流量净额           3,931,345,487.42      1,477,042,199.17   166.16%
汇率变动对现金及现金等价物
的影响
现金及现金等价物净增加额           -1,837,979,326.70      1,150,029,107.68   -259.82%
                                     四川安宁铁钛股份有限公司
                                                     董事会

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