和顺电气: 苏州工业园区和顺电气股份有限公司2025年度财务决算报告

来源:证券之星 2026-04-27 00:05:42
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             苏州工业园区和顺电气股份有限公司
  苏州工业园区和顺电气股份有限公司(以下简称“公司”或“和顺电气”)2025 年度财
务报表已经公证天业会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计
报告,现将财务决算情况报告如下:
  一、2025 年度主要财务指标
                                                                                    单位:元
   项目             2025 年             2024 年           本年比上年增减                  2023 年
营业收入(元)          365,370,845.34     428,125,850.78             -14.66%        338,383,058.55
归属于上市公司股
                 -46,883,173.15      -26,768,767.03            -75.14%           6,896,675.81
东的净利润(元)
归属于上市公司股
东的扣除非经常性         -47,627,347.44      -28,998,273.67            -64.24%           9,483,288.16
损益的净利润(元)
经营活动产生的现
                 -79,709,308.69      99,945,317.77            -179.75%         61,573,328.63
金流量净额(元)
基本每股收益(元/
                           -0.18              -0.11            -63.64%                   0.03
股)
稀释每股收益(元/
                           -0.18              -0.11            -63.64%                   0.03
股)
加权平均净资产收
                        -7.35%              -4.09%              -3.26%                 1.04%
益率
                                                      本年末比上年末增
                                                          减
资产总额(元)      1,146,652,071.50      1,069,673,254.79              7.20%       1,020,780,707.85
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
  (一)报告期末资产构成及变动情况
                                                                             单位:元
            项目                       2025 年 12 月 31 日      2025 年 1 月 1 日       增减变动
货币资金                                      168,773,869.03    231,631,403.67         -27.14%
交易性金融资产              142,197,977.20     135,124,205.49      5.24%
应收账款                 354,890,841.11     310,295,404.52     14.37%
应收款项融资                  3,198,380.60       5,003,977.87    -36.08%
预付款项                   10,396,311.11       4,440,249.07   134.14%
其他应收款                   5,584,909.97       2,292,909.20   143.57%
存货                   104,311,275.16      24,285,661.71    329.52%
其他流动资产                10,529,691.25        1,041,846.34   910.68%
流动资产合计               799,883,255.43     714,115,657.87     12.01%
长期股权投资                28,547,998.23      25,081,070.24     13.82%
投资性房地产                22,161,739.55      24,528,441.35      -9.65%
固定资产                 217,209,562.53     231,512,684.13      -6.18%
在建工程                     967,095.55         915,348.45      5.65%
使用权资产                 20,120,030.95      21,911,917.68      -8.18%
无形资产                    1,536,949.48       1,589,049.52     -3.28%
长期待摊费用                  6,205,475.19       5,911,128.84     4.98%
递延所得税资产               50,019,964.59      43,930,965.56     13.86%
其他非流动资产                           0         176,991.15    -100.00%
非流动资产合计              346,768,816.07     355,557,596.92      -2.47%
资产总计                1,146,652,071.50   1,069,673,254.79     7.20%
 (二)报告期末负债及所有者权益构成及变动情况
                                                     单位:元
       项目    2025 年 12 月 31 日     2025 年 1 月 1 日     增减变动
短期借款             62,000,000.00      59,000,000.00      5.08%
应付票据            170,115,279.43     113,440,967.14     49.96%
应付账款            244,046,099.01     198,312,981.11     23.06%
预收款项                606,903.13                0.00    100.00%
合同负债               1,493,643.99       3,975,411.70    -62.43%
应付职工薪酬             1,982,206.05       5,093,891.27    -61.09%
应交税费               1,510,751.56       4,972,578.20    -69.62%
其他应付款              5,205,633.04       3,492,004.27    49.07%
一年内到期的非流动负         1,589,635.43       1,729,158.91     -8.07%

其他流动负债              684,883.61         396,929.87     72.55%
流动负债合计          489,235,035.25     390,413,922.47     25.31%
租赁负债             14,258,744.41      15,236,315.47      -6.42%
递延收益               1,700,000.00        500,000.00     240.00%
递延所得税负债            4,965,452.57       5,301,617.14     -6.34%
非流动负债合计          20,924,196.98      21,037,932.61      -0.54%
负债合计            510,159,232.23     411,451,855.08     23.99%
股本              257,844,600.00     253,884,600.00      1.56%
资本公积               267549708.4     244,507,108.35      9.42%
盈余公积             32,666,073.92      32,666,073.92      0.00%
未分配利润            70,307,784.35     117,190,957.50     -40.01%
归属于母公司所有者权      628,368,166.62     648,248,739.77      -3.07%
益合计
少数股东权益             8,124,672.65       9,972,659.94    -18.53%
所有者权益合计         636,492,839.27     658,221,399.71      -3.30%
负债和所有者权益总计     1,146,652,071.50   1,069,673,254.79     7.20%
(三)报告期经营成果及变动情况
                                                        单位:元
        项目             2025 年度          2024 年度         增减变动
营业收入                  365,370,845.34   428,125,850.78     -14.66%
营业成本                  308,840,437.83   345,568,890.34     -10.63%
税金及附加                   2,552,631.22     4,651,873.58     -45.13%
销售费用                   27,879,376.86    25,887,127.32      7.70%
管理费用                   35,285,307.68    37,544,032.48      -6.02%
研发费用                   29,170,678.07    29,121,042.27      0.17%
财务费用                    1,986,474.64     1,724,723.07     15.18%
其他收益                    1,375,778.79     3,482,649.38     -60.50%
投资收益(损失以“-”号填列)         4,606,762.35     3,781,338.42     21.83%
公允价值变动收益(损失以“-”号填列)        73,771.71      124,205.49      -40.61%
信用减值损失(损失以“-”号填列)      -1,669,847.53      -247,118.13    575.73%
资产减值损失(损失以“-”号填列)     -15,006,573.90   -15,524,468.45      -3.34%
资产处置收益(损失以“-”号填列)           9,994.47         3,738.69    167.33%
营业外收入                    449,610.94       548,815.19      -18.08%
营业外支出                   2,928,023.63     1,278,072.71    129.10%
利润总额(亏损总额以“-”号填列)     -53,432,587.76   -25,480,750.40    -109.70%
 所得税费用                             -4,701,427.32      1,785,287.24      -363.34%
 净利润(净亏损以“-”号填列)               -48,731,160.44        -27,266,037.64      -78.72%
  (四)报告期现金流量及变化情况
                                                                           单位:元
      项目       2025 年                       2024 年                    增减变动
经营活动现金流入小计      374,730,239.80                487,454,697.01               -23.13%
经营活动现金流出小计      454,439,548.49                387,509,379.24                 17.27%
经营活动产生的现金流
                 -79,709,308.69                99,945,317.77              -179.75%
量净额
投资活动现金流入小计     1,091,445,633.08             1,225,273,652.31               -10.92%
投资活动现金流出小计     1,102,899,700.05             1,280,466,940.48               -13.87%
投资活动产生的现金流
                 -11,454,066.97               -55,193,288.17                 79.25%
量净额
筹资活动现金流入小计         92,087,600.00               77,000,000.00                 19.59%
筹资活动现金流出小计         77,655,591.07               89,375,509.53               -13.11%
筹资活动产生的现金流
量净额
现金及现金等价物净增
                 -76,731,366.73                32,376,520.07              -337.00%
加额
的货款增长所致;
货款增长所致。
                        苏州工业园区和顺电气股份有限公司董事会

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