聚杰微纤: 2025年度财务决算报告

来源:证券之星 2026-04-27 00:28:07
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          江苏聚杰微纤科技集团股份有限公司
  江苏聚杰微纤科技集团股份有限公司(以下简称“公司”)2025 年度财务报表经天
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,现将公司
  一、2025 年度公司主要会计数据和财务指标
  (一)2025 年主要会计数据
                                                            单位:元
         项目              2025 年度            2024 年度         同比增减
       营业总收入           577,457,512.21     599,525,554.01    -3.68%
       营业总成本           510,686,990.50     522,201,104.22    -2.20%
 营业利润(净亏损以“-”号填列)      66,817,584.35      74,407,651.24     -10.20%
 利润总额(净亏损以“-”号填列)      66,490,142.99      73,280,616.11     -9.27%
 净利润(净亏损以“-”号填列)       57,341,297.04      64,800,215.91     -11.51%
归属于母公司股东的净利润(净亏损以
     “-”号填列)
少数股东损益(净亏损以“-”号填列)      1,157,369.50       350,705.08       230.01%
扣除非经常性损益后归属于母公司股
      东的净利润
  经营活动产生的现金流量净额        118,755,179.95     88,211,768.63     34.63%
        资产总额          1,024,512,998.66   1,019,697,481.30   0.47%
        负债总额           148,672,794.31     139,835,944.16    6.32%
     实收资本(或股本)         149,205,000.00     149,205,000.00    0.00%
    归属于母公司所有者权益        871,527,997.64     876,706,699.93    -0.59%
  报告期内,公司实现营业收入 57,745.75 万元,较上年同期减少了 2,206.80 万元,
同比减少 3.68%;利润总额 6,649.01 万元,较上年同期减少 9.27%,归属于母公司股东
的净利润 5,618.39 万元,较上年同期减少 826.56 万元,同比减少 12.82%。主要因为
系营业收入下降、财务费用增加影响所致。
 (二)2025 年主要财务指标
             项目                                2025 年度                 2024 年度
          流动比率(倍)                                    3.72                   4.02
          速动比率(倍)                                    2.95                   3.06
         资产负债率(合并)                               14.11%                    13.71%
         应收账款周转率(次)                                  5.19                   5.43
          存货周转率(次)                                   3.62                   3.66
   每股经营活动的现金流量(元/股)                                  0.80                   0.59
        每股净现金流量(元/股)                             -0.55                     -0.21
  归属于公司股东的每股净资产(元/股)                                 5.84                   5.88
 二、2025 年度主要财务状况
 (一)资产状况
                                                                              单位:元
   项目      2025 年 12 月 31 日    2024 年 12 月 31 日              变动额            变动比率
 流动资产:
  货币资金       198,005,165.21      280,044,039.70        -82,038,874.49        -29.29%
交易性金融资产      100,000,000.00                            100,000,000.00         不适用
  应收账款        99,216,058.84      109,578,413.33        -10,362,354.49         -9.46%
 应收款项融资        5,704,921.64           4,288,434.78          1,416,486.86      33.03%
  预付款项        10,497,086.47           3,217,127.70          7,279,958.77     226.29%
 其他应收款         9,209,228.82           5,094,895.13          4,114,333.69      80.75%
   存货         96,027,950.14      122,706,095.67        -26,678,145.53        -21.74%
 其他流动资产           315,601.86            419,721.25          -104,119.39      -24.81%
 流动资产合计      518,976,012.98      525,348,727.56         -6,372,714.58         -1.21%
 非流动资产:
 长期股权投资       65,194,247.75       55,128,564.34         10,065,683.41         18.26%
其他权益工具投资      17,072,069.29       18,000,000.00             -927,930.71       -5.16%
 投资性房地产       38,470,991.02                             38,470,991.02         不适用
  固定资产       313,845,215.34      385,438,848.78        -71,593,633.44        -18.57%
  在建工程        26,382,937.95           2,419,123.91      23,963,814.04        990.60%
  无形资产        38,505,747.19       25,056,538.18         13,449,209.01         53.68%
   商誉
 长期待摊费用
递延所得税资产        4,803,269.92           5,675,782.87          -872,512.95      -15.37%
      项目        2025 年 12 月 31 日     2024 年 12 月 31 日           变动额           变动比率
    其他非流动资产         1,262,507.22            2,629,895.66     -1,367,388.44     -51.99%
    非流动资产合计       505,536,985.68       494,348,753.74        11,188,231.94       2.26%
     资产总计       1,024,512,998.66     1,019,697,481.30         4,815,517.36       0.47%
     (二)负债状况
                                                                                单位:元
      项目      2025 年 12 月 31 日     2024 年 12 月 31 日          变动额           变动比率
   流动负债:
   短期借款          24,939,569.45        24,962,500.01           -22,930.56      -0.09%
   应付票据          25,772,340.55        28,717,154.65        -2,944,814.10     -10.25%
   应付账款          68,240,843.03        54,790,456.69        13,450,386.34      24.55%
   预收款项             125,930.28              49,449.54          76,480.74     154.66%
   合同负债           1,566,912.45         2,065,313.35         -498,400.90      -24.13%
   应付职工薪酬        13,092,269.54        12,953,291.60           138,977.94       1.07%
   应交税费           4,487,242.26         5,825,944.44        -1,338,702.18     -22.98%
   其他应付款          1,355,282.93         1,137,235.76           218,047.17      19.17%
   其他流动负债            69,958.75           165,880.51           -95,921.76     -57.83%
   流动负债合计       139,650,349.24       130,667,226.55         8,983,122.69       6.87%
   非流动负债:
   递延收益           9,022,445.07         9,168,717.61         -146,272.54       -1.60%
   非流动负债合计        9,022,445.07         9,168,717.61         -146,272.54       -1.60%
   负债合计         148,672,794.31       139,835,944.16         8,836,850.15       6.32%
     (三)2025 年度现金流状况
                                                                                单位:元
      项目                2025 年度              2024 年度              变动额              变动比率
一、经营活动产生的现金流量净额       118,755,179.95        88,211,768.63      30,543,411.32             34.63%
二、投资活动产生的现金流量净额      -139,603,044.23     -48,814,984.09       -90,788,060.14             185.98%
      项目            2025 年度             2024 年度           变动额           变动比率
一、经营活动产生的现金流量净额   118,755,179.95       88,211,768.63   30,543,411.32            34.63%
三、筹资活动产生的现金流量净额   -59,833,398.33   -72,210,600.81      12,377,202.48        -17.14%
四、汇率变动对现金及现金等价物
                   -1,822,867.14        1,362,102.31   -3,184,969.45       -233.83%
的影响
五、现金及现金等价物净增加额    -82,504,129.75   -31,451,713.96      -51,052,415.79       162.32%
加:期初现金及现金等价物余额    280,007,294.96   311,459,008.92      -31,451,713.96       -10.10%
六、期末现金及现金等价物余额    197,503,165.21   280,007,294.96      -82,504,129.75       -29.46%
                                           江苏聚杰微纤科技集团股份有限公司
                                                                        董事会

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