新莱应材: 2025年度财务决算报告

来源:证券之星 2026-04-28 06:54:00
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昆山新莱洁净应用材料股份有限公司                                                  2025 年度财务决算报告
                 昆山新莱洁净应用材料股份有限公司
     昆山新莱洁净应用材料股份有限公司(以下简称“公司”)2025 年度财务决算报告已经编
制完成,现将具体内容汇报如下:
     一、2025 年度公司财务报表的审计情况
     公司 2025 年度财务报表委托容诚会计师事务所审计,经审计认为,本公司财务报表已经
按企业会计准则的规定编制,在所有重大方面公允反映了公司 2025 年 12 月 31 日的财务状况
以及 2025 年度的经营成果和现金流量。
     二、主要财务数据变动情况
            项目               年末数                 年初数              增减金额            增减比率
营业总收入                     2,997,713,013.96   2,849,010,699.66   148,702,314.30     5.22%
营业利润                       197,626,484.90     269,379,299.40     -71,752,814.50   -26.64%
利润总额                       193,907,643.86     261,385,900.65     -67,478,256.79   -25.82%
归属于上市公司股东净利润               175,062,842.87     226,343,097.57     -51,280,254.70   -22.66%
归属于上市公司股东的扣除非经常性损益的净利润     175,672,871.49     226,638,128.81     -50,965,257.32   -22.49%
基本每股收益(元/股)                          0.44               0.56              -0.12   -21.43%
扣除非经常性损益后的基本每股收益(元/股)                                   0.56              -0.12   -21.43%
经营活动产生的现金流量净额              219,165,613.09     426,119,765.75    -206,954,152.66   -48.57%
每股经营活动产生的现金流量净额                      0.54               1.04              -0.51   -48.57%
总资产                       5,663,383,720.51   5,086,005,685.42   577,378,035.09     11.35%
负债总额                      3,559,803,120.51   3,129,206,397.43   430,596,723.08    13.76%
资产负债率(%)                          62.86%             61.53%                        1.33%
加权平均净资产收益率(%)                       8.65%            12.05%                        -3.40%
扣除非经常性损益后的加权平均净资产收益率(%)             8.68%            12.07%                        -3.39%
归属于上市公司的股东所有者权益           2,095,784,618.01   1,948,659,293.80   147,125,324.21     7.55%
股本                         407,806,752.00     407,806,752.00               0.00    0.00%
归属于上市公司股东的每股净资产(元/股)                 5.14               4.78               0.36    7.55%
昆山新莱洁净应用材料股份有限公司                                              2025 年度财务决算报告
  三、资产、负债和所有者权益情况
          项目         年末数                 年初数             增减金额             增减比率
 流动资产:
  货币资金              445,373,719.26     533,381,794.66    -88,008,075.40    -16.50%
  交易性金融资产                     0.00         165,936.22       -165,936.22   -100.00%
  应收票据               79,175,464.63     104,209,806.92    -25,034,342.29    -24.02%
  应收账款              839,740,306.32     792,200,343.94     47,539,962.38     6.00%
  应收款项融资             12,962,691.48      18,210,293.34     -5,247,601.86    -28.82%
  预付款项               26,263,528.34      32,566,535.67     -6,303,007.33    -19.35%
  其他应收款              12,726,460.36      15,783,556.79     -3,057,096.43    -19.37%
  存货               1,648,437,452.74   1,548,675,201.14    99,762,251.60     6.44%
  合同资产                6,462,995.66        7,144,186.79      -681,191.13     -9.53%
  其他流动资产             45,550,282.91      22,657,114.19     22,893,168.72   101.04%
 流动资产合计            3,116,692,901.70   3,074,994,769.66    41,698,132.04     1.36%
 非流动资产:
  长期应收款              11,803,481.13      12,451,123.46       -647,642.33     -5.20%
  长期股权投资            171,802,342.66                       171,802,342.66   100.00%
  其他权益工具投资           31,990,000.00      31,209,800.00       780,200.00      2.50%
  投资性房地产             31,122,261.67      33,266,180.00     -2,143,918.33     -6.44%
  固定资产             1,442,891,681.36   1,192,496,313.53   250,395,367.83    21.00%
  在建工程              199,501,958.17     231,393,027.39    -31,891,069.22    -13.78%
  使用权资产              25,558,133.95      29,702,523.22     -4,144,389.27    -13.95%
  无形资产              166,972,069.48     167,855,669.36       -883,599.88     -0.53%
  商誉                120,320,174.46     120,320,174.46              0.00     0.00%
  长期待摊费用              7,327,737.32        9,045,144.99    -1,717,407.67    -18.99%
  递延所得税资产            60,030,323.36      47,703,235.15     12,327,088.21    25.84%
 其他非流动资产            277,370,655.25     135,567,724.20    141,802,931.05   104.60%
 非流动资产合计           2,546,690,818.81   2,011,010,915.76   535,679,903.05    26.64%
 资产总计              5,663,383,720.51   5,086,005,685.42   577,378,035.09    11.35%
  流动负债:
  短期借款              715,158,967.08     675,359,670.44     39,799,296.64     5.89%
  应付票据              276,878,276.40     326,018,868.00    -49,140,591.60    -15.07%
  应付账款              771,017,412.64     569,057,483.78    201,959,928.86    35.49%
  预收款项                  228,544.67         971,953.10       -743,408.43    -76.49%
  合同负债              106,535,553.51     139,181,329.71    -32,645,776.20    -23.46%
  应付职工薪酬             58,015,692.12      47,376,741.41     10,638,950.71    22.46%
  应交税费               21,924,686.40      42,890,272.04    -20,965,585.64    -48.88%
  其他应付款              87,152,859.95       87,126,111.07        26,748.88     0.03%
  一年内到期的非流动负债       424,528,655.05     353,900,959.49     70,627,695.56    19.96%
 其他流动负债              83,958,321.61      86,712,177.07     -2,753,855.46     -3.18%
 流动负债合计            2,545,398,969.43   2,328,595,566.11   216,803,403.32     9.31%
  非流动负债:
昆山新莱洁净应用材料股份有限公司                                               2025 年度财务决算报告
  长期借款               885,679,091.95     667,860,685.32    217,818,406.63   32.61%
  租赁负债                22,504,368.27      27,253,580.29     -4,749,212.02   -17.43%
  长期应付款               72,798,165.14      83,932,729.36    -11,134,564.22   -13.27%
  递延收益                32,928,923.84      21,189,543.31     11,739,380.53   55.40%
 递延所得税负债                 493,601.88         374,293.04        119,308.84   31.88%
 非流动负债合计            1,014,404,151.08    800,610,831.32    213,793,319.76   26.70%
 负债合计               3,559,803,120.51   3,129,206,397.43   430,596,723.08   13.76%
  所有者权益:
  股本                 407,806,752.00     407,806,752.00              0.00    0.00%
  资本公积               376,770,909.70     376,770,909.70              0.00    0.00%
  减:库存股               53,594,346.61      53,594,346.61              0.00    0.00%
  其他综合收益               4,754,192.13        8,344,119.93    -3,589,927.80   -43.02%
  盈余公积                88,394,926.08      80,071,964.43      8,322,961.65   10.39%
  未分配利润             1,271,652,184.71   1,129,259,894.35   142,392,290.36   12.61%
  归属于母公司所有者权益合计     2,095,784,618.01   1,948,659,293.80   147,125,324.21    7.55%
 少数股东权益                7,795,981.99        8,139,994.19      -344,012.20    -4.23%
 所有者权益合计            2,103,580,600.00   1,956,799,287.99   146,781,312.01    7.50%
 负债和所有者权益总计         5,663,383,720.51   5,086,005,685.42   577,378,035.09   11.35%
 科目变动说明:
流入减少;
兑汇票结算减少;
额增加;
或贴现且资产负债表日尚未到期的应收票据减少;
用金减少;
品增加;
抵税额增加;
昆山新莱洁净应用材料股份有限公司                                                       2025 年度财务决算报告
安浦、上海洁翼投资;
达到预定可使用状态转入固定资产及机器设备增加所致;
抵消的递延所得税资产增加;
工程和设备采购款增加;
材料采购款增加;
规模下降;
及所得税减少;
款,满足公司经营发展资金需求;
关的政府补助增加。
     四、现金流量表分析
         项目            本期数                   上期数               增减金额             增减比率
经营活动产生的现金流量净额         219,165,613.09        426,119,765.75    -206,954,152.66     -48.57%
投资活动产生的现金流量净额         -600,451,922.48       -310,348,140.78   -290,103,781.70     93.48%
筹资活动产生的现金流量净额         415,365,102.65         -22,410,753.48   437,775,856.13     1953.42%
现金及现金等价物净增加额           32,559,759.90         93,816,731.19     -61,256,971.29     -65.29%
  科目变动说明:
         系本期销售商品、提供劳务收到的现金减少;
         系本期投资支付的现金增加;
         要系本期取得借款收到的现金增加。
昆山新莱洁净应用材料股份有限公司                                                   2025 年度财务决算报告
五、主要费用情况
  项目          本期数                上期数              增减金额                增减比率
销售费用           190,976,079.25    167,899,406.89    23,076,672.36           13.74%
管理费用           147,215,988.05    127,859,947.23    19,356,040.82           15.14%
研发费用           132,288,101.49    123,152,552.32     9,135,549.17             7.42%
财务费用             38,860,953.40    39,155,183.46      -294,230.06             -0.75%
  科目变动说明 :
         代理费等增加;
         办公费用等增加;
         成本增加。
                                           昆山新莱洁净应用材料股份有限公司董事会

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