*ST亚振: 关于前期会计差错更正的报表影响项目及更正后的财务报表

来源:证券之星 2026-06-29 21:20:03
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              亚振家居股份有限公司
关于前期会计差错更正报表影响项目及更正后的财务报表
  亚振家居股份有限公司(以下简称“公司”)于 2026 年 4 月 30 日披露了《关
于前期会计差错更正及追溯调整的公告》(公告编号:2026-031),对公司 2024
年度的合并及母公司财务报表进行更正及追溯调整。
  受相关追溯调整的滚动影响及板式家具业务收入确认方法变更所致,公司
对公司已披露的 2025 年年度财务报表无影响,不会导致公司 2025 年年度财务报
告出现盈亏性质的改变。更正并追溯调整对财务报表项目的影响、更正后的相关
财务报表及附注具体情况如下(除特殊注明外,单位均为人民币元):
  一、会计差错更正事项对公司财务报表项目的影响
  (一)对 2025 年一季度合并财务报表的影响
     项目
                  更正前               更正金额               更正后
     存货          93,777,129.47       -1,046,714.83    92,730,414.64
   流动资产合计       228,050,573.31       -1,046,714.83   227,003,858.48
   长期股权投资        54,873,231.09         -591,721.44    54,281,509.65
   使用权资产         61,470,034.06        2,016,488.10    63,486,522.16
   非流动资产合计      350,459,173.79        1,424,766.66   351,883,940.45
    资产总计        578,509,747.10          378,051.83   578,887,798.93
    应付账款         45,395,344.06          201,605.50    45,596,949.56
   应付职工薪酬        13,550,221.73          590,000.00    14,140,221.73
    其他应付款       124,384,128.11        1,692,291.60   126,076,419.71
一年内到期的非流动负债        8,309,084.14       1,344,174.56      9,653,258.70
   其他流动负债          4,232,341.83         136,072.93      4,368,414.76
   流动负债合计       290,630,994.95        3,964,144.59   294,595,139.54
    租赁负债         62,799,937.57          687,342.06    63,487,279.63
   非流动负债合计       68,080,998.71          687,342.06    68,768,340.77
    负债合计        358,711,993.66        4,651,486.65   363,363,480.31
   未分配利润        -390,377,207.22      -4,664,488.83   -395,041,696.05
归属于母公司所有者权益合计   233,406,165.87       -4,664,488.83   228,741,677.04
   少数股东权益        -13,608,412.43         391,054.01    -13,217,358.42
  所有者权益合计        219,797,753.44          -4,273,434.82       215,524,318.62
负债和所有者权益总计       578,509,747.10            378,051.83        578,887,798.93
         项目
                           更正前                更正金额               更正后
     营业总收入               40,675,685.08      -14,610,857.50     26,064,827.58
      营业收入               40,675,685.08      -14,610,857.50     26,064,827.58
     营业总成本               60,015,061.06      -14,397,524.38     45,617,536.68
      营业成本               35,345,949.44      -14,274,776.15     21,071,173.29
      销售费用               11,196,442.73          -35,955.92     11,160,486.81
      管理费用               11,114,941.80         -103,679.05     11,011,262.75
      财务费用                1,610,719.75           16,886.74       1,627,606.49
    其中:利息费用               1,313,037.50           16,886.74       1,329,924.24
营业利润(亏损以“-”号填列)         -21,043,709.25         -213,333.12     -21,257,042.37
     营业外支出                1,045,434.88       -1,000,000.00         45,434.88
利润总额(亏损总额以“-”号填
                        -22,086,747.67          786,666.88     -21,300,080.79
         列)
净利润(净亏损以“-”号填列)         -22,083,130.28          786,666.88     -21,296,463.40
    持续经营净利润
                        -22,083,130.28          786,666.88     -21,296,463.40
  (净亏损以“-”号填列)
 归属于母公司所有者的净利润
                        -21,313,829.31          857,260.50     -20,456,568.81
  (净亏损以“-”号填列)
少数股东损益(净亏损以“-”号填
                           -769,300.97          -70,593.62        -839,894.59
         列)
    综合收益总额              -22,083,130.28          786,666.88     -21,296,463.40
归属于母公司所有者的综合收益总额        -21,313,829.31          857,260.50     -20,456,568.81
归属于少数股东的综合收益总额             -769,300.97          -70,593.62        -839,894.59
 上述调整事项对合并现金流量表无影响。
 (二)对 2025 年半年度合并及母公司财务报表的影响
    项目
                   更正前                   更正金额                   更正后
    存货            103,959,318.80          -1,046,714.83       102,912,603.97
  流动资产合计          230,199,469.86          -1,046,714.83       229,152,755.03
  长期股权投资           54,474,403.42            -591,721.45        53,882,681.97
   使用权资产           59,184,174.30           1,680,406.75        60,864,581.05
  非流动资产合计         342,457,485.11           1,088,685.30       343,546,170.41
     项目
                    更正前                  更正金额                         更正后
    资产总计          572,656,954.97                41,970.47           572,698,925.44
    应付账款           74,077,116.14               201,605.50            74,278,721.64
   应付职工薪酬          12,436,407.72               590,000.00            13,026,407.72
一年内到期的非流动负债          8,309,084.14             1,354,281.09             9,663,365.23
   其他流动负债            3,390,887.65              136,072.93              3,526,960.58
   流动负债合计         301,886,298.60              2,281,959.52          304,168,258.12
     租赁负债          53,077,270.07               344,958.18            53,422,228.25
   非流动负债合计         57,729,092.39               344,958.18            58,074,050.57
    负债合计          359,615,390.99              2,626,917.70          362,242,308.69
   未分配利润          -397,156,254.31         -3,252,587.96             -400,408,842.27
归属于母公司所有者权益合计     226,627,118.78          -3,252,587.96             223,374,530.82
   少数股东权益          -13,585,554.80              667,640.73            -12,917,914.07
   所有者权益合计        213,041,563.98          -2,584,947.23             210,456,616.75
 负债和所有者权益总计       572,656,954.97                41,970.47           572,698,925.44
          项目
                                更正前                更正金额                   更正后
      营业总收入                105,990,539.57        -27,389,176.29         78,601,363.28
       营业收入                105,990,539.57        -27,389,176.29         78,601,363.28
      营业总成本                131,687,893.58        -26,825,354.76        104,862,538.82
       营业成本                 79,908,820.28        -26,717,013.59         53,191,806.69
       销售费用                 20,914,300.81            -35,955.92         20,878,344.89
       管理费用                 23,529,206.89           -103,679.05         23,425,527.84
       财务费用                  3,339,079.95             31,293.80          3,370,373.75
      其中:利息费用                3,301,423.08             31,293.80          3,332,716.88
 营业利润(亏损以“-”号填列)           -31,384,455.61           -563,821.53        -31,948,277.14
      营业外支出                  2,927,673.16         -2,692,291.60            235,381.56
利润总额(亏损总额以“-”号填列)          -34,043,954.59          2,128,470.07        -31,915,484.52
 净利润(净亏损以“-”号填列)           -33,933,991.11          2,128,470.07        -31,805,521.04
     持续经营净利润
                           -33,933,991.11          2,128,470.07        -31,805,521.04
   (净亏损以“-”号填列)
  归属于母公司所有者的净利润
                           -33,093,888.54          2,269,161.37        -30,824,727.17
   (净亏损以“-”号填列)
 少数股东损益(净亏损以“-”号填
                                -840,102.57         -140,691.30           -980,793.87
          列)
      综合收益总额               -33,933,991.11          2,128,470.07        -31,805,521.04
 归属于母公司所有者的综合收益总额          -33,093,888.54          2,269,161.37        -30,824,727.17
  归属于少数股东的综合收益总额                -840,102.57         -140,691.30           -980,793.87
      基本每股收益                          -0.13                  0.01                -0.12
      稀释每股收益                          -0.13                  0.01                -0.12
 上述调整事项对合并现金流量表无影响。
     项目
                   更正前                更正金额                更正后
   长期股权投资         51,863,067.61          -591,721.44     51,271,346.17
  非流动资产合计        252,384,723.15          -591,721.44    251,793,001.71
    资产总计         510,598,747.08          -591,721.44    510,007,025.64
   未分配利润         -281,192,082.70         -591,721.44   -281,783,804.14
  所有者权益合计        312,180,149.44          -591,721.44    311,588,428.00
 负债和所有者权益总计      510,598,747.08          -591,721.44    510,007,025.64
     项目
                   更正前                 更正金额               更正后
   营业外支出            1,841,631.39       -1,692,291.60        149,339.79
    利润总额
                  -31,510,912.20        1,692,291.60     -29,818,620.60
(亏损总额以“-”号填列)
    净利润
                  -31,361,357.04        1,692,291.60     -29,669,065.44
(净亏损以“-”号填列)
  持续经营净利润
                  -31,361,357.04        1,692,291.60     -29,669,065.44
(净亏损以“-”号填列)
   综合收益总额         -31,361,357.04        1,692,291.60     -29,669,065.44
 上述调整事项对母公司现金流量表无影响。
 (三)对 2025 年三季度合并财务报表的影响
     项目
                  更正前                 更正金额               更正后
   长期股权投资         57,170,628.04          -591,721.44     56,578,906.60
   使用权资产          56,850,837.42         1,344,325.40     58,195,162.82
  非流动资产合计        612,255,910.25          752,603.96     613,008,514.21
    资产总计        1,181,732,610.62         752,603.96    1,182,485,214.58
    应付账款         102,869,314.83          201,605.50     103,070,920.33
一年内到期的非流动负债        8,309,084.14         1,364,463.61       9,673,547.75
   流动负债合计        674,546,564.78         1,566,069.11    676,112,633.89
    负债合计         904,275,279.61         1,566,069.11    905,841,348.72
   未分配利润        -389,874,211.13        -1,758,192.28   -391,632,403.41
    项目
                   更正前                      更正金额                 更正后
归属于母公司所有者权益合
     计
   少数股东权益          43,548,169.05              944,727.13         44,492,896.18
  所有者权益合计         277,457,331.01              -813,465.15       276,643,865.86
 负债和所有者权益总计      1,181,732,610.62             752,603.96       1,182,485,214.58
         项目
                           更正前                 更正金额                更正后
     营业总收入              158,336,535.06        -25,594,721.24    132,741,813.82
      营业收入              158,336,535.06        -25,594,721.24    132,741,813.82
     营业总成本              206,970,152.19        -26,455,697.37    180,514,454.82
      营业成本              120,672,846.97        -24,586,477.19     96,086,369.78
      销售费用               32,087,324.19         -1,218,743.68     30,868,580.51
      管理费用               39,411,929.69           -693,679.05     38,718,250.64
      财务费用                7,139,463.95            43,202.55        7,182,666.50
     其中:利息费用              6,375,506.77            43,202.55        6,418,709.32
营业利润(亏损以“-”号填列)          -28,981,126.29          860,976.13      -28,120,150.16
     营业外支出                3,134,620.70         -2,692,291.60        442,329.10
利润总额(亏损总额以“-”号填
                         -31,742,981.56         3,553,267.73     -28,189,713.83
         列)
净利润(净亏损以“-”号填列)          -32,961,078.49         3,553,267.73     -29,407,810.76
    持续经营净利润
                         -32,961,078.49         3,553,267.73     -29,407,810.76
  (净亏损以“-”号填列)
 归属于母公司所有者的净利润
                         -31,412,301.03         3,763,557.05     -27,648,743.98
  (净亏损以“-”号填列)
少数股东损益(净亏损以“-”号填
                          -1,548,777.46          -210,289.32      -1,759,066.78
         列)
     综合收益总额              -32,961,078.49         3,553,267.73     -29,407,810.76
归属于母公司所有者的综合收益总额         -31,412,301.03         3,763,557.05     -27,648,743.98
归属于少数股东的综合收益总额            -1,548,777.46          -210,289.32      -1,759,066.78
     基本每股收益                         -0.12               0.01              -0.11
     稀释每股收益                         -0.12               0.01              -0.11
 上述调整事项对合并现金流量表无影响。
                 二、更正后的财务报表及相关附注
                 (一)更正后的 2025 年第一季度财务报表
         资   产        2025.3.31       2024.12.31           负债和所有者权益     2025.3.31       2024.12.31
流动资产:                                                  流动负债:
    货币资金              18,647,498.38    15,917,432.13       短期借款         60,060,028.54    60,068,236.30
    交易性金融资产                                                交易性金融负债
    衍生金融资产                                                 衍生金融负债
    应收票据                652,624.36      1,127,220.57       应付票据
    应收账款              74,307,913.51    65,866,160.00       应付账款         45,596,949.56    49,628,908.07
    应收款项融资                                                 预收款项                            334,315.08
    预付款项               6,668,095.41     4,261,479.42       合同负债         32,556,475.60    26,986,583.77
    其他应收款              4,766,429.63     4,745,306.04       应付职工薪酬       14,140,221.73    18,645,755.29
    买入返售金融资产                                               应交税费          2,143,370.94     3,055,700.32
    存货                92,730,414.64   105,675,946.53       其他应付款       126,076,419.71   107,821,226.71
    合同资产               1,290,478.03     1,290,478.03        其中:应付利息
    持有待售资产                                                 持有待售负债
    一年内到期的非流                                               一年内到期的非流动
动资产                                                    负债
    其他流动资产            27,940,404.52    28,372,189.28       其他流动负债        4,368,414.76     3,605,328.85
    流动资产合计           227,003,858.48   227,256,212.00       流动负债合计      294,595,139.54   279,789,281.97
                                                       非流动负债:
                                                           长期借款
非流动资产:                                                     应付债券
    债权投资                                                   租赁负债         63,487,279.63    63,451,847.85
    其他债权投资                                                 长期应付款
    长期应收款                                                  长期应付职工薪酬
    长期股权投资            54,281,509.65    54,788,521.34       预计负债           271,502.70       271,502.70
    其他权益工具投资                                               递延收益          4,403,282.78     4,453,282.76
    其他非流动金融资
                                                           递延所得税负债        606,275.66       315,595.11

    投资性房地产            56,107,743.81    55,347,845.26       其他非流动负债
    固定资产             105,736,616.63   110,116,568.07        非流动负债合计     68,768,340.77    68,492,228.42
    在建工程                443,620.90       261,244.86          负债合计      363,363,480.31   348,281,510.39
                                                       所有者权益(或股东权
    生产性生物资产
                                                       益):
    油气资产                                                   实收资本(或股本)   262,752,000.00   262,752,000.00
    使用权资产             63,486,522.16    66,557,984.52       其他权益工具
    无形资产              30,797,715.73    31,182,108.73       资本公积        337,065,219.96   334,699,653.36
     其中:数据资源                                               减:库存股        8,869, 122.00     6,503,555.40
     资   产          2025.3.31       2024.12.31           负债和所有者权益                  2025.3.31          2024.12.31
开发支出                                                     其他综合收益
 其中:数据资源                                                 专项储备
商誉                                                       盈余公积                     32,835,275.13        32,835,275.13
长期待摊费用              15,480,133.14    16,969,756.53       未分配利润                   -395,041,696.05     -369,584,115.10
                                                         归属于母公司所有者
递延所得税资产             23,487,298.74    23,447,869.29                               228,741,677.04      254,199,257.99
                                                     权益合计
其他非流动资产              2,062,779.69     2,062,779.69       少数股东权益                   -13,217,358.42      -14,489,878.09
 非流动资产合计           351,883,940.45   360,734,678.29        所有者权益合计                215,524,318.62      239,709,379.90
     资产总计          578,887,798.93   587,990,890.29       负债和所有者权益总计              578,887,798.93      587,990,890.29
                            项   目                            2025 年 1-3 月            2024 年 1-3 月
         一、营业总收入                                                 26,064,827.58          32,071,525.22
          其中:营业收入                                                26,064,827.58          32,071,525.22
         二、营业总成本                                                 45,617,536.68          59,003,397.79
          其中:营业成本                                                21,071,173.29          26,725,695.85
              税金及附加                                                578,316.29              562,790.67
              销售费用                                               11,160,486.81          14,895,315.19
              管理费用                                               11,011,262.75          14,759,801.83
              研发费用                                                 168,691.05              435,202.00
              财务费用                                                1,627,606.49            1,624,592.25
              其中:利息费用                                             1,329,924.24            1,042,659.99
                 利息收入                                               -30,646.73              -42,319.33
          加:其他收益                                                   206,922.11              588,766.05
              投资收益(损失以“-”号填列)                                      -784,904.92              -42,917.47
              其中:对联营企业和合营企业的投资收益
                 以摊余成本计量的金融资产终止确认收益
              汇兑收益(损失以“-”号填列)
              净敞口套期收益(损失以“-”号填列)
              公允价值变动收益(损失以“-”号填列)
              信用减值损失(损失以“-”号填列)                                  -1,010,944.16           -2,875,902.44
              资产减值损失(损失以“-”号填列)                                    -111,826.77              -52,675.79
              资产处置收益(损失以“-”号填列)                                      -3,579.53             298,608.09
         三、营业利润(亏损以“-”号填列)                                      -21,257,042.37          -29,015,994.13
          加:营业外收入                                                     2,396.46                 -1,429.06
          减:营业外支出                                                   45,434.88               29,599.93
         四、利润总额(亏损总额以“-”号填列)                                    -21,300,080.79          -29,047,023.12
          减:所得税费用                                                    -3,617.39             -110,127.18
         五、净利润(净亏损以“-”号填列)                                      -21,296,463.40          -28,936,895.94
          (一)按经营持续性分类:
                            项   目                            2025 年 1-3 月          2024 年 1-3 月
        (二)按所有权归属分类:
                                                               -20,456,568.81         -28,266,633.51
       填列)
       六、其他综合收益的税后净额
            归属于母公司所有者的其他综合收益的税后净额
        (一)不能重分类进损益的其他综合收益
        (二)将重分类进损益的其他综合收益
            归属于少数股东的其他综合收益的税后净额
       七、综合收益总额                                                -21,296,463.40         -28,936,895.94
            归属于母公司所有者的综合收益总额                                   -20,456,568.81         -28,266,633.51
            归属于少数股东的综合收益总额                                       -839,894.59            -670,262.43
       八、每股收益:
        (一)基本每股收益                                                       -0.08                   -0.11
        (二)稀释每股收益                                                       -0.08                   -0.11
            (二)更正后的 2025 年半年度财务报表及附注
                                                        负债和所有者权益(或
   资    产           2025.6.30       2024.12.31                                  2025.6.30          2024.12.31
                                                          股东权益)
流动资产:                                               流动负债:
货币资金                22,100,724.26   15,917,432.13       短期借款                    30,032,083.33       60,068,236.30
交易性金融资产                                                 交易性金融负债
衍生金融资产                                                  衍生金融负债
应收票据                  503,749.09     1,127,220.57       应付票据
应收账款                84,242,008.14   65,866,160.00       应付账款                    74,278,721.64       49,628,908.07
                                                       负债和所有者权益(或
         资   产    2025.6.30       2024.12.31                         2025.6.30         2024.12.31
                                                         股东权益)
    应收款项融资                                             预收款项                               334,315.08
    预付款项           7,017,342.39     4,261,479.42       合同负债          26,083,751.17     26,986,583.77
    其他应收款          5,089,227.06     4,745,306.04       应付职工薪酬        13,026,407.72     18,645,755.29
    买入返售金融资产                                           应交税费            4,468,920.40      3,055,700.32
    存货           102,912,603.97   105,675,946.53       其他应付款        143,088,048.05    107,821,226.71
     其中:数据资源                                           持有待售负债
                                                       一年内到期的非流
    合同资产           1,290,478.03     1,290,478.03                       9,663,365.23      9,643,227.58
                                                   动负债
    持有待售资产                                             其他流动负债          3,526,960.58      3,605,328.85
    一年内到期的非流
                                                       流动负债合计       304,168,258.12    279,789,281.97
动资产
    其他流动资产         5,996,622.09    28,372,189.28   非流动负债:
    流动资产合计       229,152,755.03   227,256,212.00       长期借款
                                                       应付债券
                                                       租赁负债          53,422,228.25     63,451,847.85
非流动资产:                                                 长期应付款
    发放贷款和垫款                                            长期应付职工薪酬
    债权投资                                               预计负债             146,663.67        271,502.70
    其他债权投资                                             递延收益            3,968,266.76      4,453,282.76
    长期应收款                                              递延所得税负债          536,891.89        315,595.11
    长期股权投资        53,882,681.97    54,788,521.34       其他非流动负债
    其他权益工具投资                                            非流动负债合计      58,074,050.57     68,492,228.42
    其他非流动金融资
                                                           负债合计     362,242,308.69    348,281,510.39

                                                   所有者权益(或股东权
    投资性房地产        54,637,703.20    55,347,845.26
                                                   益):
    固定资产         103,612,586.71   110,116,568.07       实收资本(或股本)    262,752,000.00    262,752,000.00
    在建工程            200,822.64       261,244.86        其他权益工具
    生产性生物资产                                             其中:优先股
    油气资产                                                      永续债
    使用权资产         60,864,581.05    66,557,984.52       资本公积         337,065,219.96    334,699,653.36
    无形资产          30,414,759.41    31,182,108.73       减:库存股          8,869, 122.00      6,503,555.40
     其中:数据资源                                           其他综合收益
    开发支出                                               专项储备
     其中:数据资源                                           盈余公积          32,835,275.13     32,835,275.13
    商誉                                                 一般风险准备
    长期待摊费用        14,228,316.59    16,969,756.53       未分配利润        -400,408,842.27   -369,584,115.10
                                                       归属于母公司所有
    递延所得税资产       23,641,939.15    23,447,869.29                    223,374,530.82    254,199,257.99
                                                   者权益合计
    其他非流动资产        2,062,779.69     2,062,779.69       少数股东权益        -12,917,914.07    -14,489,878.09
     非流动资产合计     343,546,170.42   360,734,678.29        所有者权益合计     210,456,616.75    239,709,379.90
                                                 负债和所有者权益(或
资   产          2025.6.30       2024.12.31                                     2025.6.30           2024.12.31
                                                       股东权益)
                                                     负债和所有者权益总
资产总计          572,698,925.44   587,990,890.29                                 572,698,925.44     587,990,890.29
                                                         计
                       项   目                             2025 年 1-6 月             2024 年 1-6 月
    一、营业总收入                                                   78,601,363.28         102,562,773.53
     其中:营业收入                                                  78,601,363.28         102,562,773.53
    二、营业总成本                                                  104,862,538.82         127,617,376.37
     其中:营业成本                                                  53,191,806.69          56,573,138.86
          税金及附加                                                1,349,304.58           1,630,246.32
          销售费用                                                20,878,344.89          34,579,270.56
          管理费用                                                23,425,527.84          28,078,694.35
          研发费用                                                 2,647,181.07           3,481,656.07
          财务费用                                                 3,370,373.75           3,274,370.21
          其中:利息费用                                              3,332,716.88           3,252,509.04
             利息收入                                                 -5,255.44               -30,646.73
     加:其他收益                                                     787,610.41            1,127,322.90
          投资收益(损失以“-”号填列)                                       -905,839.37            -901,730.67
          其中:对联营企业和合营企业的投资收益
             以摊余成本计量的金融资产终止确认收益
          汇兑收益(损失以“-”号填列)
          净敞口套期收益(损失以“-”号填列)
          公允价值变动收益(损失以“-”号填列)
          信用减值损失(损失以“-”号填列)                                   -5,639,028.72           -5,946,762.38
          资产减值损失(损失以“-”号填列)                                       73,735.61           -1,296,754.15
          资产处置收益(损失以“-”号填列)                                       -3,579.53           2,244,558.87
    三、营业利润(亏损以“-”号填列)                                        -31,948,277.14          -29,827,968.27
     加:营业外收入                                                    268,174.18                38,889.94
     减:营业外支出                                                    235,381.56                35,042.14
    四、利润总额(亏损总额以“-”号填列)                                      -31,915,484.52          -29,824,120.47
     减:所得税费用                                                    -109,963.48            -304,710.35
    五、净利润(净亏损以“-”号填列)                                        -31,805,521.04          -29,519,410.12
     (一)按经营持续性分类:
     (二)按所有权归属分类:
                                                             -30,824,727.17          -28,089,106.84
    填列)
    六、其他综合收益的税后净额
                              项   目                                2025 年 1-6 月          2024 年 1-6 月
          归属于母公司所有者的其他综合收益的税后净额
          (一)不能重分类进损益的其他综合收益
          (二)将重分类进损益的其他综合收益
          归属于少数股东的其他综合收益的税后净额
      七、综合收益总额                                                       -31,805,521.04         -29,519,410.12
          归属于母公司所有者的综合收益总额                                           -30,824,727.17         -28,089,106.84
          归属于少数股东的综合收益总额                                               -980,793.87           -1,430,303.28
      八、每股收益:
          (一)基本每股收益                                                           -0.12                  -0.11
          (二)稀释每股收益                                                           -0.12                  -0.11
      资   产           2025.6.30       2024.12.31            负债和所有者权益           2025.6.30          2024.12.31
流动资产:                                                   流动负债:
 货币资金                 20,058,654.09    10,912,628.29        短期借款                                  30,036,986.30
 交易性金融资产                                                    交易性金融负债
 衍生金融资产                                                     衍生金融负债
 应收票据                   503,749.09       542,220.57         应付票据
 应收账款                140,631,039.74   144,312,611.41        应付账款               24,808,018.41      24,734,370.61
 应收款项融资                                                     预收款项
 预付款项                  3,670,776.17     2,180,722.28        合同负债                  4,593,949.73     3,703,664.39
 其他应收款                17,272,429.26    18,387,400.32        应付职工薪酬                7,170,010.24    11,751,071.93
 存货                   69,115,205.80    65,820,347.63        应交税费                  1,151,290.32       333,090.73
  其中:数据资源                                                   其他应付款             156,596,515.94      93,014,024.46
 合同资产                  1,290,478.03     1,290,478.03        持有待售负债
                                                            一年内到期的非
 持有待售资产
                                                        流动负债
      资   产        2025.6.30           2024.12.31            负债和所有者权益           2025.6.30           2024.12.31
 一年内到期的非流
                                                             其他流动负债               597,213.47           442,476.41
动资产
 其他流动资产             5,671,691.75         5,928,024.41        流动负债合计           194,916,998.11       164,015,684.83
    流动资产合计        258,214,023.93       249,374,432.94    非流动负债:
                                                             长期借款
                                                             应付债券
                                                              其中:优先股
非流动资产:                                                          永续债
 债权投资                                                        租赁负债
 其他债权投资                                                      长期应付款
                                                             长期应付职工薪
 长期应收款
                                                         酬
 长期股权投资            51,271,346.17        52,020,142.57        预计负债
 其他权益工具投资                                                    递延收益                3,501,599.53        3,886,615.57
 其他非流动金融资
                                                             递延所得税负债

 投资性房地产            54,637,703.20        55,347,845.26        其他非流动负债
 固定资产              94,504,242.07        99,292,047.34        非流动负债合计             3,501,599.53        3,886,615.57
 在建工程                  11,106.20                               负债合计           198,418,597.64       167,902,300.40
                                                         所有者权益(或股东
 生产性生物资产
                                                         权益):
 油气资产                                                        实收资本(或股本)        262,752,000.00       262,752,000.00
 使用权资产                                                       其他权益工具
 无形资产              15,433,647.01        15,864,922.89         其中:优先股
    其中:数据资源                                                     永续债
 开发支出                                                        资本公积             306,784,738.66       304,419,172.06
    其中:数据资源                                                  减:库存股               8,869,122.00        6,503,555.40
 商誉                                                          其他综合收益
 长期待摊费用             6,090,140.30         7,565,141.24        专项储备
 递延所得税资产           27,782,037.07        27,632,481.91        盈余公积              32,704,615.48        32,704,615.48
 其他非流动资产            2,062,779.69         2,062,779.69        未分配利润           -281,783,804.14      -252,114,738.70
    非流动资产合计       251,793,001.71       259,785,360.90        所有者权益合计          311,588,428.00       341,257,493.44
                                                             负债和所有者权益
     资产总计         510,007,025.64       509,159,793.84                         510,007,025.64       509,159,793.84
                                                                总计
                           项       目                                2025 年 1-6 月       2024 年 1-6 月
      一、营业收入                                                           45,744,615.35        71,533,345.54
              减:营业成本                                                   43,910,896.91        47,243,976.65
                税金及附加                                                    810,873.88             1,165,310.72
                销售费用                                                    4,349,494.45            8,717,737.63
               项    目          2025 年 1-6 月       2024 年 1-6 月
       管理费用                       12,532,537.87      14,481,290.15
       研发费用                        2,531,903.64       3,481,656.07
       财务费用                        1,056,070.11        858,902.37
       其中:利息费用                     1,066,083.18        829,020.27
             利息收入                     -3,224.14         -26,236.20
     加:其他收益                         679,705.22        1,010,781.40
       投资收益(损失以“-”号填列)              -748,796.40        -441,461.80
       其中:对联营企业和合营企业的投资收益
             以摊余成本计量的金融资产终止确
认收益
       净敞口套期收益(损失以“-”号填列)
       公允价值变动收益(损失以“-”号填
列)
       信用减值损失(损失以“-”号填列)         -10,736,480.08      -9,427,391.54
       资产减值损失(损失以“-”号填列)            558,200.96        1,037,602.47
       资产处置收益(损失以“-”号填列)                              1,705,810.97
二、营业利润(亏损以“-”号填列)                -29,694,531.81     -10,530,186.55
     加:营业外收入                         25,251.00             -317.94
     减:营业外支出                        149,339.79          33,655.00
三、利润总额(亏损总额以“-”号填列)              -29,818,620.60     -10,564,159.49
     减:所得税费用                        -149,555.16         -89,781.20
四、净利润(净亏损以“-”号填列)                -29,669,065.44     -10,474,378.29
  (一)持续经营净利润(净亏损以“-”号填
                                 -29,669,065.44     -10,474,378.29
列)
  (二)终止经营净利润(净亏损以“-”号填
列)
五、其他综合收益的税后净额
 (一)不能重分类进损益的其他综合收益
 (二)将重分类进损益的其他综合收益
           项   目        2025 年 1-6 月       2024 年 1-6 月
六、综合收益总额                  -29,669,065.44     -10,474,378.29
 (1)合并资产负债表项目注释
 ①存货
                                  期末余额                                                               期初余额
                                                                                                   存货跌价准备/合
      项目                       存货跌价准备/合同
              账面余额                                           账面价值               账面余额               同履约成本减值准              账面价值
                               履约成本减值准备
                                                                                                       备
原材料            39,635,385.74          16,587,813.75           23,047,571.99     38,226,511.29        16,942,652.31        21,283,858.98
在产品            33,578,961.64           5,059,253.43           28,519,708.21     37,163,797.25         5,059,253.43        32,104,543.82
库存商品           85,558,714.08          36,630,715.02           48,927,999.06     76,760,120.54        36,851,056.39        39,909,064.15
周转材料            2,417,324.71                                   2,417,324.71         2,408,808.79                            2,408,808.79
合同履约成本                                                                              2,224,513.88                            2,224,513.88
委托加工物资                                                                                  1,335.74                                  1,335.74
在途物资                                                                                 187,972.59                              187,972.59
发出商品                                                                                7,555,848.58                            7,555,848.58
      合计      161,190,386.17          58,277,782.20           102,912,603.97    164,528,908.66       58,852,962.13        105,675,946.53
 ②长期股权投资
                                                                    本期增减变动
                                                                                                                                    减值
                    期初            追
                                                                               其他      宣告发放        计提            期末余额               准备
      被投资单位       余额(账面           加      减少     权益法下确认              其他综合
                                                                               权益      现金股利        减值    其他     (账面价值)              期末
                   价值)            投      投资      的投资损益              收益调整
                                                                               变动       或利润        准备                               余额
                                  资
一、合营企业
上海星振家居有限公司
小计
二、联营企业
江苏亚振家居发展有限公司      40,986,640.41                       -526,048.80                                                40,460,591.61
苏州亚振国际家居有限公司       1,161,338.61                       -222,747.60                                                    938,591.01
江苏亚振钻石有限公司        12,640,542.32                       -157,042.97                                                12,483,499.35
小计        54,788,521.34   -905,839.37   53,882,681.97
     合计   54,788,521.34   -905,839.37   53,882,681.97
  ③使用权资产
    项目         房屋及建筑物                   机器设备                     合计
一、账面原值
   (1)租入
   (1)处置或报废       2,895,907.03                                    2,895,907.03
二、累计折旧
  (1)计提           5,021,240.77              672,162.70            5,693,403.47
  (1)处置           2,895,907.03                                    2,895,907.03
三、减值准备
  (1)计提
  (1)处置
四、账面价值
  ④应付账款
     项目                 期末余额                              期初余额
应付货款、费用款                         71,275,031.32                   44,418,846.92
应付设备、工程款                          1,701,821.59                    1,353,580.47
应付加工费                             1,301,868.73                    3,856,480.68
     合计                          74,278,721.64                   49,628,908.07
  ⑤应付职工薪酬
     项目         期初余额                本期增加          本期减少             期末余额
一、短期薪酬         16,411,855.29     20,189,981.90   25,836,529.47   10,765,307.72
二、离职后福利-设定提存
计划
三、辞退福利          2,233,900.00        456,500.00     429,300.00     2,261,100.00
     合计        18,645,755.29     24,199,478.70   29,818,826.27   13,026,407.72
    ⑥1 年内到期的非流动负债
         项目                     期末余额                                期初余额
         合计                            9,663,365.23                      9,643,227.58
    ⑦其他流动负债
    项目                         期末余额                                 期初余额
待转销项税额                            3,526,960.58                         3,605,328.85
已背书未到期银行汇票
         合计                               3,526,960.58                   3,605,328.85
    ⑧租赁负债
          项目                      期末余额                              期初余额
租赁付款额                                     80,183,621.08                 90,341,150.68
减:未确认的融资费用                                17,098,027.60                 17,246,075.25
    重分类至一年内到期的非
流                                          9,663,365.23                  9,643,227.58
动负债
          合计                              53,422,228.25                 63,451,847.85
    ⑨未分配利润
                项目                                本期                     上期
调整前上期末未分配利润                                    -369,584,115.10        -247,104,750.99
调整期初未分配利润合计数(调增+,调减-)
调整后期初未分配利润                                     -369,584,115.10        -247,104,750.99
加:本期归属于母公司所有者的净利润                               -30,824,727.17        -122,479,364.11
减:提取法定盈余公积
    提取任意盈余公积
    提取一般风险准备
    应付普通股股利
    转作股本的普通股股利
期末未分配利润                                        -400,408,842.27        -369,584,115.10
   (2)合并利润表项目注释
   ①营业收入和营业成本
A.营业收入和营业成本情况
                       本期发生额                                  上期发生额
    项目
                 收入              成本                      收入               成本
主营业务           63,118,127.08   52,285,887.40        97,895,682.17       54,575,466.89
其他业务           15,483,236.20     905,919.29          4,667,091.36        1,997,671.97
  合计         78,601,363.28        53,191,806.69       102,562,773.53      56,573,138.86
B.营业收入、营业成本的分解信息
                                 家居业务                                  合计
      合同分类
                       营业收入              营业成本                 营业收入          营业成本
商品类型                 63,118,127.08      52,285,887.40    63,118,127.08    52,285,887.40
 橱柜类                  7,035,081.16       6,074,959.87     7,035,081.16      6,074,959.87
 床组类                  6,353,878.74       5,294,684.35     6,353,878.74      5,294,684.35
 桌几类                  7,326,065.93       6,475,927.82     7,326,065.93      6,475,927.82
 椅架类                  6,264,104.81       7,017,510.56     6,264,104.81      7,017,510.56
 沙发类                  5,311,569.71       4,279,748.36     5,311,569.71      4,279,748.36
 亚特定制                        9,684.96         9,731.24         9,684.96        9,731.24
 高端定制                28,717,102.30      21,249,279.28    28,717,102.30    21,249,279.28
 其他                   2,100,639.47       1,884,045.92     2,100,639.47      1,884,045.92
按商品转让的时间分类           63,118,127.08      52,285,887.40    63,118,127.08    52,285,887.40
在某一时点确认收入            63,118,127.08      52,285,887.40    63,118,127.08    52,285,887.40
       合计            63,118,127.08      52,285,887.40    63,118,127.08    52,285,887.40
②销售费用
        项目                              本期发生额                          上期发生额
租赁费用                                           2,892,170.24                 8,444,410.92
折旧及摊销                                          7,055,002.49                 7,840,571.51
职工薪酬                                           7,182,922.09                 7,797,228.27
装修费                                            1,237,511.14                 1,432,663.65
商场费用                                            425,005.98                  1,037,490.63
广告宣传费                                           689,955.35                   106,485.80
办公费                                               75,522.67                 1,381,033.18
差旅费                                             333,653.23                   359,912.73
运输费                                               63,531.82                  420,234.58
业务招待费                                           593,764.44                   205,397.72
安装费                                                                         4,200,122.20
其他                                              329,305.44                  1,353,719.37
        合计                                    20,878,344.89               34,579,270.56
③管理费用
             项目                               本期发生额                    上期发生额
职工薪酬                                              10,478,332.40           11,664,864.73
折旧及摊销                                              4,425,556.13             4,981,359.44
办公费                                                 474,434.36               941,193.77
物耗及修理费                                              478,341.04               808,528.68
业务招待费                                               999,181.44              1,148,965.00
租赁费用                                                171,401.16               103,335.84
差旅费                                                 436,924.97               703,100.61
其他                                                 5,961,356.34             7,727,346.28
             合计                 23,425,527.84         28,078,694.35
④财务费用
             项目             本期发生额                    上期发生额
利息支出                             3,332,716.88          3,252,509.04
其中:未确认融资费用摊销                     1,697,044.16          1,939,471.54
减:利息收入                               5,255.44             30,646.73
汇兑损益                               -11,151.23              1,594.82
手续费                                 54,063.54             50,913.08
             合计                  3,370,373.75          3,274,370.21
⑤营业外支出
                                                     计入当期非经常
        项目        本期发生额            上期发生额
                                                     性损益的金额
非流动资产处置损失合计         10,147.96             4,816.16        10,147.96
其中:固定资产处置损失         10,147.96             4,816.16        10,147.96
      无形资产处置损失
非货币性资产交换损失
对外捐赠                20,000.00                             20,000.00
滞纳金                   767.77                                 767.77
罚款支出
其他                 204,465.83            30,225.98       204,465.83
        合计         235,381.56            35,042.14       235,381.56
⑥现金流量表补充资料
         补充资料                   本期金额                 上期金额
净利润                             -31,805,521.04        -29,519,410.12
加:资产减值准备                            -73,735.61         1,296,754.15
信用减值损失
固定资产折旧、油气资产折耗、生产性生
物资产折旧
使用权资产摊销                          5,693,403.47          6,878,130.01
无形资产摊销                             767,349.32          1,272,562.68
长期待摊费用摊销                         2,741,439.94          4,237,301.73
处置固定资产、无形资产和其他长期资
产的损失(收益以“-”号填列)
固定资产报废损失(收益以“-”号填列)
公允价值变动损失(收益以“-”号填列)
财务费用(收益以“-”号填列)                  3,375,629.19          3,305,016.94
投资损失(收益以“-”号填列)                    905,839.37            901,730.67
递延所得税资产减少(增加以“-”号填
                                  -194,069.86           -124,025.49
列)
         补充资料             本期金额             上期金额
递延所得税负债增加(减少以“-”号填
                            -221,296.78      -180,684.86
列)
存货的减少(增加以“-”号填列)           -2,763,342.56   14,855,492.74
经营性应收项目的减少(增加以“-”号
                          -23,937,465.44   -36,836,275.01
填列)
经营性应付项目的增加(减少以“-”号
填列)
其他
经营活动产生的现金流量净额             -17,735,838.85   -26,327,981.78
债务转为资本
一年内到期的可转换公司债券
融资租入固定资产
现金的期末余额                   22,100,714.42    35,960,454.70
减:现金的期初余额                 15,751,883.29     19,786,111.11
加:现金等价物的期末余额
减:现金等价物的期初余额
现金及现金等价物净增加额               6,348,831.13    16,174,343.59
  (3)更正后的母公司财务报表相关附注
①长期股权投资
                                          期末余额                                                    期初余额
       项目
                        账面余额             减值准备                账面价值               账面余额              减值准备                账面价值
对子公司投资                  109,059,671.79   99,059,671.79        10,000,000.00     113,059,671.79    103,059,671.79      10,000,000.00
对联营、合营企业投资               41,271,346.17                        41,271,346.17      42,020,142.57                        42,020,142.57
       合计               150,331,017.96   99,059,671.79        51,271,346.17     155,079,814.36    103,059,671.79      52,020,142.57
②对联营、合营企业投资
                                                            本期增减变动
           期初                                                                                           期末余额
 投资                     减值准备                   权益法下         其他综               宣告发放                                    减值准备期末
         余额(账面                     追加    减少                       其他权                计提减                (账面价
 单位                     期初余额                   确认的投         合收益               现金股利               其他                     余额
          价值)                      投资    投资                       益变动                值准备                 值)
                                               资损益          调整                或利润
一、合营企业
上海星振
小计
二、联营企业
江苏发展    40,986,640.41                         -526,048.80                                             40,460,591.61
苏州亚振     1,033,502.16                         -222,747.60                                                810,754.56
小计      42,020,142.57                         -748,796.40                                             41,271,346.17
 合计     42,020,142.57                         -748,796.40                                             41,271,346.17
                 (三)更正后的 2025 年三季度财务报表
                                                         负债和所有者权益(或
         资   产         2025.9.30       2024.12.31                        2025.9.30        2024.12.31
                                                               股东权益)
流动资产:                                                    流动负债:
    货币资金              30,408,543.34     15,917,432.13        短期借款        317,659,319.64    60,068,236.30
    交易性金融资产                                                  交易性金融负债
    衍生金融资产                                                   衍生金融负债
    应收票据              11,349, 165.24     1,127,220.57        应付票据
    应收账款              87,599,554.83     65,866,160.00        应付账款        103,070,920.33    49,628,908.07
    应收款项融资                                                   预收款项                            334,315.08
    预付款项              13,349,378.53      4,261,479.42        合同负债         49,794,391.61    26,986,583.77
    其他应收款              6,910,618.43      4,745,306.04        应付职工薪酬       12,922,821.19    18,645,755.29
    买入返售金融资产                                                 应交税费          2,585,892.15     3,055,700.32
    存货               348,251,980.63    105,675,946.53        其他应付款       173,932,470.31   107,821,226.71
    合同资产               1,290,478.03      1,290,478.03         其中:应付利息
    持有待售资产                                                   持有待售负债
    一年内到期的非流                                                 一年内到期的非流
动资产                                                      动负债
    其他流动资产            70,316,981.34     28,372,189.28        其他流动负债        6,473,270.91     3,605,328.85
    流动资产合计           569,476,700.37    227,256,212.00        流动负债合计      676,112,633.89   279,789,281.97
                                                         非流动负债:
                                                             长期借款        171,860,000.00
非流动资产:                                                       应付债券
    债权投资                                                     租赁负债         53,335,860.14    63,451,847.85
    其他债权投资                                                   长期应付款
    长期应收款                                                    长期应付职工薪酬
    长期股权投资            56,578,906.60     54,788,521.34        预计负债           146,663.67       271,502.70
    其他权益工具投资                                                 递延收益          3,918,266.78     4,453,282.76
    其他非流动金融资                                                                467,924.24
                                                             递延所得税负债                         315,595.11

    投资性房地产            54,282,632.17     55,347,845.26        其他非流动负债
    固定资产             336,603, 190.02   110,116,568.07         非流动负债合计    229,728,714.83    68,492,228.42
    在建工程               6,698,466.92       261,244.86           负债合计      905,841,348.72   348,281,510.39
                                                         所有者权益(或股东权
    生产性生物资产
                                                         益):
    油气资产                                                     实收资本(或股本)   262,752,000.00   262,752,000.00
    使用权资产             58,195,162.82     66,557,984.52        其他权益工具
    无形资产              52,005,698.67     31,182,108.73        资本公积        337,065,219.96   334,699,653.36
     其中:数据资源                                                 减:库存股        8,869, 122.00     6,503,555.40
    开发支出                                                     其他综合收益
                                                       负债和所有者权益(或
     资   产           2025.9.30       2024.12.31                                     2025.9.30          2024.12.31
                                                             股东权益)
 其中:数据资源                                                   专项储备
商誉                                                         盈余公积                      32,835,275.13      32,835,275.13
长期待摊费用              13, 176,394.85    16,969,756.53        未分配利润                -391,632,403.41       -369,584,115.10
                                                           归属于母公司所有
递延所得税资产             33,405,282.47     23,447,869.29                                 232,150,969.68     254,199,257.99
                                                       者权益合计
其他非流动资产              2,062,779.69      2,062,779.69        少数股东权益                    44,492,896.18     -14,489,878.09
 非流动资产合计           613,008,514.21    360,734,678.29         所有者权益合计                 276,643,865.86     239,709,379.90
     资产总计                            587,990,890.29                            1,182,485,214.58        587,990,890.29
                            项    目                             2025 年 1-9 月             2024 年 1-9 月
         一、营业总收入                                                   132,741,813.82         149,539,763.34
          其中:营业收入                                                  132,741,813.82         149,539,763.34
         二、营业总成本                                                   180,514,454.82         200,342,306.16
          其中:营业成本                                                   96,086,369.78          95,041,293.16
              税金及附加                                                  1,986,047.77           2,353,220.28
              销售费用                                                  30,868,580.51          49,163,004.09
              管理费用                                                  38,718,250.64          41,136,510.19
              研发费用                                                   5,672,539.62           7,668,007.69
              财务费用                                                   7,182,666.50           4,980,270.75
              其中:利息费用                                                6,418,709.32           3,728,975.92
                 利息收入                                                   11,033.29               30,646.73
          加:其他收益                                                      943,833.05            1,461,272.88
              投资收益(损失以“-”号填列)                                       -1,014,688.49           -1,258,969.19
              其中:对联营企业和合营企业的投资收益
                 以摊余成本计量的金融资产终止确认收益
              汇兑收益(损失以“-”号填列)
              净敞口套期收益(损失以“-”号填列)
              公允价值变动收益(损失以“-”号填列)
              信用减值损失(损失以“-”号填列)                                      2,950,913.29           -6,042,431.90
              资产减值损失(损失以“-”号填列)                                     16,882,241.94            -863,133.68
              资产处置收益(损失以“-”号填列)                                       -109,808.95           2,275,684.96
         三、营业利润(亏损以“-”号填列)                                         -28,120,150.15          -55,230,119.75
          加:营业外收入                                                     372,765.43                39,353.57
          减:营业外支出                                                     442,329.10              478,678.62
         四、利润总额(亏损总额以“-”号填列)                                       -28,189,713.83          -55,669,444.80
          减:所得税费用                                                    1,218,096.93            -317,189.19
         五、净利润(净亏损以“-”号填列)                                         -29,407,810.76          -55,352,255.61
             项   目             2025 年 1-9 月       2024 年 1-9 月
 (一)按经营持续性分类:
 (二)按所有权归属分类:
                                 -27,648,743.98     -53,373,078.99
填列)
六、其他综合收益的税后净额
  归属于母公司所有者的其他综合收益的税后净额
 (一)不能重分类进损益的其他综合收益
 (二)将重分类进损益的其他综合收益
  归属于少数股东的其他综合收益的税后净额
七、综合收益总额                         -29,407,810.76     -55,352,255.61
  归属于母公司所有者的综合收益总额               -27,648,743.98     -53,373,078.99
  归属于少数股东的综合收益总额                  -1,759,066.78      -1,979,176.62
八、每股收益:
 (一)基本每股收益                                -0.11              -0.20
 (二)稀释每股收益                                -0.11              -0.20
 特此公告。
                               亚振家居股份有限公司董事会

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