*ST步森: 2025年财务决算报告

来源:证券之星 2026-05-16 00:15:48
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              浙江步森服饰股份有限公司
  一、2025 年公司财务报表审计情况
  浙江步森服饰股份有限公司 2025 年财务报表业经北京国府嘉盈会计师事
务所(特殊普通合伙)审计,出具了国府审字(2026)第 01010091 号标准无
保留意见的《审计报告》和标准无保留意见的《内部控制审计报告》。会计师
的审计意见是,财务报表在所有重大方面按照企业会计准则的规定编制,公允
反映了浙江步森服饰股份有限公司 2025 年 12 月 31 日合并及公司的财务状况
以及 2025 年度合并及公司的经营成果和现金流量。
  二、主要财务数据和指标
                                                      单位:元
        项目             2025 年           2024 年        同比增减
       营业收入         140,057,603.90   132,295,260.89      5.87%
  归属于上市公司股东的净利润     8,672,699.50     -51,397,403.41    116.87%
归属于上市公司股东的扣除非经常性损
      益的净利润
  经营活动产生的现金流量净额     4,636,139.52     -16,221,830.76    128.58%
   基本每股收益(元/股)      0.06                      -0.38    115.79%
   稀释每股收益(元/股)      0.06                      -0.38    115.79%
    加权平均净资产收益率      22.89%                 -85.57%     108.46%
        项目          2025 年末              2024 年末       同比增减
       总资产          239,793,928.53   189,252,899.14     26.71%
  归属于上市公司股东的净资产     43,884,492.89     34,482,896.96     27.26%
  三、经营成果分析
  (一)总体经营情况
                                                      单位:元
          项目                         2025 年               2024 年            同比增减
        营业收入                    140,057,603.90          132,295,260.89             5.87%
        营业利润                    9,119,811.03             -53,141,374.92          117.16%
        利润总额                    8,250,641.39             -54,211,044.40          115.22%
         净利润                    8,109,659.95             -54,166,062.57          114.97%
 归属于上市公司股东的净利
       润
 (二)营业收入分析
                                                                             单位:元
 项目                    2025 年                            2024 年
                                                                                  同比增减
             金额           占营业收入比重                 金额           占营业收入比重
营业收入    140,057,603.90                        132,295,260.89                         5.87%
 合计
分行业
服装制造    131,554,237.48             93.93%     118,375,088.80         89.48%         11.13%
信息服务                                   0%       5,095,695.38          3.85%          -100%
零售业     7,969,575.38                5.69%       8,806,227.15          6.66%          -9.50%
 其他     533,791.04                  0.38%          18,249.56          0.01%       2824.95%
分产品
 衬衫     23,137,915.25              16.53%      21,091,281.79         15.94%          9.70%
 裤装     21,219,058.55              15.15%      19,149,849.48         14.48%         10.81%
 西服     24,235,472.99              17.30%      25,326,376.47         19.14%          -4.31%
 外套     35,123,018.19              25.08%      33,021,697.02         24.96%          6.36%
针织衫     21,473,287.12              15.33%      15,104,885.07         11.42%         42.16%
 加工     5,927,360.53                4.23%      10,538,337.73          7.97%         -43.75%
信息服务                                            5,095,695.38          3.85%          -100%
 其他     8,941,491.27                6.38%       2,967,137.95          2.24%        201.35%
分地区
 内销     119,862,653.19             85.58%     126,812,123.12         95.86%          -5.48%
 外销     20,194,950.71              14.42%       5,483,137.77          4.14%        268.31%
分销售模式
线上销售    5,330,607.65                3.81%       2,558,509.61          1.93%        108.35%
直营销售    22,256,408.57              15.89%      26,795,492.13         20.25%         -16.94%
项目                   2025 年                             2024 年
                                                                           同比增减
            金额          占营业收入比重                  金额           占营业收入比重
加盟销售   41,554,133.56             29.67%       51,842,931.44       39.19%     -19.85%
团购销售   50,187,712.37             35.83%       40,501,245.00       30.61%     23.92%
其他     20,728,741.75             14.80%       10,597,082.71        8.01%     95.61%
 (三)期间费用分析
                                                                       单位:元
  项目          2025 年            2024 年          同比增减             重大变动说明
 销售费用      25,327,775.13      30,609,990.88       -17.26%
 管理费用      17,981,744.06      27,217,636.92       -33.93%
 财务费用      1,430,902.72         270,404.15        429.17%     借款利息增加
 研发费用            0             1,132,896.32         -100%     本期研发投入减少所致
 四、财务状况分析
 (一)总体财务状况
                                                                     单位:元
        项目                    2025 年末             2024 年末          同比增减
       资产总额                239,793,928.53 189,252,899.14                   26.71%
       负债总额                197,246,541.73 156,034,068.72                   26.41%
       所有者权益               42,547,386.80        33,218,830.42              28.08%
 归属于上市公司股东权益               43,884,492.89        34,482,896.96              27.26%
 (二)资产状况分析
                                                                       单位:元
   项目
                   金额             占总资产比例           金额           占总资产比例
  流动资产       160,701,719.56          67.02%   101,359,818.92        53.56%     13.46%
  非流动资产      79,092,208.97           32.98%    87,893,080.22        46.44%     -13.46%
 其中:长期股权
    投资
 其他权益工具投
    资
  固定资产       5,373,024.26             2.24%      6,337,046.14        3.35%      -1.11%
  使用权资产      2,423,137.83             1.01%      8,432,572.62        4.46%      -3.45%
  无形资产       905,857.03               0.38%       363,985.81         0.19%      0.19%
 长期待摊费用      1,392,007.20             0.58%      2,569,585.94        1.36%      -0.78%
 递延所得税资产     0                        0.00%                0         0.00%      0.00%
   公司流动资产结构情况如下
                                                                       单位:元
  项目                                                                            比重增减
              金额            占总流动资产比例              金额            占总流动资产比例
 货币资金    76,007,177.88               47.30%     5,018,319.86           4.95%      42.35%
 应收票据    1,197,040.12                 0.74%     9,033,252.19           8.91%      -8.17%
 应收账款    19,723,244.50               12.27%    34,134,254.77          33.68%     -21.41%
 预付款项    15,691,665.73                9.76%     9,726,618.52           9.60%       0.16%
其他应收款    5,660,470.01                 3.52%     4,029,796.60           3.98%      -0.46%
  存货     39,491,064.65               24.57%    38,629,154.49          38.11%     -13.54%
其他流动资产   2,931,056.67                 1.82%      788,422.49            0.78%       1.04%
流动资产合计   160,701,719.56             100.00%   101,359,818.92         100.00%       0.00%
   (三)负债结构分析
                                                                       单位:元
  项目
              金额            占负债总额比例              金额            占负债总额比例        年末增减
 项目
             金额           占负债总额比例                 金额            占负债总额比例           年末增减
 流动负债    188,331,050.30           95.48%    136,333,097.07             87.37%         38.14%
非流动负债     8,915,491.43             4.52%    19,700,971.65              12.63%     -54.75%
 负债合计    197,246,541.73          100.00%    156,034,068.72            100.00%         26.41%
       公司流动负债结构情况如下
                                                                              单位:元
 项目                                                                                    比重增减
             金额           占总流动负债比例                 金额           占总流动负债比例
应付票据    13,200,127.63               7.01%        3,611,145.38                 2.65%       4.36%
应付账款    44,561,151.38              23.66%     44,977,158.73                  32.99%      -9.33%
合同负债    13,166,446.38               6.99%     33,384,390.92                  24.49%     -17.50%
应付职工薪
  酬
应交税费    4,471,210.20                2.37%        2,829,317.85                 2.08%       0.29%
其他应付款   100,033,058.98             53.11%     31,085,532.00                  22.80%      30.31%
一年内到期
的非流动负   1,542,582.87                0.82%        2,181,338.31                 1.60%      -0.78%
  债
其他流动负
  债
流动负债合
  计
  (四)所有者权益分析
                                                                             单位:元
             项目                      2025 年末                2024 年末          同比增减
             股本                  144,010,000.00          144,010,000.00           0.00%
           资本公积                  369,215,504.28          368,508,647.61           0.19%
          减:库存股                  20,760,000.00              20,760,000.00         0.00%
         其他综合收益                  -7,976,249.25              -7,998,289.01         0.28%
           盈余公积                  31,396,231.37              31,396,231.37         0.00%
      项目              2025 年末              2024 年末          同比增减
    未分配利润         -472,000,993.51        -480,673,693.01       1.80%
归属于上市公司股东权益合计     43,884,492.89           34,482,896.96       27.26%
    少数股东权益        -1,337,106.09            -1,264,066.54      -5.78%
   所有者权益合计        42,547,386.80           33,218,830.42       28.08%
五、现金流量分析
                                                            单位:元
       项目                   2025 年            2024 年         同比增减
   经营活动现金流入小计           222,627,143.69    192,776,885.16      15.48%
   经营活动现金流出小计           217,991,004.17    208,998,715.92       4.30%
  经营活动产生的现金流量净额          4,636,139.52      -16,221,830.76    128.58%
   投资活动现金流入小计              5,681.00             34,070.00    -83.33%
   投资活动现金流出小计             397,240.00          571,302.98     -30.47%
  投资活动产生的现金流量净额           -391,559.00         -537,232.98     27.12%
   筹资活动现金流入小计           42,990,000.00        7,490,000.00    473.97%
   筹资活动现金流出小计           25,617,618.59      14,796,286.07      73.14%
  筹资活动产生的现金流量净额         17,372,381.41       -7,306,286.07    337.77%
汇率变动对现金及现金等价物的影响          -39,059.66            25,348.10   -254.09%
  现金及现金等价物净增加额          21,577,902.27      -24,040,001.71    189.76%
                             浙江步森服饰股份有限公司董事会

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