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首页 公告 航天科技:2024年度财务决算报告

航天科技:2024年度财务决算报告

公告日期:2025-03-31


        航天科技控股集团股份有限公司

            2024 年度财务决算报告

  航天科技控股集团股份有限公司(以下简称公司)根据公司经营情况和财务状况,并结合 2024 年度审计情况,现将 2024 年度财务决算报告如下(金额单位:元):

  一、2024 年合并范围变化情况

  本年财务决算合并范围的子公司共 8 户,与上年保持一致,本年无增加和减少户数。

  二、资产、负债、所有者权益情况

  (一)资产情况

  截至 2024 年末,公司资产总额 8,497,506,508.13 元,较年初
8,770,134,309.78 元,降幅 3.11%。流动资产 5,089,172,532.61 元,占资产总额的比例为 59.89%;非流动资产 3,408,333,975.52 元,占资产总额的比例为 40.11%。主要资产变动情况如下表:

            表 1  2024 年主要资产构成明细表(单位:人民币元)

      项      目            2024.12.31        2023.12.31          增减额        变化率

流动资产:

      货币资金          1,059,712,396.46    988,266,362.61    71,446,033.85    7.23%

      衍生金融资产          5,669,209.83                          5,669,209.83        -

      应收票据            266,947,544.33    384,742,164.81  -117,794,620.48  -30.62%

      应收账款          1,609,706,131.47  1,519,953,131.89    89,752,999.58    5.90%

      应收款项融资          7,976,199.55      2,533,865.00      5,442,334.55  214.78%

      预付款项              71,288,480.32      74,709,580.58    -3,421,100.26    -4.58%

      其他应收款            46,023,738.77      45,054,652.91        969,085.86    2.15%

      存货              1,827,135,574.16  1,960,818,678.88  -133,683,104.72    -6.82%

      合同资产              63,071,725.33      52,828,035.61    10,243,689.72    19.39%

      其他流动资产        131,641,532.39    161,622,860.99    -29,981,328.60  -18.55%

流动资产合计              5,089,172,532.61  5,190,529,333.28  -101,356,800.67    -1.95%


  非流动资产:

        长期应收款              6,773,130.00      7,073,280.00      -300,150.00    -4.24%

        其他权益工具投资      167,021,304.61    163,538,443.48      3,482,861.13    2.13%

        其他非流动金融资产      55,599,870.57      74,716,252.98    -19,116,382.41  -25.59%

        投资性房地产            24,600,460.17      33,029,184.30    -8,428,724.13  -25.52%

        固定资产            1,578,926,561.40  1,532,790,599.44    46,135,961.96    3.01%

        在建工程                56,660,559.06    169,633,546.22  -112,972,987.16  -66.60%

        使用权资产            424,543,789.12    491,079,905.42    -66,536,116.30  -13.55%

        无形资产              282,169,236.97    240,215,696.87    41,953,540.10    17.46%

        开发支出                90,071,254.76    115,394,912.70    -25,323,657.94  -21.95%

        商誉                  364,686,711.28    377,230,592.85    -12,543,881.57    -3.33%

        长期待摊费用            30,175,654.21      28,758,037.50      1,417,616.71    4.93%

        递延所得税资产          60,869,007.23      74,552,525.14    -13,683,517.91  -18.35%

        其他非流动资产        266,236,436.14    271,591,999.60    -5,355,563.46    -1.97%

  非流动资产合计            3,408,333,975.52  3,579,604,976.50  -171,271,000.98    -4.78%

  资 产总计            8,497,506,508.13    8,770,134,309.78  -272,627,801.65    -3.11%

      同比变化较大的项目说明:

      应收票据:应收票据到期收款所致。

      应收款项融资:银行承兑汇票余额重分类到本项目所致。

      在建工程:公司哈尔滨工业园区厂房和境外汽车电子生产线及设
  备建设完成转入固定资产所致。

      (二)负债情况

      截至 2024 年末,负债总额 4,145,043,257.40 元,较年初
  4,374,709,593.96 元,降幅 5.25%。流动负债 3,103,548,273.07 元,
  占负债总额的比例为 74.87%;非流动负债 1,041,494,984.33 元,占
  负债总额的比例为 25.13%。主要负债明细情况如下表:

              表 2  2024 年主要负债构成明细表(单位:人民币元)

        项    目              2024.12.31        2023.12.31          增减额        变化率

流动负债:

      短期借款                  392,820,515.53      231,829,604.42    160,990,911.11    69.44%

      衍生金融负债                                      4,716,943.30      -4,716,943.30  -100.00%

      应付票据                  352,764,517.67      420,310,561.57    -67,546,043.90  -16.07%

      应付账款                1,585,377,497.24    1,558,002,367.14      27,375,130.10    1.76%


      合同负债                  196,108,401.55      179,978,245.14      16,130,156.41    8.96%

      应付职工薪酬              150,534,753.31      161,580,236.86    -11,045,483.55    -6.84%

      应交税费                    40,428,750.94      53,464,375.93    -13,035,624.99  -24.38%

      应付股利                      558,473.78          567,937.36          -9,463.58    -1.67%

      其他应付款                149,106,272.44      52,673,805.79      96,432,466.65  183.07%

      一年内到期的非流动负债    207,420,122.02      200,584,663.39      6,835,458.63    3.41%

      其他流动负债                28,987,442.37      33,613,228.65      -4,625,786.28  -13.76%

流动负债合计                    3,103,548,273.07    2,896,754,032.19    206,794,240.88    7.14%

非流动负债:

      长期借款                  157,122,506.29      501,989,377.44    -344,866,871.15  -68.70%

      租赁负债                  384,492,817.61      455,488,608.50    -70,995,790.89  -15.59%

      长期应付款                167,454,231.79      144,219,437.67      23,234,794.12    16.11%

      长期应付职工薪酬          116,366,648.00      134,002,897.50    -17,636,249.50  -13.16%

      预计负债                  29,802,325.37      31,202,415.89      -1,400,090.52    -4.49%

      递延收益                  37,229,228.03      45,366,519.25      -8,137,291.22  -17.94%

      递延所得税负债            53,109,411.84      47,644,074.97      5,465,336.87    11.47%

      其他非流动负债            95,917,815.40      118,042,230.55    -22,124,415.15