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300014 深市 亿纬锂能


首页 公告 亿纬锂能:2025年度财务决算报告

亿纬锂能:2025年度财务决算报告

公告日期:2026-03-28


        证券代码:300014              证券简称:亿纬锂能              公告编号:2026-024

                      惠州亿纬锂能股份有限公司

                        2025 年度财务决算报告

              公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记

          载、误导性陈述或重大遗漏。

            一、2025 年度公司财务报表的审计情况

            惠州亿纬锂能股份有限公司(以下简称“公司”)2025 年财务报表已经容诚会计

        师事务所(特殊普通合伙)审计,出具了容诚审字[2026]200Z1824 号标准无保留意见

        的审计报告。

            二、财务状况

            1、资产构成情况

                                                                                                单位:元

      项目      2025 年 12 月 31 日 2024 年 12 月 31 日    增减金额    变动幅度        变动原因

货币资金              8,501,799,285.35  9,064,859,345.79  -563,060,060.44  -6.21%

交易性金融资产        7,785,000,000.00  4,527,842,320.00  3,257,157,680.00 71.94%购买结构性存款。

衍生金融资产          383,964,941.50                    383,964,941.50        现金流量套期公允价值变动。

应收票据              5,126,407,622.31  2,982,874,308.55  2,143,533,313.76 71.86%收到客户以票据支付的货款增
                                                                              加。

应收账款            14,860,257,383.23  13,098,572,528.22  1,761,684,855.01 13.45%

应收款项融资          2,650,173,677.73  1,050,582,538.65  1,599,591,139.08 152.26%收到客户以票据支付的货款增
                                                                              加。

预付款项              1,412,515,883.35    519,687,092.77  892,828,790.58 171.80%预付供应商货款。

其他应收款            335,210,502.63    138,798,794.63  196,411,708.00 141.51%支付交易保证金。

                                                                              随着新建产能持续释放,为满
存货                  8,239,887,039.65  5,251,441,952.53  2,988,445,087.12 56.91%足客户需求,电池出货规模增
                                                                              长,存货相应增加。

合同资产              432,901,286.06    256,055,753.94  176,845,532.12 69.07%应收质保金增加。

持有待售资产          2,313,584,188.57                  2,313,584,188.57        拟转让部分长期股权投资。

其他流动资产          1,256,887,768.34    745,454,487.70  511,433,280.64 68.61% 持续投入产线建设带来增值
                                                                              税进项税额的增加。

债权投资              2,045,000,811.36  1,971,725,963.55    73,274,847.81  3.72%

其他债权投资                              11,790,718.16    -11,790,718.16-100.00%转让了前期认购的可转换债
                                                                              券。

长期股权投资        12,521,451,328.67  14,866,661,606.38 -2,345,210,277.71 -15.77%


 其他权益工具投资      298,540,552.15    332,911,345.01    -34,370,792.86 -10.32%

 固定资产            32,153,781,767.79  30,317,973,232.06  1,835,808,535.73  6.06%

                                                                              采购的设备陆续到货以及增加
 在建工程            17,520,971,218.00  9,307,781,435.63  8,213,189,782.37 88.24%厂房建设投入,带来在建工程
                                                                              金额的增加。

 使用权资产            141,249,953.59    106,926,834.49    34,323,119.10 32.10%租入房屋。

 无形资产              2,272,624,082.24  2,013,390,609.96  259,233,472.28 12.88%

 开发支出              158,952,426.59    117,573,423.67    41,379,002.92 35.19%待验收的资本化研发项目金额
                                                                              增加。

 商誉                    65,798,821.25      65,798,821.25            0.00  0.00%

 长期待摊费用            298,702,711.96    346,294,271.48    -47,591,559.52 -13.74%

 递延所得税资产        1,767,113,550.62  1,417,352,820.43  349,760,730.19 24.68%

 其他非流动资产        2,624,979,672.18  2,029,763,972.46  595,215,699.72 29.32%

            2、负债构成情况

                                                                                                单位:元

    项目      2025 年 12 月 31 日  2024 年 12 月 31 日    增减金额    变动幅度          变动原因

短期借款            706,335,000.01    1,236,046,136.47  -529,711,136.46    -42.86%归还了银行借款。

衍生金融负债          4,778,515.77      31,778,751.00    -27,000,235.23    -84.96%现金流量套期公允价值变动。

应付票据          5,191,101,695.83    3,408,868,197.02  1,782,233,498.81    52.28%支付供应商货款。

应付账款          33,009,698,589.05  25,512,401,961.68  7,497,296,627.37    29.39%

合同负债          1,489,994,067.37      367,130,957.67  1,122,863,109.70  305.85%预收客户货款。

应付职工薪酬        812,346,963.70      662,871,211.04  149,475,752.66    22.55%

应交税费            942,000,687.35      236,058,833.91  705,941,853.44  299.05%应交个人所得税和企业所得税
                                                                              增加。

其他应付款            47,351,146.53      35,565,837.56    11,785,308.97    33.14%收到交易保证金。

一年内到期的非    6,540,037,582.45    6,137,965,146.39  402,072,436.06    6.55%

流动负债

其他流动负债      3,507,433,076.77    2,209,512,097.36  1,297,920,979.41    58.74%公司背书支付了部分汇票。

长期借款          20,532,087,295.22  17,568,758,921.53  2,963,328,373.69    16.87%

应付债券          5,192,852,266.29      499,659,624.24  4,693,192,642.05  939.28%报告期内,公司向不特定对象
                                                                              发行了可转换公司债券。

租赁负债              89,642,292.96      66,058,149.79    23,584,143.17    35.70%租入房屋。

长期应付款          231,394,730.53      45,084,987.63  186,309,742