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首页 公告 阳谷华泰:2025年度财务决算报告

阳谷华泰:2025年度财务决算报告

公告日期:2026-03-27


                      山东阳谷华泰化工股份有限公司

                          2025 年度财务决算报告

        山东阳谷华泰化工股份有限公司(以下简称“公司”)2025 年 12 月 31 日的资产负债表、2025

    年度的利润表、现金流量表、股东权益变动表以及财务报表附注已经信永中和会计师事务所(特殊

    普通合伙)审计,并出具标准无保留意见的审计报告,现将决算情况报告如下:

        一、主要财务指标

                                                                              单位:元

        项目                  2025 年                  2024 年              本年比上年增减

      营业收入              3,443,372,293.57          3,430,815,005.22              0.37%

归属于上市公司股东的        197,344,422.42            192,126,518.09              2.72%

      净利润

归属于上市公司股东的

扣除非经常性损益的净        188,919,460.42            188,249,019.07              0.36%

        利润

经营活动产生的现金流        394,262,084.18            379,937,143.51              3.77%

      量净额

基本每股收益(元/股)            0.45                      0.47                  -4.26%

稀释每股收益(元/股)            0.45                      0.47                  -4.26%

加权平均净资产收益率            5.53%                    5.80%                  -0.27%

        项目                  2025 年末                2024 年末          本年末比上年末增减

      资产总额              4,526,470,805.61          4,481,958,723.87              0.99%

归属于上市公司股东的        3,608,291,208.73          3,513,695,821.23              2.69%

      净资产

        公司净利润较上年同期上涨主要原因是,公司本报告期高性能橡胶助剂类产品销量上涨、部分

    多功能橡胶助剂类产品销售价格上涨、可转债利息费用减少,从而导致净利润同比增长。

        二、财务状况、经营成果和现金流量分析

        (一)报告期资产负债情况

                                                                            单位:元

          项目            2025 年 12 月 31 日        2025 年 1 月 1 日      增减变动幅度

        货币资金          548,683,957.66          546,351,532.26          0.43%

      交易性金融资产        100,364,940.00          208,182,037.49        -51.79%

        应收票据            66,406,887.81          66,856,690.36          -0.67%


      项目            2025 年 12 月 31 日        2025 年 1 月 1 日      增减变动幅度

    应收账款          938,421,591.04        1,031,863,706.16        -9.06%

  应收款项融资        190,397,003.37          107,124,175.73          77.73%

    预付款项            37,861,522.74          50,650,688.73          -25.25%

    其他应收款          16,404,470.35          21,090,624.64          -22.22%

      存货            490,816,782.85          492,626,232.40          -0.37%

一年内到期的非流动                              12,500,000.00

      资产

  其他流动资产          58,951,534.76          30,378,125.77          94.06%

  流动资产合计        2,448,308,690.58        2,567,623,813.54        -4.65%

  长期股权投资          42,640,293.87          37,942,521.03          12.38%

其他非流动金融资产      12,750,662.36          18,700,067.80          -31.81%

    固定资产          1,263,255,413.27        1,269,657,302.77        -0.50%

    在建工程          358,378,610.31          267,359,182.90          34.04%

    无形资产          217,293,340.41          195,600,219.46          11.09%

      商誉              14,513,968.89          14,513,968.89          0.00%

  长期待摊费用                                  8,167,256.20

  递延所得税资产        32,352,419.95          38,808,286.07          -16.64%

  其他非流动资产        136,977,405.97          63,586,105.21          115.42%

  非流动资产合计      2,078,162,115.03        1,914,334,910.33        8.56%

    资产总计          4,526,470,805.61        4,481,958,723.87        0.99%

    短期借款          207,028,096.85          218,051,722.23          -5.06%

    应付票据            30,000,000.00          46,012,039.42          -34.80%

    应付账款          222,135,667.65          276,788,458.82        -19.75%

    合同负债            5,121,712.19            5,317,356.44          -3.68%

  应付职工薪酬          28,595,625.90          26,934,984.67          6.17%

    应交税费            26,701,810.44          23,603,617.30          13.13%

    其他应付款          6,288,942.02          41,562,661.41          -84.87%

一年内到期的非流动      1,776,399.46          21,189,848.28          -91.62%
      负债

  其他流动负债          1,640,729.75            1,346,087.49          21.89%


      项目            2025 年 12 月 31 日        2025 年 1 月 1 日      增减变动幅度

  流动负债合计        529,288,984.26          660,806,776.06        -19.90%

    长期借款            45,000,000.00

    应付债券          263,162,738.48          250,252,512.74          5.16%

    预计负债            168,000.00            2,532,000.00          -93.36%

    递延收益            31,535,750.08          35,237,785.47          -10.51%

  递延所得税负债        15,661,384.71          18,205,115.98          -13.97%

  非流动负债合计        355,527,873.27          306,227,414.19          16.10%

    负债合计          884,816,857.53          967,034,190.25          -8.50%

      股本            445,233,982.00          448,709,512.00          -0.77%

  其他权益工具          75,003,986.21          75,291,006.06          -0.38%

    资本公积          1,361,966,141.78        1,407,477,197.00        -3.23%

    减:库存股          54,858,948.60          54,858,948.60          0.00%

  其他综合收益          4,465,505.39            -243,357.73          1934.96%

    专项储备            25,856,163.93          22,423,495.06          15.31%

    盈余公积          210,145,924.