{ "company_name": "国光电器股份有限公司", "report_title": "2026年第一季度报告", "stock_code": "002045", "stock_abbreviation": "国光电器", "announcement_number": "2026-29", "guarantee_statement": "本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。", "important_notice": [ "董事会及董事、高级管理人员保证季度报告的真实、准确、完整,不存在虚假记载、误导性陈述或重大遗漏,并承担个别和连带的法律责任。", "公司负责人、主管会计工作负责人及会计机构负责人(会计主管人员)声明:保证季度报告中财务信息 的真实、准确、完整。", "第一季度财务会计报告是否经审计 □是 否" ], "section1": { "title": "一、主要财务数据", "subsection1": { "title": "(一) 主要会计数据和财务指标", "restatement_of_previous_years": "公司是否需追溯调整或重述以前年度会计数据 □是 否", "financial_data": [ { "item": "营业收入(元)", "current_period": "1,532,894,011.77", "previous_period": "1,735,230,460.34", "change_percentage": "-11.66%" }, { "item": "归属于上市公司股东的净利润(元)", "current_period": "-25,741,000.75", "previous_period": "32,442,631.97", "change_percentage": "-179.34%" }, { "item": "归属于上市公司股东的扣除非经常性损益的净利润(元)", "current_period": "-39,851,494.24", "previous_period": "15,190,632.98", "change_percentage": "-362.34%" }, { "item": "经营活动产生的现金流量净额(元)", "current_period": "214,673,325.31", "previous_period": "336,289,104.08", "change_percentage": "-36.16%" }, { "item": "基本每股收益(元/股)", "current_period": "-0.05", "previous_period": "0.06", "change_percentage": "-183.33%" }, { "item": "稀释每股收益(元/股)", "current_period": "-0.05", "previous_period": "0.06", "change_percentage": "-183.33%" }, { "item": "加权平均净资产收益率", "current_period": "-0.60%", "previous_period": "0.75%", "change": "下降 1.35个百分点" } ], "balance_sheet_changes": { "title": "本报告期末比上年度末增减(%)", "items": [ { "item": "总资产(元)", "current_period_end": "11,062,542,007.64", "previous_period_end": "10,545,426,460.80", "change_percentage": "4.90%" }, { "item": "归属于上市公司股东的所有者权益(元)", "current_period_end": "4,235,628,149.89", "previous_period_end": "4,286,315,633.38", "change_percentage": "-1.18%" } ] } }, "subsection2": { "title": "(二) 非经常性损益项目和金额", "applicable": "适用 □不适用", "unit": "单位:元", "items": [ { "item": "非流动性资产处置损益(包括已计提资产减值准备的冲销部分)", "current_period_amount": "5,194,411.91" }, { "item": "计入当期损益的政府补助(与公司正常经营业务密切相关、符合国家政策规定、按照确定的标准享有、对公司损益产生持续影响的政府补助除外)", "current_period_amount": "4,362,278.61" }, { "item": "除同公司正常经营业务相关的有效套期保值业务外,非金融企业持有金融资产和金融负债产生的公允价值变动损益以及处置金融资产和金融负债产生的损益", "current_period_amount": "6,966,491.80" }, { "item": "除上述各项之外的其他营业外收入和支出", "current_period_amount": "38,574.42" }, { "item": "减:所得税影响额", "current_period_amount": "2,451,263.25" }, { "item": "少数股东权益影响额(税后)", "current_period_amount": "0.00" }, { "item": "合计", "current_period_amount": "14,110,493.49", "description": "--" } ], "other_items_description": "其他符合非经常性损益定义的损益项目的具体情况 □适用 不适用 公司不存在其他符合非经常性损益定义的损益项目的具体情况。", "classification_explanation": { "applicable": "适用 □不适用", "items": [ { "item": "外汇衍生品交易", "amount": "7,963,369.74", "reason": "本公司以出口为主的企业,为规避主营业务中所产生的汇率波动风险,管理层根据汇率变化有计划地进行外汇衍生品交易业务。因此没有将外汇衍生品交易业务所产生的损益作为非经常性损益项目处理。" } ] } }, "subsection3": { "title": "(三) 主要会计数据和财务指标发生变动的情况及原因", "applicable": "适用 □不适用", "balance_sheet_changes": { "title": "(一)合并资产负债表项目变动超过 30%的情况及原因:", "items": [ "(1) 交易性金融资产较期初增加 447%,主要是本期末尚未到期的短期人民币结构理财本金增加。", "(2) 衍生金融资产较期初增加 68%,主要是本期未被指定为套期工具的外汇衍生品合同公允价值上升。", "(3) 应收票据较期初减少 36%,主要是本期末未到期应收票据减少。", "(4) 应收款项融资较期初增加 81%,主要是本期末被贴现的未到期应收票据增加。", "(5) 其他应收款较期初减少 40%,主要是本期收回江西基地投建保证金。", "(6) 其他非流动资产较期初增加 144%,主要是本期支付了设备工程款。", "(7) 债权投资较期初增加 6,235.27 万,主要是本期尚未到期的理财产品本金增加;", "(8) 衍生金融负债较期初增加 158%,主要是本期未被指定为套期工具的外汇衍生品合同公允价值下降。", "(9) 应付职工薪酬较期初减少 30%,主要是本期支付部分上年度计提的年终奖。", "(10) 应交税费较期初增加 76%,主要是本期末尚未支付的增值税增加。", "(11) 递延所得税负债较期初减少 35%,主要是本期末应纳税暂时性差异减少。", "(12) 其他综合收益较期初减少 174%,主要是外币财务报表折算差额减少。" ] }, "income_statement_changes": { "title": "(二)合并利润表项目变动超过 30%的情况及原因:", "items": [ "(1) 财务费用同比增加 55%,主要是本期受外币兑人民币汇率波动影响产生汇兑损失,上年同期产生汇兑收益。", "(2) 其他收益同比减少 71%,主要是本期计入当期损益的政府补助同比减少。", "(3) 投资收益同比减少 33%,主要是本期未被指定为套期工具的外汇衍生品合同产生投资收益同比减少。", "(4) 公允价值变动收益同比减少 160%,主要是本期外汇衍生品公允价值下降,上年同期外汇衍生品公允价值下降上升。", "(5) 信用减值损失同增加 100%,主要是本期转回的应收账款坏账准备同比减少。", "(6) 资产减值损失同比增加 78%,主要是本期计提的存货跌价准备同比增加。", "(7) 资产处置收益同比增加 1551786%,主要是本期转让固定资产而结转的相应损益同比增加。", "(8) 营业外收入同比减少 37%,主要是本期结转客户赔偿相关损益同比减少。", "(9) 营业外支出同比增加 285%,主要是本期支付赔付款,上年同期无。", "(10) 所得税费用同比减少 32%,主要是本期营业利润同比减少。" ] }, "cash_flow_statement_changes": { "title": "(三)合并现金流量表项目变动超过 30%的情况及原因:", "items": [ "(1) 销售商品、提供劳务收到的现金减少 31%,主要是 2025 年第四季度营业收入同比减少。", "(2) 收到的税费返还同比减少 56%,主要是本期收到出口退税款同比减少。", "(3) 收到其他与经营活动有关的现金同比增加 158%,主要是本期收回的外汇衍生品合同业务保证金同比增加。", "(4) 购买商品、接受劳务支付的现金同比减少 39%,主要是本期支付材料款同比减少。", "(5) 支付的各项税费同比减少 40%,主要是本期支付的所得税款同比减少。", "(6) 支付其他与经营活动有关的现金同比增加 346%,主要是本期支付的外汇衍生品合同业务保证金同比增加。", "(7) 收回投资收到的现金同比增加 137%,主要是本期收回到期的理财产品本金同比增加。", "(8) 取得投资收益收到的现金同比增加 1424%, 主要是本期收到的理财产品收益同比增加。", "(9) 处置固定资产、无形资产和其他长期资产收回的现金净额同比增加 108%,主要是本期收到固定资产转让款同比增加。", "(10) 收到其他与投资活动有关的现金同比增加 5,000 万元,主要是本期收回江西基地投建保证金,上年同期无。", "(11) 投资支付的现金同比增加 285%,主要是本期购买理财产品增加。", "(12) 取得借款收到的现金同比增加 33%,主要是本期收到的银行借款同比增加。", "(13) 收到其他与筹资活动有关的现金减少约 100%,主要是上年同期收到第三期员工持股计划缴款,本期期无。", "(14) 偿还债务支付的现金同比增加 130%,主要是本期偿还的到期银行借款同比增加。", "(15) 分配股利、利润或偿付利息支付的现金同比增加约 84%,主要是本期偿还银行借款利息同比增加。", "(16) 支付其他与筹资活动有关的现金同比增加 49%,主要是本期支付的租赁款同比增加。", "(17) 汇率变动对现金及现金等价物的影响同比减少 7582%,主要是本期受外币货币资金兑人民币汇率波动影响产生汇兑损失同比增加。" ] } } }, "section2": { "title": "二、股东信息", "subsection1": { "title": "(一) 普通股股东总数和表决权恢复的优先股股东数量及前十名股东持股情况表", "total_ordinary_shareholders": "77,712", "total_voting_preferred_shareholders": "0", "top_10_shareholders": { "note": "(不含通过转融通出借股份)", "columns": [ "股东名称", "股东性质", "持股数量", "持股比例(%)", "持有有限售条件股份数量", "质押、标记或冻结情况", "股份状态", "数量" ], "data": [ { "shareholder_name": "深圳智度国光投资发展有限公司", "shareholder_type": "境内非国有法人", "holding_quantity": "63,109,650", "holding_percentage": "11.22%", "restricted_shares": "0", "pledged_marked_frozen_status": "不适用", "pledged_marked_frozen_quantity": "0" }, { "shareholder_name": "智度科技股份有限公司", "shareholder_type": "境内非国有法人", "holding_quantity": "53,846,999", "holding_percentage": "9.57%", "restricted_shares": "0", "pledged_marked_frozen_status": "不适用", "pledged_marked_frozen_quantity": "0" }, { "shareholder_name": "国光电器股份有限公司-第三期员工持股计划", "shareholder_type": "境内非国有法人", "holding_quantity": "10,980,996", "holding_percentage": "1.95%", "restricted_shares": "0", "pledged_marked_frozen_status": "不适用", "pledged_marked_frozen_quantity": "0" }, { "shareholder_name": "拉萨经济技术开发区智恒咨询有限公司", "shareholder_type": "境内非国有法人", "holding_quantity": "10,570,824", "holding_percentage": "1.88%", "restricted_shares": "0", "pledged_marked_frozen_status": "不适用", "pledged_marked_frozen_quantity": "0" }, { "shareholder_name": "北京泛信壹号股权投资中心(有限合伙)", "shareholder_type": "境内非国有法人", "holding_quantity": "8,602,801", "holding_percentage": "1.53%", "restricted_shares": "0", "pledged_marked_frozen_status": "不适用", "pledged_marked_frozen_quantity": "0" }, { "shareholder_name": "香港中央结算有限公司", "shareholder_type": "境外法人", "holding_quantity": "4,590,634", "holding_percentage": "0.82%", "restricted_shares": "0", "pledged_marked_frozen_status": "不适用", "pledged_marked_frozen_quantity": "0" }, { "shareholder_name": "智度集团有限公司-苏州工业园区惠真股权投资中心(有限合伙)", "shareholder_type": "境内非国有法人", "holding_quantity": "4,374,471", "holding_percentage": "0.78%", "restricted_shares": "0", "pledged_marked_frozen_status": "不适用", "pledged_marked_frozen_quantity": "0" }, { "shareholder_name": "胡莹", "shareholder_type": "境内自然人", "holding_quantity": "3,495,900", "holding_percentage": "0.62%", "restricted_shares": "0", "pledged_marked_frozen_status": "不适用", "pledged_marked_frozen_quantity": "0" }, { "shareholder_name": "王淑芬", "shareholder_type": "境内自然人", "holding_quantity": "2,845,000", "holding_percentage": "0.51%", "restricted_shares": "0", "pledged_marked_frozen_status": "不适用", "pledged_marked_frozen_quantity": "0" }, { "shareholder_name": "江西中文传媒蓝海国际投资有限公司", "shareholder_type": "境内非国有法人", "holding_quantity": "1,721,844", "holding_percentage": "0.31%", "restricted_shares": "0", "pledged_marked_frozen_status": "不适用", "pledged_marked_frozen_quantity": "0" } ] }, "top_10_unrestricted_shareholders": { "note": "(不含通过转融通出借股份、高管锁定股)", "columns": [ "股东名称", "持有无限售条件股份数量", "股份种类", "数量" ], "data": [ { "shareholder_name": "深圳智度国光投资发展有限公司", "unrestricted_shares_held": "63,109,650", "share_type": "人民币普通股", "quantity": "63,109,650" }, { "shareholder_name": "智度科技股份有限公司", "unrestricted_shares_held": "53,846,999", "share_type": "人民币普通股", "quantity": "53,846,999" }, { "shareholder_name": "国光电器股份有限公司-第三期员工持股计划", "unrestricted_shares_held": "10,980,996", "share_type": "人民币普通股", "quantity": "10,980,996" }, { "shareholder_name": "拉萨经济技术开发区智恒咨询有限公司", "unrestricted_shares_held": "10,570,824", "share_type": "人民币普通股", "quantity": "10,570,824" }, { "shareholder_name": "北京泛信壹号股权投资中心(有限合伙)", "unrestricted_shares_held": "8,602,801", "share_type": "人民币普通股", "quantity": "8,602,801" }, { "shareholder_name": "香港中央结算有限公司", "unrestricted_shares_held": "4,590,634", "share_type": "人民币普通股", "quantity": "4,590,634" }, { "shareholder_name": "智度集团有限公司-苏州工业园区惠真股权投资中心(有限合伙)", "unrestricted_shares_held": "4,374,471", "share_type": "人民币普通股", "quantity": "4,374,471" }, { "shareholder_name": "胡莹", "unrestricted_shares_held": "3,495,900", "share_type": "人民币普通股", "quantity": "3,495,900" }, { "shareholder_name": "王淑芬", "unrestricted_shares_held": "2,845,000", "share_type": "人民币普通股", "quantity": "2,845,000" }, { "shareholder_name": "江西中文传媒蓝海国际投资有限公司", "unrestricted_shares_held": "1,721,844", "share_type": "人民币普通股", "quantity": "1,721,844" } ] }, "related_party_disclosure": "深圳智度国光投资发展有限公司、智度科技股份有限公司、拉萨经济技术开发区智恒咨询有限公司、北京泛信壹号股权投资中心(有限合伙)、智度集团有限公司-苏州工业园区惠真股权投资中心(有限合伙)是一致行动人。未知上述其他股东是否存在关联关系或一致行动关系。", "margin_trading_disclosure": "前 10 名股东参与融资融券业务情况说明(如有) □ 适用 不适用", "securities_lending_disclosure": { "title": "持股 5%以上股东、前 10 名股东及前 10 名无限售流通股股东参与转融通业务出借股份情况", "applicable": "□ 适用 不适用", "change_disclosure": "前 10 名股东及前 10 名无限售流通股股东因转融通出借 / 归还原因导致较上期发生变化 □ 适用 不适用" } }, "subsection2": { "title": "(二) 公司优先股股东总数及前 10 名优先股股东持股情况表", "applicable": "□ 适用 不适用" } }, "section3": { "title": "三、其他重要事项", "applicable": "适用 □不适用", "items": [ { "title": "1.第三期员工持股计划提前终止", "content": "公司于 2026 年 3 月 16 日召开第十一届董事会第二十四次会议审议通过了《关于提前终止第三期员工持股计划的议案》。根据市场环境变化及公司 2026 年 1 月 27 日披露的《2025 年度业绩预告》,第三期员工持股计划难以实现预期激励目的和效果,综合考虑本次员工持股计划持有人的意愿及资金占用成本,为更好地维护公司、股东和员工的利益,公司董事会依据《公司法》《证券法》《关于上市公司实施员工持股计划试点的指导意见》及公司《第三期员工持股计划(修订稿)》等有关规定,经慎重考虑,提前终止第三期员工持股计划。\n根据第三期员工持股计划的相关规定,经员工持股计划持有人会议、公司董事会审议通过,公司第三期员工持股计划提前终止。第三期员工持股计划管理委员会将在员工持股计划持有人会议的授权下择机出售第三期员工持股计划所持股票,出售所获得的资金归属于公司,公司以该资金额为限返还持有人原始出资金额及银行同期存款利息。" } ] }, "section4": { "title": "四、季度财务报表", "subsection1": { "title": "(一) 财务报表", "sub_subsection1": { "title": "1、合并资产负债表", "preparer": "编制单位:国光电器股份有限公司", "unit": "单位:元", "columns": [ "项目", "期末余额", "期初余额" ], "assets": { "title": "流动资产:", "items": [ { "item": "货币资金", "current_period_end": "2,850,916,303.88", "beginning_of_period": "2,672,472,200.56" }, { "item": "结算备付金" }, { "item": "拆出资金" }, { "item": "交易性金融资产", "current_period_end": "360,000,000.00", "beginning_of_period": "65,806,022.23" }, { "item": "衍生金融资产", "current_period_end": "15,284,606.74", "beginning_of_period": "9,116,574.43" }, { "item": "应收票据", "current_period_end": "13,504,102.14", "beginning_of_period": "21,058,173.49" }, { "item": "应收账款", "current_period_end": "1,558,484,783.88", "beginning_of_period": "1,552,399,595.07" }, { "item": "应收款项融资", "current_period_end": "61,196,875.72", "beginning_of_period": "33,865,585.47" }, { "item": "预付款项", "current_period_end": "46,880,817.56", "beginning_of_period": "38,329,536.23" }, { "item": "应收保费" }, { "item": "应收分保账款" }, { "item": "应收分保合同准备金" }, { "item": "其他应收款", "current_period_end": "71,967,827.01", "beginning_of_period": "119,629,800.19" }, { "item": "其中:应收利息" }, { "item": "应收股利" }, { "item": "买入返售金融资产" }, { "item": "存货", "current_period_end": "1,157,188,391.73", "beginning_of_period": "1,114,377,508.86" }, { "item": "其中:数据资源" }, { "item": "合同资产" }, { "item": "持有待售资产" }, { "item": "一年内到期的非流动资产", "current_period_end": "360,780,000.93", "beginning_of_period": "489,253,197.87" }, { "item": "其他流动资产", "current_period_end": "978,551,104.89", "beginning_of_period": "966,713,178.67" }, { "item": "流动资产合计", "current_period_end": "7,474,754,814.48", "beginning_of_period": "7,083,021,373.07" } ] }, "non_current_assets": { "title": "非流动资产:", "items": [ { "item": "发放贷款和垫款" }, { "item": "债权投资", "current_period_end": "62,352,708.33" }, { "item": "其他债权投资", "current_period_end": "462,617,629.12", "beginning_of_period": "470,408,909.64" }, { "item": "长期应收款", "current_period_end": "460,425.30", "beginning_of_period": "513,746.13" }, { "item": "长期股权投资", "current_period_end": "561,849,725.31", "beginning_of_period": "557,272,840.77" }, { "item": "其他权益工具投资" }, { "item": "其他非流动金融资产", "current_period_end": "51,088,083.10", "beginning_of_period": "51,423,378.41" }, { "item": "投资性房地产", "current_period_end": "66,061,590.76", "beginning_of_period": "66,663,854.07" }, { "item": "固定资产", "current_period_end": "1,234,794,475.55", "beginning_of_period": "1,217,006,260.75" }, { "item": "在建工程", "current_period_end": "484,228,533.98", "beginning_of_period": "483,027,802.80" }, { "item": "生产性生物资产" }, { "item": "油气资产" }, { "item": "使用权资产", "current_period_end": "56,929,857.18", "beginning_of_period": "58,336,524.57" }, { "item": "无形资产", "current_period_end": "264,028,775.09", "beginning_of_period": "265,043,055.19" }, { "item": "其中:数据资源" }, { "item": "开发支出" }, { "item": "其中:数据资源" }, { "item": "商誉" } ] } } } } }
002045SZSE
Guangdong Guoguang Electric Co., Ltd. - 2026 First Quarter Report
✨ AI Summary
Guangdong Guoguang Electric Co., Ltd. released its 2026 first quarter report. Revenue decreased by 11.66% to 1.53 billion yuan, and net profit attributable to shareholders turned to a loss of 25.74 million yuan, a significant drop from the previous year. Operating cash flow also declined by 36.16%. The company experienced substantial changes in various balance sheet and income statement items, largely attributed to fluctuations in financial assets/liabilities, government subsidies, and investment income.
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