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北陆药业:2023年年度财务报告

公告日期:2024-04-22

北陆药业:2023年年度财务报告 PDF查看PDF原文

                  2023年度财务决算报告

  2023 年度北京北陆药业股份有限公司(以下简称“公司”)在董事会领导下,管理层和全体员工稳健有序地开展经营工作。2023 年度财务会计报表已经致同会计师事务所(特殊普通合伙)审计验证,并出具了致同审字(2024)第 110A012740号标准无保留意见的审计报告。公司依据本年经营及财务情况编制《2023 年度财务决算报告》,现报告如下:

    一、2023 年度主要会计数据

                                                                                  单位:万元

              经营成果                    2023 年        2022 年      本年比上年增减

 营业收入                                      89,071.81      76,588.19              16.30%

 营业成本                                      47,200.82      34,165.63              38.15%

 营业利润                                    -10,043.88      -1,328.26            -656.17%

 利润总额                                    -10,115.47      -1,476.17            -585.25%

 归属于上市公司股东的净利润                    -7,175.71        1,128.39            -735.92%

 归属于上市公司股东的扣除非经常性损益        -6,954.62      -2,655.06            -161.94%
 的净利润

 经营活动产生的现金流量净额                    5,846.08      12,781.28            -54.26%

              财务状况                  2023 年末      2023 年初    本年末比上年末增减

 资产总额                                    281,942.40      281,868.11              0.03%

 负债总额                                    103,311.18      89,538.88              15.38%

 归属于上市公司股东的净资产                  165,061.74      177,640.91              -7.08%

 总股本                                        49,193.48      49,195.66              0.00%

    报告期内,公司用自有资金出资设立安徽陆盈药业有限公司(以下简称 安徽陆盈)、河北
陆源药业有限公司(以下简称 河北陆源)、香港遠至藥業有限公司(以下简称 香港远志)三家子公司和一家孙公司陆芝葆药业有限公司(以下简称 陆芝葆)。

    本报告期,公司实现营业收入 89,071.81 万元,同比增长 16.30%。母公司实现营业收入
中枢神经类产品九味镇心颗粒销售收入 14,078.23 万元,同比增长 13.10%;降糖类产品销售收
入 9,455.24 万元,同比增长 59.02%。海昌药业实现销售收入 22,174.76 万元,同比增长 54.79%。
    报告期内,归属于上市公司股东的净利润-7,175.71 万元,同比减少 735.92%,其中母公司
净利润-763.26 万元,同比减少 121.49%;归属于上市公司股东的扣除非经常性损益的净利润-6,954.62 万元,同比减少 161.94%。本报告期,归属于上市公司股东的扣除非经常性损益的净利润同比出现显著下滑的主要原因一是公司对收购浙江海昌药业股份有限公司形成的商誉计提减值损失 3,182.16 万元,二是为了在激烈的市场竞争中保持持久的竞争力,除了继续深化现有业务的经营外,公司持续在对比剂、中枢神经、内分泌、消化系统、心血管等多个领域积极布局和立项新产品,因此本报告期内研发投入较上年同期增加 2,256.41 万元,增幅 22.62%。
    (一)2023 年度财务状况

    1、报告期资产结构及同比变动

                                                                                  单位:万元

        项目                  2023 年末                  2023 年初            同比增减

 流动资产                                119,679.21              117,801.30          1.59%

 非流动资产                              162,263.20              164,066.81          -1.10%

 资产总额                                281,942.40              281,868.11          0.03%

 其中:

 货币资金                                74,844.60                76,673.46          -2.39%

 应收票据                                  350.78                  646.37        -45.73%

 应收账款                                18,504.33                10,620.22          74.24%

 存货                                    24,485.91                27,622.16        -11.35%

 长期股权投资                            20,091.65                19,896.17          0.98%

 其他非流动金融资产                      35,504.51                36,212.65          -1.96%

 固定资产                                75,588.41                78,290.66          -3.45%

 使用权资产                                995.19                1,256.63        -20.80%

 无形资产                                12,838.89                12,510.10          2.63%

 在建工程                                11,039.09                4,498.62        145.39%

 商誉                                                              3,182.16        -100.00%

    2023 年末,公司资产总额 281,942.40 万元,较期初增加 74.30 万元,增幅 0.03%。其中,
期末流动资产 119,679.21 万元,占总资产的 42.45%,较期初增加 1,877.91 万元,增幅 1.59%;
期末非流动资产 162,263.20 万元,占总资产的 57.55%,较期初减少 1,803.61 万元,降幅 1.10%。
主要资产项目变动分析如下:

    (1)在建工程期末余额 11,039.09 万元,较期初增加 145.39%,系本期对沧州三期原料生
产项目的持续投入。

    (2)商誉期末余额 0.00 万元,较期初减少 100.00%,主要系公司对收购海昌药业形成的
商誉计提减值准备。

    2、债务结构及同比变化

                                                                                  单位:万元

          项目                    2023 年末                2023 年初          同比增减

 流动负债                                  35,916.99              30,266.91          18.67%

 非流动负债                                67,394.20              59,271.98          13.70%

 负债合计                                103,311.18              89,538.88          15.38%

 其中:

 短期借款                                  17,556.32              10,761.17          63.15%

 应付票据                                  2,006.70              5,478.13        -63.37%

 应付账款                                  9,505.75              8,612.20          10.38%

 一年内到期的非流动负债                    1,605.61              1,324.00          21.27%

 长期借款                                  12,995.00              8,978.00          44.74%

 应付债券                                  46,259.81              42,650.36          8.46%

    2023 年末,公司负债合计 103,311.18 万元,较期初增加 13,772.30 万元,增幅 15.38%。其
中,期末流动负债 35,916.99 万元,较期初增加 5,650.08 万元,增幅 18.67%;期末非流动负债
67,394.20 万元,较期初增加 8,122.22 万元,增幅 13.70%。主要负债项目变动分析如下:

    短期借款期末余额 17,556.32 万元,较期初增加 63.15%,长期借款期末余额 12,995.00 万
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