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首页 公告 睿智医药:2023年度财务决算报告

睿智医药:2023年度财务决算报告

公告日期:2024-04-26

睿智医药:2023年度财务决算报告 PDF查看PDF原文

                    睿智医药科技股份有限公司

                      2023 年度财务决算报告

        根据一年来公司经营成果、财务状况和现金流量情况,现就公司财务情况

    报告如下:

        公司2023年度财务会计报表已经安永华明会计师事务所(特殊普通合伙)

    审计,并出具了安永华明(2024)审字第70055119_B01号标准的无保留意见审

    计报告,会计报表反映的主要财务数据如下:

        一、主要会计数据和财务指标

                                        2023 年            2022 年      本年比上年增减      2021 年

营业收入(元)                        1,138,365,803.00  1,326,584,320.12          -14.19%  1,690,677,943.33

归属于上市公司股东的净利润(元)      -907,942,668.84    378,585,006.97        -339.83%    -402,245,074.78

归属于上市公司股东的扣除非经常性      -910,509,253.44    -607,459,492.95          -49.89%    -422,303,938.34
损益的净利润(元)

经营活动产生的现金流量净额(元)        150,992,314.83    262,460,386.22          -42.47%    378,219,891.25

基本每股收益(元/股)                          -1.8200          0.7600        -339.47%            -0.81

稀释每股收益(元/股)                          -1.8200          0.7600        -339.47%            -0.81

加权平均净资产收益率                        -47.50%          17.52%          -65.02%          -18.40%

                                      2023 年末          2022 年末      本年末比上年末      2021 年末

                                                                            增减

资产总额(元)                        2,459,092,930.12  3,823,897,141.71          -35.69%  4,217,591,526.68

归属于上市公司股东的净资产(元)      1,461,416,599.86  2,361,536,001.31          -38.12%  1,964,444,590.44

        报告期内,公司实现营业收入113,836.58万元,同比下降14.19%;实现归属

    于上市公司股东的净利润为-90,794.27万元。收入同比下降主要系公司于2022年

    上半年置出小分子CDMO和益生元业务,本报告期较往年减少了该两个业务板块

    收入所致;归属上市公司股东的净利润同比大幅下降主要系因为2022年上半年公

    司出售益生元业务实现投资收益较多且本报告期计提了大额资产减值所致。

        二、2023 年度财务状况

        1、重要资产及负债情况

                                                                          单位:元

                      2023 年末                  2023 年初

                  金额      占总资产      金额      占总资产  比重增减        重大变动说明

                                比例                      比例


                                                                                上年同期公司收到子公司
货币资金      347,259,606.50    14.12%  761,664,274.51    19.92%      -5.80%  股权转让款。本年度偿还
                                                                                了部分银行借款导致货币
                                                                                资金减少。

                                                                                应收账款的减少主要系本
应收账款      263,852,545.51    10.73%  341,494,608.74    8.93%      1.80%  期收入减少,另外,按照预
                                                                                计信用损失计提的准备金
                                                                                增加。

合同资产        4,254,346.16      0.17%    8,379,153.51    0.22%      -0.05%  主要是期末按项目进度确
                                                                                认的应收款减少。

存货            27,882,102.21      1.13%    42,816,581.17    1.12%      0.01%  主要系长货龄存货增加导
                                                                                致计提的存货跌价增加。

                                                                                由于礼乐新厂区建设完
投资性房地产    79,212,318.12      3.22%    14,185,186.11    0.37%      2.85%  成,本期新增了对外出租
                                                                                的房地产。

长期股权投资  197,494,208.01      8.03%  197,017,953.01    5.15%      2.88%

固定资产      373,935,752.78    15.21%  374,538,085.14    9.79%      5.42%

                                                                                主要系本期睿智医药开发
在建工程        7,962,682.98      0.32%    75,357,552.79    1.97%      -1.65%  有限公司投产,房屋转固
                                                                                以及礼乐新厂区完工。

使用权资产    469,490,716.35    19.09%  523,721,695.83    13.70%      5.39%

短期借款        60,002,611.08      2.44%  115,022,611.12    3.01%      -0.57%  主要系本期归还了银行借
                                                                                款。

合同负债        73,239,572.90      2.98%    74,481,318.46    1.95%      1.03%

长期借款        43,674,916.00      1.78%  177,209,980.14    4.63%      -2.85%  主要系本期偿还部分银行
                                                                                借款所致。

租赁负债      457,730,352.76    18.61%  495,253,209.94    12.95%      5.66%

    2、费用情况

                                                                            单位:元

                          2023 年              2022 年              同比增减          重大变动说明

销售费用                    45,596,590.27        61,845,610.74              -26.27%

管理费用                  212,549,928.34        246,298,019.71              -13.70%

财务费用                    14,024,740.38          11,814,457.38              18.71%

研发费用                    77,468,257.76        92,278,125.34              -16.05%

    3、现金流情况

                                                                            单位:元

            项目                      2023 年                  2022 年                同比增减

经营活动现金流入小计                    1,313,071,840.01          1,438,863,027
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