联系客服

301033 深市 迈普医学


首页 公告 迈普医学:2023年度财务决算报告

迈普医学:2023年度财务决算报告

公告日期:2024-04-19

迈普医学:2023年度财务决算报告 PDF查看PDF原文

          广州迈普再生医学科技股份有限公司

                2023 年度财务决算报告

    一、2023 年度公司财务报表审计情况

    广州迈普再生医学科技股份有限公司 2023 年度财务报表,经华
 兴会计师事务所(特殊普通合伙)审计,并出具了华兴审字 [2024]23013450010 号标准无保留意见的审计报告。

    二、关键财务指标

        项目              2023 年          2022 年        同比增减

应收账款周转率                  16.12            24.59      -34.43%

存货周转率                        1.48              1.22        21.13%

经营活动产生的现金流量 107,686,556.80    48,309,238.18      122.91%
净额(元)

基本每股收益(元/股)            0.62              0.54        14.81%

加权平均净资产收益率            6.63%            6.08%        0.55%

资产总额(元)          786,969,032.68    744,919,499.58        5.64%

归属于上市公司股东的净 635,858,213.41    602,582,289.54        5.52%
资产(元)

资产负债率                      19.20%            19.11%        0.09%

    三、主要财务数据

    2023 年度公司实现营业收入 23,086.97 万元,较去年同期增长
 18.24%;营业利润为 4,826.73 万元,较去年同期增长 16.74%;利 润总额为 4,802.17 万元,较去年同期增长 20.17%;归属上市公司 股东的净利润为 4,087.74 万元,较去年同期增长 13.89%;归属于 上市公司股东的扣除非经常性损益的净利润为 3,723.30 万元,较去 年同期增长 55.54%。

    1、2023 年度经营情况变动及说明

                                                          单位:万元

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

营业收入        23,086.97  19,525.24    18.24%

                  4,154.28  3,122.83    33.03% 主要系收入结构变
                                                  化,毛利率相对低的
                                                  颅颌面修补及固定系
营业成本                                          统、可吸收再生氧化
                                                  纤维素及硬脑膜医用
                                                  胶产品线收入占比增
                                                  加所致

销售费用          6,174.85  7,027.32    -12.13%

                  5,442.41  3,529.87    54.18% 主要系本报告期总部
管理费用                                          基地折旧摊销费增
                                                  加、股权激励增加及
                                                  中介服务费增加所致

研发费用          2,677.93  3,061.43    -12.53%

                    53.16    -10.01    630.85% 主要系本报告期利息
财务费用                                          支出增加、汇率变动
                                                  导致汇兑损益增加所
                                                  致

公允价值变动      12.57    -80.71    115.58% 主要系本报告期公司
收益                                              购买理财产品公允价
                                                  值变动所致

投资收益            356.43    879.23    -59.46% 主要系本报告期公司

                                                    购买理财产品减少,

                                                    导致收益减少所致

其他收益            337.05    734.03    -54.08% 主要系本报告期政府

                                                    补助减少所致

                      26.78      3.93    581.43% 主要系本报告期公司

营业外收入                                        收到货物保险理赔款

                                                    所致

                      51.34    142.39    -63.95% 主要系去年同期场地

营业外支出                                        退租,长期待摊费用

                                                    报废所致

      2、2023 年末资产负债表项目变动及说明

                                                              单位:万元

项目            2023 年 12 月  2022 年 12 月  同比增减  重大变动说明

                  31 日          31 日

货币资金            2,667.66      4,495.71    -40.66% 主要系本期末购买理
                                                        财所致

交易性金融资      19,281.93      14,706.60    31.11% 主要系本报告期末购
产                                                      买理财产品增加所致

应收账款            1,807.72      1,041.67    73.54% 主要系本报告期赊销
                                                        增加所致

预付款项              457.63        461.07    -0.75%

其他应收款            129.49        132.66    -2.39%

存货                2,619.81      2,940.99    -10.92%

其他流动资产            7.01          46.24    -84.83% 主要系本报告期预缴
                                                        税费减少所致

其他权益工具        226.58        210.37      7.71%

投资

其他非流动金      2,800.00      2,800.00      0.00%

融资产

投资性房地产        1,161.19      1,189.72    -2.40%

固定资产          31,686.61      31,603.32      0.26%

                                                        主要系本报告期总部
在建工程                5.31          1.63    225.63% 基地项目四期工程所
                                                        致

使用权资产            223.55        376.80    -40.67% 主要系本报告期使用
                                                        权资产摊销所致

无形资产            7,000.66      5,131.19    36.43% 主要系本报告期硬脑

项目            2023 年 12 月  2022 年 12 月  同比增减  重大变动说明

                  31 日          31 日

                                                        膜医用胶国内注册证
                                                        申请获批,该项目开
                                                        发支出转入无形资产
                                                        所致

开发支出            2,422.81      3,151.05    -23.11%

长期待摊费用          238.67        305.39    -21.85%

递延所得税资                                            主要系本报告期收到
产                    437.83          93.12    370.20% 与资产相关的政府补
                                                        助增加所致

其他非流动资      5,522.44      
[点击查看PDF原文]