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科源制药:2022年度财务决算报告

公告日期:2023-04-26

科源制药:2022年度财务决算报告 PDF查看PDF原文

                山东科源制药股份有限公司

                2022年年度财务决算报告

  2022 年度,公司以战略规划及年度经营目标为指引,对外积极开拓市场,对内不断提高研发能力和管理水平,经过全体干部员工的不懈努力,公司实现了营业收入44,286.51 万元,同比增长 5.22%,实现净利润9,127.84 万元,同比增长 16.77%。公司2022 年度财务报告已经信永中和会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告 XYZH/2023SHAI1B0005 号。现就公司 2022 年主要财务指标及经营财务情况报告如下:
一、公司 2022 年度主要会计数据和财务指标

  公司主要财务指标及其同期比较情况如下表所示:

                                                                      单位:元

        项目              本年度        上一年度    本年比上年
                                                          增减(%)

 营业收入                    442,865,098.55    420,888,625.75      5.22

 归属于上市公司股东的净利润    91,278,406.78    78,172,475.70      16.77

 归属于上市公司股东的扣除非    85,112,132.04    79,793,947.97        6.66

 经常性损益的净利润

 经营活动产生的现金流量净额  115,858,735.33    52,022,422.26      122.71

 基本每股收益                    1.57              1.35            16.3

 稀释每股收益                    1.57              1.35            16.3

 加权平均净资产收益率            19.20%            20.08%          -0.88

 加权平均净资产收益率(扣除

 非经常性损益后归属于上市公      18.02%            20.46%          -2.44

 司股东的净利润计算)

                                2022 年末          2021 年末      本年末比上年
                                                                  末增减(%)

 总资产                      651,789,219.99    559,506,355.13      16.49

 归属于上市公司股东的净资产  519,728,016.81    430,982,051.29      20.59


            归属于上市公司股东的每股净        8.96              7.43            20.59

            资产

        二、报告期内归属于上市公司股东的权益变动情况

                                                                                  单位:元

项目      股本          资本公积        专项储备        盈余公积      未分配利润    所有者权益合计

上年

期末  58,000,000.00  195,337,352.54    2,719,374.92  34,650,593.91  140,274,729.92  430,982,051.29
余额
本年

期初  58,000,000.00  195,337,352.54    2,719,374.92  34,650,593.91  140,274,729.92  430,982,051.29
余额

本期                                    -2,532,441.26    7,339,407.44    83,938,999.34    88,745,965.52
增减
本年

期末  58,000,000.00  195,337,352.54      186,933.66  41,990,001.35  224,213,729.26  519,728,016.81
余额

        三、报告期内,主要财务数据大幅变动的情况及原因

              (一)资产负债表中涉及变动情况

                                                                                  单位:元

              项目          本期数          上期数      增减幅          说明

                                                          度(%)

            应收账款    37,261,994.11  21,861,955.26  70.44  主要系公司收入增加所致

            预付款项    4,897,391.47    5,191,207.70    -5.66

            固定资产    288,838,566.15  224,038,963.68  28.92  主要系公司在建项目转资

                                                                  所致

            长期待摊费    1,733,700.81    3,145,633.47  -44.89  主要系公司长期资产摊销

                用                                                所致

            应付账款    54,977,951.39  60,579,224.93  -9.25

            货币资金    148,974,223.74  66,008,813.13  125.69  主要系公司经营活动现金

                                                                  流净额增加所致

            在建工程    19,986,471.96  66,226,702.10  -69.82  主要系公司在建项目转资

                                                                  所致

            递延所得税                                            主要系公司单位价值不超

              负债      15,158,500.65    7,662,011.94    97.84  过 500 万元的固定资产变

                                                                            动所致


  主要项目变动分析如下:

  1、报告期末,应收账款3,726.20 万元,较期初增幅 1,540.00 万元,主要系公
司收入增加所致;

  2、报告期末,固定资产 28,883.86 万元,较期初增幅 28.92%,主要系公司在
建项目转资所致;

  3、报告期末,长期待摊费用 173.37 万元,较期初降幅 44.89%,主要系公司
长期资产摊销所致;

  4、报告期末,货币资金 14,897.42 万元,较期初增幅 125.69%,主要系公司
经营活动现金流净额增加所致;

  5、报告期末,在建工程 1,998.65 万元,较期初降幅 69.82%,主要系公司在
建项目转资所致;

  6、报告期末,递延所得税负债 1,515.85 万元,较期初增幅 97.84%,主要系
公司单位价值不超过 500 万元的固定资产变动所致。
(二)利润表中涉及变动情况

                                                                      单位:元

  项目        本期数          上期数      增减幅度(%)        说明

 营业收入    442,865,098.55  420,888,625.75      5.22

 营业成本    347,933,095.30  337,691,708.57      3.03

                                                            主要系市场推广费
                                                            增加了 480.22 万,
                                                            同比增幅 34.70%,
                                                            市场参展及咨询费
 销售费用    28,668,595.91    26,115,298.63        9.78      同比减少了 21.13
                                                            万 元 , 同 比 降 幅
                                                            78.00%,主要是学
                                                            术会议费、市场调
                                                            研费和营销管理费
                                                            降低所致

                                                            主要系股份支付减
 管理费用    28,150,707.95    38,722,141.22      -27.30    少 888.48 万元、修
                                                            理费减少 94.96 万
                                                            元、审计咨询费减

                                                    
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