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首页 公告 济川药业:湖北济川药业股份有限公司2023年度财务决算报告

济川药业:湖北济川药业股份有限公司2023年度财务决算报告

公告日期:2024-04-10

济川药业:湖北济川药业股份有限公司2023年度财务决算报告 PDF查看PDF原文

                湖北济川药业股份有限公司

                  2023 年度财务决算报告

  2023 年,面对深远复杂的外部环境和行业政策,公司上下围绕董事会制定的战略方向,始终坚持创新驱动,拥抱变革,在研发、资本、营销、生产领域构建了更加贴合公司发展的经营管理模式,公司业务运行稳定有序,可持续发展的运行质态稳步提升,圆满完成了经营目标。现将公司 2023 年财务决算情况汇报如下:

    一、主要会计数据

  经审计,立信会计师事务所(特殊普通合伙)出具了标准无保留意见的审计报告(信会师报字[2024]第 ZA10804 号)。2023 年,公司实现营业收入 965,453.72万元,较上年增长 7.32%;归属于上市公司股东的净利润 282,278.12 万元、归属于上市公司股东的扣除非经常性损益的净利润 269,230.67 万元,分别比同期增长30.04%、32.72%

  最近三年公司主要会计数据:

                                                                    本期比

                                                      2022 年        上年同        2021 年

          项目                  2023 年

                                                    (调整后)      期增减      (调整后)

                                                                      (%)

 营业收入(元)              9,654,537,192.67    8,996,366,979.29      7.32  7,630,510,000.18

 归属于上市公司股东的净利

                              2,822,781,164.62    2,170,749,923.87    30.04  1,719,066,938.81
 润(元)
 归属于上市公司股东扣除非

                              2,692,306,739.33    2,028,586,089.46    32.72  1,556,771,016.09
 经常性损益净利润(元)
 经营活动产生的现金流量净

                              3,463,958,635.83    2,620,832,879.02    32.17  1,894,329,392.98
 额(元)

 基本每股收益(元/股)                  3.08                2.44    26.23              1.94

  稀释每股收益(元/股)                  3.08                2.39    28.87              1.91

  扣除非经常性损益后的基本

                                          2.94                2.28    28.95              1.75
  每股收益(元/股)

                                                                        增加

  加权平均净资产收益率(%)              22.99              21.91  1.08 个              20.46
                                                                      百分点

                                                                        增加

  扣除非经常性损益后的加权

                                          21.93              20.48  1.45 个              18.53
  平均净资产收益率(%)

                                                                      百分点

                                                                      本期末

                                                                      比上年

            项目                  2023年              2022年        同期末        2021 年

                                                                      增减

                                                                      (%)

  归属于上市公司股东的净资

                              13,349,441,189.41  11,337,271,848.93    17.75  9,116,769,412.65
  产(元)

  总资产(元)              18,143,694,578.52  14,981,202,241.23    21.11  12,131,036,777.90

    二、主营业务收入及毛利率情况

                                                                        单位:元

                                                        营业收入  营业成本

                                              毛利率                          毛利率比上年增减
分行业      营业收入          营业成本                比上年增  比上年增

                                                (%)                                (%)

                                                        减(%)    减(%)

 工业  9,279,004,475.89    1,573,200,889.78    83.05      7.56      18.00  减少 1.50 个百分点

 商业    359,020,718.08      197,742,877.20  44.92      2.66      4.50  减少 0.97 个百分点

合计  9,638,025,193.97    1,770,943,766.98  81.63      7.37    16.32  减少 1.41 个百分点

    2023 年,公司实现主营业务收入 963,802.52 万元,其中医药工业收入为
927,900.45 万元,同比增长 7.56%,主要是报告期内(1)2023 年上半年,公司主要品种蒲地蓝消炎口服液和小儿豉翘清热颗粒市场需求大量增加;(2)公司积极加强销售渠道的拓展,积极推进空白市场、潜力市场的开发,形成新的增量。

    三、公司主要财务数据分析

    1、报告期内资产负债项目变化情况及重大变化的原因

                                                                        单位:元

                                                                上期  本期期

                                    本期期                      期末  末金额

                                    末数占                      数占  较上期

    项目名称        本期期末数    总资产    上期期末数      总资  期末变    情况说明

                                    的比例                      产的  动比例

                                      (%)                      比例    (%)

                                                                (%)

                                                                                  主要系销售
 货币资金        7,737,982,810.08  42.65  4,818,940,846.89  32.17    60.57  回笼增加所
                                                                                  致

                                                                                  主要系应收
 应收款项融资        8,789,389.16    0.05    18,642,762.90  0.12    -52.85  票据回笼减
                                                                                  少所致

                                                                                  主要系原材
 预付款项            25,616,914.08    0.14    39,039,861.66  0.26    -34.38  料预付款减
                                                                                  少所致

                                                                                  主要系待抵
 其他流动资产        6,879,370.04    0.04    15,191,65
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