联系客服QQ:86259698

002793 深市 罗欣药业


首页 公告 罗欣药业:2024年度财务决算报告

罗欣药业:2024年度财务决算报告

公告日期:2025-04-22


                  罗欣药业集团股份有限公司

                    2024年度财务决算报告

      罗欣药业集团股份有限公司(以下简称“公司”)2024年度财务报表按照

  企业会计准则的规定编制,在所有重大方面公允反映了公司截至2024年12月31

  日的财务状况以及2024年度的经营成果和现金流量。天健会计师事务所(特殊

  普通合伙)已对公司财务报表进行了审计,并出具了标准无保留意见的审计报

  告。现将主要财务数据汇报如下:

      一、主要会计数据

      经审计,天健会计师事务所(特殊普通合伙)出具了标准无保留意见的审计

  报告,2024年公司实现营业收入2,647,365,106.26元,较上年增加11.99%。归属于

  上市公司股东的净利润-965,496,163.51元,较去年下降46.04%。

      最近三年公司主要会计数据:

                      2024 年          2023 年        本年比上年增减        2022 年

营业收入(元)      2,647,365,106.26    2,363,867,226.54            11.99%    3,587,547,040.11

归属于上市公司股    -965,496,163.51    -661,138,090.85          -46.04%  -1,224,926,572.67
东的净利润(元)
归属于上市公司股

东的扣除非经常性    -768,120,788.93    -638,852,617.29          -20.23%  -1,448,233,756.46
损益的净利润
(元)

经营活动产生的现    -157,846,935.88    466,888,340.77          -133.81%    -939,126,902.89
金流量净额(元)

基本每股收益(元              -0.91              -0.61          -49.18%              -0.86
/股)

稀释每股收益(元              -0.90              -0.61          -47.54%              -0.86
/股)

加权平均净资产收          -50.63%          -23.42%          -27.21%          -32.44%
益率

                      2024 年末        2023 年末      本年末比上年末增      2022 年末

                                                            减

总资产(元)        4,335,978,261.75    5,117,407,332.82          -15.27%    8,118,889,992.16

归属于上市公司股    1,382,277,279.71    2,469,901,453.15          -44.04%    3,174,884,231.41
东的净资产(元)

      二、占公司营业收入10%以上的产品收入及毛利率情况

                                                                        单位:元


              营业收入      营业成本      毛利率  营业收入比上 营业成本比上 毛利率比上年
                                                      年同期增减  年同期增减  同期增减

抗生素类    995,037,152.60  698,072,897.21      29.84%      9.58%      14.18%      -2.83%

消化系统类  818,287,223.54  310,312,667.06      62.08%      43.11%      54.35%      -2.76%

其他类      316,167,962.19  202,481,378.33      35.96%      -9.25%      40.57%      -22.70%

        三、资产及负债状况分析

                                                                          单位:元

                      2024 年末                2024 年初          比重增

                    金额        占总资      金额        占总资    减      重大变动说明
                                产比例                  产比例

                                                                            本期变动主要系
  货币资金        456,677,239.94  10.53%  692,899,478.54  13.54%  -3.01%  公司加大市场推
                                                                            广,从而投入资
                                                                            金增加

  应收账款        569,106,113.41  13.13%  504,542,381.19    9.86%  3.27%

  存货            459,555,606.49  10.60%  455,611,306.50    8.90%  1.70%

  投资性房地      11,857,344.64  0.27%                              0.27%

  产

  长期股权投      182,690,194.67  4.21%  184,634,863.54    3.61%  0.60%

  资

  固定资产      1,236,427,913.24  28.52%  1,247,031,660.68  24.37%  4.15%

                                                                            本期下属控股子
                                                                            公司罗欣安若维
                                                                            他通过 FDA 现场
  在建工程        20,428,299.46  0.47%  336,860,300.86    6.58%  -6.11%  检查,其在建工
                                                                            程达到预定可使
                                                                            用状态,转入固
                                                                            定资产

  使用权资产      39,620,196.20  0.91%    45,657,468.33    0.89%  0.02%

  短期借款        742,078,810.48  17.11%  555,602,953.75  10.86%  6.25%  本期新增金融机
                                                                            构借款

  合同负债        66,041,489.95  1.52%  134,281,640.76    2.62%  -1.10%  本期预收货款减
                                                                            少

                                                                            本期长期借款转
  长期借款        133,384,266.26  3.08%  429,232,204.34    8.39%  -5.31%  入一年内到期非
                                                                            流动负债

  租赁负债        33,685,030.66  0.78%    39,073,896.73    0.76%  0.02%

  应收款项融      32,464,517.45  0.75%    94,345,830.66    1.84%  -1.09%  本期票据结算减
  资                                                                        少

  预付款项        70,305,378.69  1.62%    36,421,496.98    0.71%  0.91%  本期预付材料款
                                                                            增加

  其他应收款      61,363,581.29  1.42%  115,710,762.78    2.26%  -0.84%  本期应收费县第
                                                                            二医院有限公司


                                                                          (以下简称“费
                                                                          县二院”)往来
                                                                          款及相关股权转