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首页 公告 安科生物:2024年度财务决算报告

安科生物:2024年度财务决算报告

公告日期:2025-03-28


            安徽安科生物工程(集团)股份有限公司

                    2024 年度财务决算报告

  安徽安科生物工程(集团)股份有限公司(以下简称“公司”)财务报表,包括2024年12月31日的合并及母公司资产负债表,2024年度的合并及母公司利润表、合并及母公司现金流量表、合并及母公司所有者权益变动表以及相关财务报表附注已经容诚会计师事务所(特殊普通合伙)进行审计,并出具标准的无保留意见审计报告(容诚审字[2025]230Z1168 号)。

    一、主要财务数据和指标

                                                                        单位:元

        项目            2024 年        2023 年      本年比上年    2022 年

                                                        增减

营业收入(元)        2,536,042,781.68  2,865,752,059.95    -11.51%  2,331,062,727.29

归属于上市公司股东的  706,948,363.86  847,229,426.30    -16.56%  703,260,285.27
净利润(元)
归属于上市公司股东的

扣除非经常性损益的净  647,051,033.73  809,324,373.22    -20.05%  641,963,449.82
利润(元)

经营活动产生的现金流  685,371,947.09  952,970,899.58    -28.08%  698,977,608.26
量净额(元)

基本每股收益(元/股)          0.4223          0.5062    -16.57%          0.4282

稀释每股收益(元/股)          0.4223          0.5062    -16.57%          0.4282

加权平均净资产收益率          18.21%        24.91%      -6.70%        23.82%

        项目            2024 年末      2023 年末    本年末比上    2022 年末
                                                      年末增减

资产总额(元)        5,135,349,855.72  4,950,760,486.04      3.73%  4,256,843,512.45

归属于上市公司股东的  4,124,312,564.42  3,737,399,547.01      10.35%  3,208,590,143.50
净资产(元)

    二、资产构成及变动情况

                                                                        单位:元

                    2024 年末                2023 年末          比重增  变动比
  项目          金额        占总资        金额        占总资    减      例


                              产比例                    产比例

货币资金        299,180,346.54  5.83%    260,226,567.56  5.26%  0.57%  14.97%

交 易 性 金 融  1,144,698,507.43  22.29%  1,195,572,213.33  24.15%  -1.86%  -4.26%
资产

应收账款        442,317,739.96  8.61%    550,228,951.09  11.11%  -2.50%  -19.61%

应 收 款 项 融      50,037,121.80  0.97%      47,210,084.37  0.95%  0.02%    5.99%


预付款项          8,150,957.80  0.16%      25,677,806.19  0.52%  -0.36%  -68.26%

其他应收款        30,403,158.68  0.59%      9,002,811.55  0.18%  0.41%  237.71%

存货            297,295,906.07  5.79%    235,215,374.68  4.75%  1.04%  26.39%

其 他 流 动 资      3,012,046.73  0.06%      2,349,649.98  0.05%  0.01%  28.19%


债权投资        238,516,888.88  4.64%      72,157,777.77  1.46%  3.18%  230.55%

长 期 股 权 投    122,344,662.86  2.38%    167,344,181.81  3.38%  -1.00%  -26.89%


其 他 非 流 动    154,677,714.35  3.01%    164,881,340.19  3.33%  -0.32%  -6.19%
金融资产

投 资 性 房 地      7,483,600.85  0.15%      8,110,204.31  0.16%  -0.01%  -7.73%


固定资产        737,983,657.45  14.37%    706,153,841.12  14.26%  0.11%    4.51%

在建工程        799,746,076.19  15.57%    672,507,138.60  13.58%  1.99%  18.92%

使用权资产        45,882,779.80  0.89%      54,887,772.77  1.11%  -0.22%  -16.41%

无形资产        412,321,608.93  8.03%    450,361,623.07  9.10%  -1.07%  -8.45%

开发支出        204,167,493.89  3.98%    215,952,222.05  4.36%  -0.38%  -5.46%

商誉            66,556,732.24  1.30%      66,556,732.24  1.34%  -0.04%    0.00%

长 期 待 摊 费      19,109,110.18  0.37%      7,846,470.48  0.16%  0.21%  143.54%


递 延 所 得 税      41,801,674.05  0.81%      29,532,200.27  0.60%  0.21%  41.55%
资产

其 他 非 流 动      9,662,071.04  0.19%      8,985,522.61  0.18%  0.01%    7.53%
资产

  主要变动原因:

  1、预付款项 2024 年末较 2023 年末下降 68.26%,主要系期末预付的委外研发
费用减少所致。

  2、其他应收款 2024 年末较 2023 年末增长 237.71%,主要系本期处置联营企业
湖北三七七生物技术有限公司,期末应收股权转让款金额较大所致。


  3、债权投资 2024 年末较 2023 年末增长 230.55%,主要系公司 2024 年购入大
额银行存单的金额较大所致。

  4、长期待摊费用期末较 2023 年末增长 143.54%,主要系子公司安科华捷本期
新增装修费用金额较大所致。

  5、递延所得税资产 2024 年末较 2023 年末增长 41.55%,主要系本期处置股权
形成尚未抵扣的长期股权投资损失计提的递延所得税资产金额较大,以及同一主体递延所得税资产、负债合并列示的影响所致。

    三、负债结构及变动情况

                                                                        单位:元

                        2024 年末                2023 年末        比重  变动比
    项目            金额      占总资      金额      占总资  增减    例
                                产比例                  产比例

短期借款            5,002,777.79  0.10%                  0.00%  0.10%  不适用

应付票据            19,994,000.00  0.39%    14,920,000.00  0.30%  0.09%  34.01%

应付账款          195,025,648.30  3.80%  196,783,603.46  3.97%  -0.17%  -0.89%

合同负债            19,335,435.88  0.38%    24,429,985.77  0.49%  -0.11%  -20.85%

应付职工薪酬      108,040,793.86  2.10%  198,343,818.21  4.01%  -1.91%  -45.53%

应交税费            76,585,524.66  1.49%    68,281,633.21  1.38%  0.11%  12.16%

其他应付款        228,945,367.45  4.46%  333,195,150.24  6.73%  -2.27%  -31.29%

一年内到期的非    10,711,418.37  0.21%    8,810,791.26  0.18%  0.03%  21.57%
流动负债

其他流动负债        3,944,465.32  0.08%    2,315,906.71  0.05%  0.03%  70.32%

 流动负债合计    667,585,431.63  13.00%  847,080,888.86  17.11%  -4.11%  -21.19%

租赁负债            38,246,856.87  0.74%    47,817,285.93  0.97%  -0.23%  -20.01%

递延收益          121,525,977.33  2.37%  113,522,377.24  2.29%  0.08%  7.05%

递延所得税负债      8,053,888.88  0.16%    10,008,027.71  0.20%  -0.04%  -19.53%

 非流动负债合计    167,826,723.08  3.27%  171,347,690.88  3.46%  -0.19%  -2.05%

  负债合计      835,412,154.71  16.27%  1,018,428,579.74  20.