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药石科技:2024年度财务决算报告

公告日期:2025-04-25


                      南京药石科技股份有限公司

                        2024 年度财务决算报告

        2024年,面对复杂多变的外部环境,公司坚持以市场为导向,以客户为中

    心,持续提升交付能力与服务质量,推动技术平台创新与应用转化,积极应对全

    球生物医药投融资规模收缩、产业链需求端结构性调整、市场竞争激烈等不利因

    素。公司2024年度财务决算报表经公证天业会计师事务所(特殊普通合伙)审计

    验证,出具了标准无保留意见的审计报告,现将公司2024年度财务决算情况报告

    如下:

      一、主要财务指标和会计数据:

                                                                    单位:元

            项目                      2024 年度              2023 年度          增减情况

        营业收入(元)                1,688,619,647.07      1,725,203,986.49        -2.12%

        营业利润(元)                  251,204,978.59        184,599,993.07        36.08%

        利润总额(元)                  248,895,877.72        221,375,043.04        12.43%

  归属母公司股东的净利润(元)            219,539,833.88        197,360,947.76        11.24%

归属母公司股东的扣除非经常性损益          173,124,567.76        176,044,097.89        -1.66%
        的净利润(元)

经营活动产生的现金流量净额(元)          302,823,004.54        246,839,976.80        22.68%

      基本每股收益(元)                          1.10                  0.99        11.11%

  扣非后基本每股收益(元)                        0.87                  0.88        -1.14%

    加权平均净资产收益率                        7.56%                7.16%        0.40%

  扣非后加权平均净资产收益率                      5.96%                6.39%        -0.43%

            项目                      2024 年末              2023 年末          增减情况

        资产总额(元)                4,935,272,666.40      5,104,032,178.39        -3.31%

  归属母公司股东的净资产(元)          2,987,552,996.36      2,832,277,233.21        5.48%

        本报告期,公司营业收入 16.88 亿元,同比下降 2.12%。第四季度,随着行业

    需求的初步改善及商业化项目订单交付,本季度营业收入 5.61 亿元,同比增长

    29.28%;叠加公司前期一系列降本控费、提质增效措施继续有效实施,2024 年公司

    实现归属于上市公司股东的净利润 2.20 亿元,同比增长 11.24%;扣除非经常性损

    益的净利润 1.73 亿元,同比下降 1.66%。


    二、资产及负债情况

        1、报告期资产构成及变动原因

                                                                    单位:元

                                  2024 年末                    2023 年末

        项目                                占资产                        占资产  增减情况
                                金额          总额的          金额          总额的

                                              比例                          比例

流动资产合计              2,716,938,169.24  55.05%    2,817,749,654.74  55.21%    -3.58%

其中:货币资金              290,200,624.44    5.88%      511,185,834.99  10.02%  -43.23%

    交易性金融资产        465,606,521.75    9.43%      105,350,863.65    2.06%    >100%

    应收账款              481,799,261.03    9.76%      473,627,475.75    9.28%    1.73%

    应收款项融资            1,889,859.20    0.04%          30,000.00    0.00%    >100%

    预付账款                6,139,720.66    0.12%      11,943,446.64    0.23%  -48.59%

    其他应收款              1,916,181.60    0.04%        2,624,168.97    0.05%  -26.98%

    存货                  840,165,143.36  17.02%      724,787,638.24  14.20%    15.92%

    其他流动资产          629,220,857.20  12.75%      988,200,226.50  19.36%  -36.33%

非流动资产合计            2,218,334,497.16  44.95%    2,286,282,523.65  44.79%    -2.97%

其中:长期股权投资            4,085,686.11    0.08%          489,573.87    0.01%    >100%

    其他权益工具投资        15,775,895.05    0.32%        4,993,295.05    0.10%    >100%

    固定资产            1,447,364,059.75  29.33%    1,494,945,589.17  29.29%    -3.18%

    在建工程              232,677,761.80    4.71%      256,229,488.86    5.02%    -9.19%

    使用权资产              4,139,612.06    0.08%        2,169,671.42    0.04%    90.79%

    无形资产              107,984,124.02    2.19%      109,416,504.88    2.14%    -1.31%

    商誉                  355,741,611.44    7.21%      356,185,571.87    6.98%    -0.12%

    长期待摊费用            6,941,382.83    0.14%      10,142,720.43    0.20%  -31.56%

    递延所得税资产          32,629,487.63    0.66%      38,609,259.91    0.76%  -15.49%

    其他非流动资产          10,994,876.47    0.22%      13,100,848.19    0.26%  -16.08%

资产总计                  4,935,272,666.40  100.00%    5,104,032,178.39  100.00%    -3.31%

    主要变动原因:

    (1) 货币资金较年初减少22,098.52万元,减少比例为43.23%,主要系本期公司

          偿还到期银行借款;

    (2) 交易性金融资产较年初增加36,025.57万元,增加比例为341.96%,主要系

          公司本期末投资非保本、浮动收益理财产品增加;

    (3) 应收款项融资较年初增加1,859,859.20元,主要系期末应收票据增加;

    (4) 预付账款较年初减少5,803,725.98元,减少比例为48.59%,主要系本期公

          司严控预算、期末预付采购款下降;

    (5) 其他流动资产较年初减少35,897.94万元,减少比例为36.33%,主要系期末


    购买的保本保收益的理财产品减少;
(6) 长期股权投资较年初增加3,596,112.24元,增加比例为734.54%,主要系公
    司持有的权益法股权投资受其他投资方注资、导致本公司享有的权益增

    加;
(7) 其他权益工具投资较年初增加10,782,600.00元,增加比例为215.94%,主
    要系本期公司新增对1200 Pharma LLC的投资;

(8) 使用权资产较年初增加1,969,940.64元,增加比例为90.79%,主要系本期
    公司新增实验室及仓库租赁;
(9) 长期待摊费用较年初减少3,201,337.60元,减少比例为31.56%,主要系本
    期内按照准则进行摊销。


        2、报告期末负债构成及变动原因分析

                                                                单位:元

                              2024 年末                  2023 年末

        项目                            占负债                      占负债  增减情况
                            金额        总额的        金额        总额的

                                          比例                        比例

流动负债合计            74