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首页 公告 维康药业:2024年度财务决算报告

维康药业:2024年度财务决算报告

公告日期:2025-04-29


                        浙江维康药业股份有限公司

                          2024 年度财务决算报告

          一、2024年度财务报表审计情况

          2024年度财务报表经天健会计师事务所(特殊普通合伙)审计,出具了保留

      意见的审计报告(天健审〔2025〕8836号),天健会计师事务所认为,除“形成

      保留意见的基础”部分所述事项可能产生的影响外,后附的财务报表在所有重大

      方面按照企业会计准则的规定编制,公允反映了维康药业公司2024年12月31日的

      合并及母公司财务状况,以及2024年度的合并及母公司经营成果和现金流量。

          二、经营利润情况

                                                                        单位:人民币元

          项 目          2024年度        2023年度        增减幅度        大额变动原因说明

      营业总收入      351,198,567.67    519,621,071.15        -32.41%      主要系本期减少合并范围所致

        营业成本      217,105,289.06    257,094,058.81        -15.55%

      税金及附加      11,711,547.79      2,795,552.85        318.93%      主要系本期新增缴纳房产

                                                                          税、土地使用税所致

        销售费用      200,591,036.15    208,186,400.97        -3.65%

        管理费用        61,138,368.81      41,236,086.40        48.26%      主要系本期固定资产折旧增加
                                                                                  所致

        研发费用        14,185,931.39      42,798,186.43        -66.85%      主要系本期委外研发间歇期导
                                                                                  致研发费用投入减少

        财务费用        6,257,545.59      7,562,064.96        -17.25%

        其他收益        8,844,435.52      10,279,773.63        -13.96%

        投资收益        91,114,068.00      12,584,294.07        624.03%      主要系本期处置子公司收

                                                                          益所致

    公允价值变动收益                      4,564,629.39        -100.00%    主要上期收到可转让大额

                                                                          存单利息所致

      信用减值损失      -3,183,567.33      11,461,123.46        -127.78%    主要系本期计提其他应收

                                                                          款的坏账准备

      资产减值损失    -90,259,277.96      -736,974.52        12147.27%    主要系本期固定资产减值

                                                                          及子公司商誉减值所致


      资产处置收益      -467,667.60        -5,821.95        7932.83%

        营业利润      -153,743,160.49    -1,904,255.19        7973.66%

      营业外收入      2,988,544.68        518,785.49        476.07%      主要系本期子公司无需支付的
                                                                                  款项所致

      营业外支出      7,521,368.49      5,291,187.60        42.15%      主要系本期缴纳滞纳金所

                                                                          致

        利润总额      -158,275,984.30    -6,676,657.30        2270.59%

      所得税费用      -13,397,609.01      423,617.86        -3262.66%    主要系本期利润亏损及转

                                                                          回延所得税费用所致

        净利润        -144,878,375.29    -7,100,275.16        1940.46%

    归属于母公司股东  -147,426,253.43    -8,954,344.50        1546.42%

        的净利润

      少数股东损益      2,547,878.14      1,854,069.34        37.42%

        每股收益          -1.03            -0.06          1624.19%

          三、资产负债情况

                                                                        单位:人民币元

        项 目      2024年12月31日  2023年12月31日    增减幅度        大额变动原因说明

      货币资金      253,961,470.43    330,162,451.72      -23.08%

    交易性金融资产                      245,564,629.39        -100%      主要系本期转让了大额存单所

                                                                                  致

      应收账款      137,560,582.54    212,130,988.57      -35.15%

    应收款项融资    28,154,269.28      52,836,688.91        -46.71%      主要系本期收到银行承兑汇票

                                                                                  减少所致

      预付款项        2,772,229.58      4,799,157.41        -42.24%

      其他应收款      52,152,930.85      29,098,745.10        79.23%      主要系本期处置子公司的款
                                                                          项未收回所致

        存货        118,324,926.38    153,784,689.70      -23.06%

    其他流动资产    23,555,873.05      23,362,504.38        0.83%

    流动资产合计    616,482,282.11    1,051,739,855.18      -41.38%

    其他非流动金融    25,000,000.00      25,000,000.00        0.00%

        资产


    投资性房地产    22,363,838.00      5,431,760.06        311.72%      主要系本期出租商铺增加所致

      固定资产      791,607,495.03    559,443,836.03        41.50%      主要系本期在建工程转固所致

      在建工程      55,098,016.45    270,432,195.37      -79.63%      主要系本期在建工程转固定资

                                                                                  产所致

      使用权资产      6,957,307.42      27,516,261.13        -74.72%      主要系本期子公司被处置,店

                                                                                  铺租赁减少所致

      无形资产      33,591,998.14      35,667,116.93        -5.82%

        商誉        10,965,179.01      27,083,681.10        -59.51%      主要系本期子公司商誉减值所

                                                                                  致

    长期待摊费用      2,514,604.36      5,074,278.41        -50.44%      主要系本期部分长期待摊费用