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首页 公告 五洲医疗:2024年度财务决算报告

五洲医疗:2024年度财务决算报告

公告日期:2025-04-19


        安徽宏宇五洲医疗器械股份有限公司

            2024 年度财务决算报告

  安徽宏宇五洲医疗器械股份有限公司(以下简称“公司”)2024 年度财务报表经容诚会计师事务所(特殊普通合伙)(以下简称“容诚会计师事务所”)审计,并出具了标准无保留意见审计报告【容诚审字[2025]230Z0569】。容诚会计师事务所认为:公司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
允地反映了公司 2024 年 12 月 31 日的合并及公司财务状况以及 2024 年度的合
并及公司经营成果和现金流量。现将有关财务决算情况报告如下:

    一、 主要财务指标

            项目                    2024 年            2023 年        本年比上年增减

  营业收入(元)                      477,428,734.79    533,679,925.02            -10.54%

  归属于上市公司股东的净利润          39,969,810.31      60,265,055.44            -33.68%

  归属于上市公司股东的扣除非经常      35,538,543.93      55,035,392.45            -35.43%
  性损益的净利润(元)

  经营活动产生的现金流量净额          88,898,268.78      81,785,360.43              8.70%

  基本每股收益(元/股)                      0.5878            0.8863            -33.68%

  稀释每股收益(元/股)                      0.5878            0.8863            -33.68%

  加权平均净资产收益率                        5.48%              8.21%              -2.73%

            项目                  2024 年末          2023 年末        本年比上年增减

  资产总额(元)                      872,667,220.25    848,178,419.23              2.89%

  归属于上市公司股东的净资产          762,496,389.33    749,707,797.62              1.71%

  股本(元)                          68,000,000.00      68,000,000.00              0.00%

  归属于上市公司股东的每股净资产              11.21              11.03              1.71%
  (元/股)

  资产负债率                                  12.62%            11.61%              1.01%

    二、财务状况、经营成果和现金流量分析

    1、资产构成重大变动情况

项目(万元)      2024 年 12    2023 年 12 月    变动金额    变动幅度        重大变动说明

                  月 31 日        31 日

                                                                        主要系公司本期末尚未到期
货币资金          15,568.47      27,131.99    -11,563.52    -42.62%  收回的理财金额较多所致。

应收账款          10,823.62      9,269.69      1,553.93      16.76%

                                                                        主要系公司本期末无应收款
应收款项融资              -          6.62        -6.62    -100.00%  项融资所致。

其他应收款          1,351.12      1,340.24        10.88      0.81%

存货                4,477.92      4,718.75      -240.83      -5.10%

固定资产          30,050.66      30,466.13      -415.47      -1.36%

                                                                        主要系技术研发中心建设项
在建工程            1,496.11      2,182.03      -685.92    -31.43%  目的房屋建筑物达到预定可
                                                                        使用状态转入固定资产。

                                                                        主要系租赁使用的办公室和
使用权资产            93.47          28.15        65.32    232.04%  仓库在本期续签新的房屋租
                                                                        赁合同。

                                                                        主要系预付的工程设备款在
其他非流动资产        50.24        549.14      -498.90    -90.85%  本期到货所致。

合同负债            1,165.52      1,111.72        53.80      4.84%

应付账款            6,246.88      6,048.15        198.73      3.29%

                                                                        主要系公司本期末未赎回的
交易性金融资产    22,113.93      7,524.42    14,589.51    193.90%  投资理财金额增加所致。

                                                                        主要系公司本期收到的票据
应收票据              132.06          78.21        53.85      68.85%  增多所致。

其他流动资产          111.77        489.27      -377.50    -77.16%  主要系本期待抵扣进项税金
                                                                        额减少所致。

                                                                        主要系坏账准备增加,计提
递延所得税资产        129.97          91.23        38.74      42.46%  的递延所得税资产相应增
                                                                        加。

应交税费              241.48        151.44        90.04      59.46%  主要系本期末应交企业所得
                                                                        税增长所致。

                                                                        主要系本期收到的应付款增
其他应付款            43.21          26.41        16.80      63.58%  加所致。

一年内到期的非                                                          主要系租赁负债应付金额增
流动负债                56.6          25.47        31.13    122.22%  加所致。

其他流动负债          122.69          60.83        61.86    101.69%  主要系已背书未到期票据未
                                                                        终止确认金额增加所致。

 递延收益            1,332.02          769.5        562.52      73.10%  主要系本期收到与资产相关
                                                                          的的政府补助增加所致。

                                                                          主要系固定资产加速折旧计
                                                                          提的递延所得税负债在本期
 递延所得税负债        330.52        172.94        157.58      91.11%  末金额相对递延所得税资产
                                                                          金额较大。

      2、经营成果

 项  目(万元)    2024 年度      2023 年度      变动金额      变动幅度      重大变动说明

 营业收入            47,742.87    53,367.99      -5,625.12    -10.54%

 减:营业成本        39,245.55    41,995.00      -2,749.45      -6.55%

 税金及附加              337.1