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首页 公告 济川药业:湖北济川药业股份有限公司2024年度财务决算报告

济川药业:湖北济川药业股份有限公司2024年度财务决算报告

公告日期:2025-04-26


                湖北济川药业股份有限公司

                  2024 年度财务决算报告

  公司财务报表经立信会计师事务所(特殊普通合伙)审计,并出具了无保留意见的审计报告(信会师报字[2025]第 ZA12157 号),在所有重大方面按照企业会
计准则的规定编制,公允反映了公司 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。

  一、主要会计数据和财务指标

  2024 年,公司实现营业收入 801,689.48 万元,同比下降 16.96%;归属于上
市公司股东的净利润 253,155.41 万元,同比下降 10.32%;归属于上市公司股东的扣除非经常性损益的净利润 226,596.40 万元,同比下降 15.84%。

  最近三年公司主要会计数据和财务指标:

                                                    本期比上

主要会计数据      2024年            2023年        年同期增        2022年

                                                      减(%)

营业收入(元  8,016,894,756.63  9,654,537,192.67    -16.96  8,996,366,979.29

归属于上市公

司股东的净利  2,531,554,060.02  2,822,781,164.62    -10.32  2,170,749,923.87
润(元)
归属于上市公
司股东的扣除

非经常性损益  2,265,964,029.11  2,692,306,739.33    -15.84  2,028,586,089.46
的净利润(元

经营活动产生

的现金流量净  2,176,437,015.78  3,463,958,635.83    -37.17  2,620,832,879.02
额(元)

基本每股收益              2.76              3.08    -10.39              2.44
(元/股)

稀释每股收益              2.76              3.08    -10.39              2.39
(元/股)
扣除非经常性

损益后的基本              2.47              2.94    -15.99              2.28
每股收益(元
/股)

加权平均净资              18.18              22.99  减少4.81              21.91
产收益率(%)                                        个百分点

扣除非经常性

损益后的加权              16.27              21.93  减少5.66              20.48
平均净资产收                                        个百分点

益率(%)

                                                    本期末比

主要财务指标      2024年末          2023年末      上年同期      2022年末

                                                    末增减(%

                                                        )

归属于上市公

司股东的净资  14,701,852,749.00  13,349,441,189.41      10.13  11,337,271,848.93
产(元)

总资产(元)  18,459,493,906.46  18,143,694,578.52      1.74  14,981,202,241.23

  二、主营业务收入及毛利率情况

                                                          单位:元  币种:人民币

                              主营业务分行业情况

                                                      营业收  营业

 分行                                          毛利  入比上  成本  毛利率比上
 业        营业收入          营业成本      率(%) 年增减  比上  年增减(%)
                                                      (%)  年增

                                                              减(%)

工业    7,658,802,445.83  1,438,862,882.28  81.21  -17.46  -8.54  减少 1.84 个
                                                                      百分点

商业      337,709,958.08    213,010,184.12  36.93  -5.94  7.72  减少 7.99 个
                                                                      百分点

合计    7,996,512,403.91  1,651,873,066.40  79.34  -17.03  -6.72  减少 2.29 个
                                                                      百分点

  2024 年,公司实现主营业务收入 799,651.24 万元,同比减少 17.03%。其中
医药工业主营业务收入为 765,880.24 万元,同比减少 17.46%,医药商业主营业务收入为 33,771.00 万元,同比减少 5.94%。主要系公司主要产品蒲地蓝消炎口服液、小儿豉翘清热颗粒受 2023 年同期收入高基数的影响,以及雷贝拉唑钠肠溶胶囊受集采政策影响所致。

  三、公司主要财务数据分析

  1、报告期内资产负债项目变化情况及重大变化的原因

                                                                        单位:元

项目名称    本期期末数      本期期      上期期末数      上期期  本期期末      情况说明


                              末数占                      末数占  金额较上

                              总资产                      总资产  期期末变

                              的比例                      的比例  动比例(%)

                              (%)                      (%)

交易性金                                                                      主要系闲置资金
融资产    5,160,976,879.80    27.96  3,178,269,912.54    17.52      62.38  购买理财增加所
                                                                              致

                                                                              主要系本期客户
应收票据      84,120,173.14    0.46    46,303,867.35    0.26      81.67  采用应收票据回
                                                                              笼增加所致

应收款项                                  8,789,389.16    0.05    -100.00  主要系应收票据
融资                                                                          贴现转让所致

开发支出      2,183,832.92    0.01    10,691,329.08    0.06    -79.57  主要系转无形资
                                                                              产所致

                                                                              主要系绿化工程
长期待摊        200,789.76    0.00      1,216,058.45    0.01    -83.49  摊销、租入固定资
费用                                                                          产改良支出摊销
                                                                              所致

                                                                              主要系用票据支
应付票据    291,930,573.65    1.58    446,318,006.90    2.46    -34.59  付的材料款减少
                                                                              所致

其他应付                                                                      主要系风险责任
款          592,339,785.38    3.21    908,510,221.79    5.01    -34.80  金、应付报销款减
                                                                              少所致

长期应付        530,503.69    0.00        819,