神奇制药(600613)
 
 
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  盈利预测
据神奇制药三季报分析:

  盈利能力维持稳定,总资产收益能力略有下降

  成长能力维持稳定,营业收入加倍下滑,前景暗淡

  偿债能力维持稳定,偿还流动负债能力很强

  运营能力维持稳定,资金使用效率有所提高

  现金流能力有所削弱,公司现金回收质量较差

  财务数据
2025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-31
每股收益(元)0.090.060.030.130.110.070.040.11
每股净资产(元)4.374.334.444.424.414.344.424.37
每股资本公积金(元)1.811.811.811.811.811.811.811.81
每股未分配利润(元)1.351.321.441.411.391.351.431.38
每股经营性现金流(元)0.290.09-0.050.390.340.230.080.40
净资产收益率(%)2.141.380.633.012.511.611.012.42
营业总收入(元)13.98亿9.61亿4.80亿20.49亿15.63亿11.10亿5.75亿23.41亿
营业总收入同比增长(%)-10.58-13.47-16.47-12.48-8.61-7.91-1.42-2.00
归属净利润(元)5030.16万3280.81万1499.45万7138.80万5935.38万3783.70万2394.47万5700.07万
归属净利润同比增长(%)-15.25-13.29-37.3825.24-10.008.930.6517.41
扣非净利润(元)4800.45万3197.69万1499.16万7112.15万5747.54万3750.57万2377.19万4910.40万
扣非净利润同比增长(%)-16.48-14.74-36.9444.84-6.1214.781.110.84
毛利率(%)47.0646.8446.7747.5348.8847.3949.1849.93
净利率(%)3.653.583.283.233.763.504.372.49
资产负债率(%)21.9320.4621.5322.1124.5624.3526.6327.10
存货周转率(次)3.312.341.134.563.392.541.255.08
  主营收入+营业利润
 
  净利润+每股收益
  股东权益+未分配利润
 
  总资产+负债
  投资要点
  • 总资产(亿元)
  • 负债(亿元)
    截至第三季度最新总资产308618.24万元,负债67677.80万元。

利润表
报告期2025-09-302025-06-302025-03-312024-12-31
营业总收入1,397,861,990.39960,849,846.72479,926,834.642,048,808,450.63
营业总成本1,317,761,316.36903,529,215.25455,826,488.731,924,744,427.86
其他经营收益
营业利润66,259,215.1546,137,638.0620,881,969.6191,667,090.51
利润总额65,157,787.1745,454,723.9320,153,153.6987,577,866.67
净利润51,091,018.8434,414,505.4515,717,573.366,078,062.2
每股收益
其他综合收益-223,221.11-3,417,692.18-4,370,158.269,670,419.82
综合收益总额50,867,797.7330,996,813.2711,347,415.0475,748,482.02
资产负债表
报告期2025-09-302025-06-302025-03-312024-12-31
流动资产:
流动资产合计1,590,109,978.641,498,785,370.621,613,720,565.861,595,911,027
非流动资产:
非流动资产合计1,496,072,438.141,505,227,377.631,508,845,733.221,519,901,601.78
资产总计3,086,182,416.783,004,012,748.253,122,566,299.083,115,812,628.78
流动负债:
流动负债合计533,777,875.07475,616,805.55518,085,739.57530,883,369.61
非流动负债:
非流动负债合计143,000,115.59138,862,511.04154,325,781.88158,121,896.58
负债合计676,777,990.66614,479,316.59672,411,521.45689,005,266.19
所有者权益(或股东权益):
归属于母公司股东权益合计2,333,006,149.542,312,318,210.982,373,662,839.072,363,038,500.5
股东权益合计2,409,404,426.122,389,533,431.662,450,154,777.632,426,807,362.59
负债和股东权益合计3,086,182,416.783,004,012,748.253,122,566,299.083,115,812,628.78
现金流量表
报告期2025-09-302025-06-302025-03-312024-12-31
经营活动产生的现金流量:
经营活动现金流入小计1,409,639,763.241,020,918,613.47392,984,135.622,139,994,783.42
经营活动现金流出小计1,252,332,005.9973,444,498.87421,758,933.781,932,209,267.3
经营活动产生的现金流量净额157,307,757.3447,474,114.6-28,774,798.16207,785,516.12
投资活动产生的现金流量:
投资活动现金流入小计61,409,961.7520,983,597.567,50016,472,617.47
投资活动现金流出小计274,648,331.8157,657,323.9212,626,245.3951,392,813.95
投资活动产生的现金流量净额-213,238,370.06-36,673,726.36-12,618,745.39-34,920,196.48
筹资活动产生的现金流量:
筹资活动现金流入小计28,222,00028,222,00052,265,293.3332,000,000
筹资活动现金流出小计140,603,279.9136,877,260.3815,053,409.48139,578,088.94
筹资活动产生的现金流量净额-112,381,279.9-108,655,260.3837,211,883.85-107,578,088.94
汇率变动对现金及现金等价物的影响5,907.15-5,907.15--182,827.56
现金及现金等价物净增加额-168,305,985.47-97,860,779.29-4,181,659.765,104,403.14
期末现金及现金等价物余额611,086,590.92681,531,797.1775,210,916.69779,392,576.39
补充资料:
现金及现金等价物的净增加额--97,860,779.29-65,104,403.14
  十大流通股东
  • 总资产(亿元)
  • 负债(亿元)
    截至第三季度最新总资产308618.24万元,负债67677.80万元。

利润表
报告期2025-09-302025-06-302025-03-312024-12-31
营业总收入1,397,861,990.39960,849,846.72479,926,834.642,048,808,450.63
营业总成本1,317,761,316.36903,529,215.25455,826,488.731,924,744,427.86
其他经营收益
营业利润66,259,215.1546,137,638.0620,881,969.6191,667,090.51
利润总额65,157,787.1745,454,723.9320,153,153.6987,577,866.67
净利润51,091,018.8434,414,505.4515,717,573.366,078,062.2
每股收益
其他综合收益-223,221.11-3,417,692.18-4,370,158.269,670,419.82
综合收益总额50,867,797.7330,996,813.2711,347,415.0475,748,482.02
资产负债表
报告期2025-09-302025-06-302025-03-312024-12-31
流动资产:
流动资产合计1,590,109,978.641,498,785,370.621,613,720,565.861,595,911,027
非流动资产:
非流动资产合计1,496,072,438.141,505,227,377.631,508,845,733.221,519,901,601.78
资产总计3,086,182,416.783,004,012,748.253,122,566,299.083,115,812,628.78
流动负债:
流动负债合计533,777,875.07475,616,805.55518,085,739.57530,883,369.61
非流动负债:
非流动负债合计143,000,115.59138,862,511.04154,325,781.88158,121,896.58
负债合计676,777,990.66614,479,316.59672,411,521.45689,005,266.19
所有者权益(或股东权益):
归属于母公司股东权益合计2,333,006,149.542,312,318,210.982,373,662,839.072,363,038,500.5
股东权益合计2,409,404,426.122,389,533,431.662,450,154,777.632,426,807,362.59
负债和股东权益合计3,086,182,416.783,004,012,748.253,122,566,299.083,115,812,628.78
现金流量表
报告期2025-09-302025-06-302025-03-312024-12-31
经营活动产生的现金流量:
经营活动现金流入小计1,409,639,763.241,020,918,613.47392,984,135.622,139,994,783.42
经营活动现金流出小计1,252,332,005.9973,444,498.87421,758,933.781,932,209,267.3
经营活动产生的现金流量净额157,307,757.3447,474,114.6-28,774,798.16207,785,516.12
投资活动产生的现金流量:
投资活动现金流入小计61,409,961.7520,983,597.567,50016,472,617.47
投资活动现金流出小计274,648,331.8157,657,323.9212,626,245.3951,392,813.95
投资活动产生的现金流量净额-213,238,370.06-36,673,726.36-12,618,745.39-34,920,196.48
筹资活动产生的现金流量:
筹资活动现金流入小计28,222,00028,222,00052,265,293.3332,000,000
筹资活动现金流出小计140,603,279.9136,877,260.3815,053,409.48139,578,088.94
筹资活动产生的现金流量净额-112,381,279.9-108,655,260.3837,211,883.85-107,578,088.94
汇率变动对现金及现金等价物的影响5,907.15-5,907.15--182,827.56
现金及现金等价物净增加额-168,305,985.47-97,860,779.29-4,181,659.765,104,403.14
期末现金及现金等价物余额611,086,590.92681,531,797.1775,210,916.69779,392,576.39
补充资料:
现金及现金等价物的净增加额--97,860,779.29-65,104,403.14
  主力控盘
  公司简介
-- 所属地域: 上海市 涉及概念: 医药电商,流感
主营业务: 在国家法律允许和政策鼓励的范围内进行投资管理(以医药领域为主)。【依法须经批准的项目,经相关部门批准后方可开展经营活动】
上市日期: 1992-08-20 每股净资产: 4.37元 每股收益: 0.09元 净利润: 0.50亿元 净利润增长率: -15.25%
营业收入: 13.98亿元 每股现金流: 0.29元 每股公积金: 1.81元 每股未分配利润: 1.35元 总股本: 5.34亿 流通股: 4.79亿



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