华润双鹤(600062):华润双鹤关于公开发行公司债券预案公告

时间:2025年08月22日 18:36:01 中财网

原标题:华润双鹤:华润双鹤关于公开发行公司债券预案公告

本公司董事会及全体董事保证本公告内容不存在任何虚假记载、 误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承 担法律责任。华润双鹤药业股份有限公司(以下简称“公司”)于2025年8月21日
召开第十届董事会第十三次会议,审议通过了公开发行公司债券相关事项。本次公开发行公司债券(以下简称“本次公司债券”)尚需提交公司股东会审议并经中国证券监督管理委员会(以下简称“中国证监会”)同意注册后方可实施。现将本次公司债券具体情况说明如下:
一、关于公司符合发行公司债券条件的说明
根据《公司法》《证券法》《公司债券发行与交易管理办法》和《上海证券交易所公司债券上市规则》等相关法律、法规和规范性文件的规定,经对照自查,董事会认为公司符合公开发行公司债券的有关规定,具备向专业投资者公开发行公司债券的条件和资格。

二、本次发行概况
1、发行规模
本次公司债券的规模为不超过人民币30亿元(含30亿元),具体发
行规模由股东会授权董事会根据公司资金需求情况和发行时市场情况,在上述范围内确定。

2、票面金额和发行价格
本次公司债券每张面值100元,按面值平价发行。

3、发行对象及向公司股东配售安排
本次公司债券的发行对象为符合《证券法》、国务院证券监督管理
机构相关规定的专业投资者。本次公司债券不向公司股东优先配售。

4、品种及债券期限
本次公司债券期限拟为不超过7年(含7年),可以为单一期限品种,
也可以为多种期限的混合品种,具体品种及期限构成由股东会授权董事会在发行前根据相关规定及市场情况确定。

5、债券利率及付息方式
本次公司债券为固定利率债券,采用单利按年计息,不计复利,每
年付息一次。票面利率和付息方式提请股东会授权董事会与主承销商根据发行时市场情况确定。

6、发行方式
本次公司债券在经过上海证券交易所审核无异议并获得中国证监会
注册批复后,以一次或分期的形式在中国境内择机公开发行。具体发行方式提请股东会授权董事会根据市场情况和公司资金需求情况确定。

7、担保事项
本次公司债券不涉及担保事项。

8、募集资金用途
本次公司债券的募集资金扣除发行费用后拟用于偿还有息负债、支
持投资并购、补充流动资金等法律法规允许的用途。具体用途提请股东会授权董事会根据公司财务状况与资金需求情况在上述范围内确定。

9、承销方式
本次债券由主承销商采取余额包销的方式承销。

10、上市安排
本次公司债券发行完毕后,在满足上市条件的前提下,公司将向上
海证券交易所申请公司债券上市交易。经监管部门批准/核准,在相关法律法规允许的前提下,公司亦可申请本次发行的公司债券于其他交易场所上市交易。

11、赎回条款或回售条款
本次公司债券是否设置赎回条款或回售条款及相关条款具体内容提
请股东会授权董事会根据相关规定及市场情况确定。

12、公司资信情况及偿债保障措施
公司最近三年及一期资信情况良好。若本次公司债券发行后出现预
计不能按期偿付债券本息或者到期未能按期偿付债券本息的情形时,将采取如下措施:
(1)不向股东分配利润;
(2)暂缓重大对外投资、收购兼并等资本性支出项目的实施。

根据有关规定,提请股东会授权董事会就上述公司债券偿债保障措
施作出决议并采取相应措施。

13、决议有效期
本次发行公司债券决议的有效期为股东会通过之日起,至中国证监
会就本次公司债券出具的注册文件有效期届满之日止。

三、发行人简要财务会计信息
(一)公司最近三年及一期合并范围变化情况

报告期变动公司名称变动原因
2025年1-6月减少双鹤药业润太行(海南)投资有限公司注销
 减少东营市恒益工程项目管理有限公司注销
 减少赛科美国药业公司注销
2024 年度增加华润紫竹药业有限公司同一控制下合并
 增加双鹤(北京)生物技术有限公司新设成立
2023年度增加贵州天安药业股份有限公司,现已更名 “双鹤天安药业(贵州)股份有限公司”同一控制下合并
 增加江苏淮安双鹤医药有限责任公司新设成立
2022年度增加神舟生物科技有限责任公司非同一控制下合并
(二)最近三年及一期财务报表
1、最近三年及一期资产负债表
(1)合并资产负债表
单位:元

项目2025/6/302024/12/312023/12/312022/12/31
流动资产:    
货币资金2,024,167,118.232,850,724,187.863,461,903,193.142,630,449,767.16
交易性金融资产502,016,111.12  200,486,739.73
应收账款2,341,963,448.911,764,693,782.141,728,681,633.891,343,445,230.22
应收款项融资710,701,028.18832,896,120.29904,734,012.71867,245,604.86
预付款项188,736,597.42151,810,456.55201,337,989.75182,169,234.28
其他应收款86,646,925.32183,883,236.151,346,165,881.07421,106,786.53
其中:应收股利 94,488,800.00  
存货1,624,482,995.311,594,057,842.531,687,640,978.911,900,297,262.62
合同资产4,913,875.00   
一年内到期的非流动资产925,000.00925,000.008,697,715.5610,000,000.00
其他流动资产88,897,219.9797,933,659.5942,389,651.7683,587,877.99
流动资产合计7,573,450,319.467,476,924,285.119,381,551,056.797,638,788,503.39
非流动资产:    
长期应收款1,964,770.982,372,119.62 7,807,348.15
长期股权投资1,056,422,140.011,036,209,583.351,000,580,646.94333,174,707.79
其他非流动金融资产11,999,898.2511,999,898.2515,057,785.5017,114,698.85
投资性房地产79,272,191.1579,436,484.9779,647,154.2743,872,245.58
固定资产3,705,840,507.453,751,330,250.313,420,392,981.653,075,783,509.05
在建工程479,645,046.97455,136,028.02570,377,238.00439,717,904.75
使用权资产35,702,227.9831,476,021.8955,274,230.3955,025,670.26

项目2025/6/302024/12/312023/12/312022/12/31
无形资产1,725,696,462.041,748,945,114.111,768,021,643.401,647,999,072.03
开发支出629,728,714.35724,738,514.33790,888,994.54771,963,992.49
商誉878,487,630.37878,487,630.37907,897,630.37934,958,114.19
长期待摊费用17,741,346.8320,177,647.8622,114,568.3920,338,082.27
递延所得税资产108,933,150.11135,797,386.32140,576,448.80127,190,085.24
其他非流动资产436,118,372.98332,964,715.2650,152,699.5651,590,866.81
非流动资产合计9,167,552,459.479,209,071,394.668,820,982,021.817,526,536,297.46
资产总计16,741,002,778.9316,685,995,679.7718,202,533,078.6015,165,324,800.85
流动负债:    
短期借款15,106,900.0063,553,379.8929,969,000.004,946,000.00
应付票据19,481,754.8019,389,987.0025,815,737.6019,081,068.71
应付账款748,827,856.12816,424,622.37714,674,545.82731,312,503.05
合同负债140,326,781.83174,879,572.18293,432,707.50194,207,074.18
应付职工薪酬409,502,655.08484,022,315.18459,170,223.28346,633,574.73
应交税费163,022,608.72123,042,018.05145,821,515.46211,834,695.26
其他应付款1,862,339,562.112,276,374,171.122,853,066,431.331,489,762,236.71
其中:应付股利385,379,035.84200,000,000.001,300,000,000.00 
一年内到期的非流动负债25,589,868.7032,187,781.60231,301,745.3427,113,726.65
其他流动负债19,330,122.6212,918,233.9425,933,726.7857,575,933.74
流动负债合计3,403,528,109.984,002,792,081.334,779,185,633.113,082,466,813.03
非流动负债:    
长期借款1,099,258,803.131,089,777,770.18 200,000,000.00
租赁负债31,927,465.4322,096,817.0229,949,615.4732,932,099.92
长期应付款4,000,000.004,000,000.004,000,000.00545,988.80
长期应付职工薪酬168,364,008.06169,638,000.00147,545,728.02144,182,000.00
预计负债1,667,341.281,667,341.281,667,341.284,667,341.28
递延收益143,754,328.68160,666,754.95182,305,678.17199,458,078.19
递延所得税负债112,034,003.13123,601,997.56158,593,721.82176,171,297.04
非流动负债合计1,561,005,949.711,571,448,680.99524,062,084.76757,956,805.23
负债合计4,964,534,059.695,574,240,762.325,303,247,717.873,840,423,618.26
( ) 所有者权益或股东权益:    
实收资本(或股本)1,038,836,522.001,038,894,722.001,039,740,001.001,043,154,310.00
资本公积200,343,542.52193,447,637.53837,549,674.35275,220,708.58
减:库存股40,855,536.8274,360,065.96125,558,681.60175,676,578.68
其他综合收益-30,474,612.51-30,474,482.15-6,933,480.82-6,973,023.50
专项储备13,881,873.0811,174,611.038,253,584.895,539,845.66
盈余公积24,212,209.0724,212,209.07340,167,755.33481,148,439.78
未分配利润9,835,082,879.409,244,970,300.4810,120,113,285.768,934,028,509.30
归属于母公司所有者权益11,041,026,876.7410,407,864,932.0012,213,332,138.9110,556,442,211.14

项目2025/6/302024/12/312023/12/312022/12/31
(或股东权益)合计    
少数股东权益735,441,842.50703,889,985.45685,953,221.82768,458,971.45
所有者权益(或股东权益) 合计11,776,468,719.2411,111,754,917.4512,899,285,360.7311,324,901,182.59
负债和所有者权益(或股东 权益)总计16,741,002,778.9316,685,995,679.7718,202,533,078.6015,165,324,800.85
(2)母公司资产负债表
单位:元

项目2025/6/302024/12/312023/12/312022/12/31
流动资产:    
货币资金1,755,802,586.062,595,336,725.923,226,627,057.342,342,859,424.17
交易性金融资产502,016,111.12  200,486,739.73
应收票据85,333,283.61   
应收账款348,267,507.92143,576,852.84143,032,427.50169,571,758.70
应收款项融资 192,557,338.74143,621,984.77183,237,544.01
预付款项28,394,947.5936,495,178.5425,382,809.3331,765,964.24
其他应收款983,767,070.51959,714,751.23847,884,641.59571,989,823.73
其中:应收股利304,031,440.00299,031,440.00299,031,440.00 
存货275,661,476.29287,015,312.67303,001,327.21336,062,495.30
其他流动资产47,693,307.7948,169,112.8824,564,556.8039,183,775.03
流动资产合计4,026,936,290.894,262,865,272.824,714,114,804.543,875,157,524.91
非流动资产:    
长期股权投资7,701,964,936.047,885,590,620.066,568,365,936.696,252,516,183.65
其他非流动金融资产9,999,898.259,999,898.2513,057,785.5015,114,698.85
投资性房地产17,851,232.2718,502,486.3119,804,994.0121,107,501.71
固定资产655,644,682.00689,600,770.86667,128,697.81653,331,561.47
在建工程76,836,217.2244,584,328.0469,239,213.9861,262,250.92
使用权资产12,527,405.65334,839.41375,278.901,063,345.69
无形资产325,562,438.09318,690,097.16281,574,605.29180,766,904.67
开发支出174,817,943.72261,978,200.69253,052,511.75340,378,008.83
长期待摊费用29,047.5036,018.9049,961.7063,904.50
递延所得税资产313,341.008,772,590.90  
其他非流动资产324,729,213.19256,253,175.826,093,532.3210,880,672.12
非流动资产合计9,300,276,354.939,494,343,026.407,878,742,517.957,536,485,032.41
资产总计13,327,212,645.8213,757,208,299.2212,592,857,322.4911,411,642,557.32
流动负债:    
应付账款159,491,831.72389,407,378.71262,241,308.84281,523,897.90
合同负债5,290,755.479,282,680.2826,506,989.2431,468,725.54

项目2025/6/302024/12/312023/12/312022/12/31
应付职工薪酬46,683,419.0875,767,996.0173,925,169.8584,778,094.29
应交税费13,198,633.015,810,836.2910,198,380.2515,186,603.54
其他应付款4,807,058,938.584,944,147,245.202,917,641,519.663,564,472,731.38
其中:应付股利385,379,035.84   
一年内到期的非流动负债14,928,000.0014,928,000.003,880,000.004,677,961.53
其他流动负债687,798.211,028,164.663,022,498.65 
流动负债合计5,047,339,376.075,440,372,301.153,297,415,866.493,982,108,014.18
非流动负债:    
长期借款988,331,109.59991,140,750.18  
租赁负债12,453,527.0239,123.58 360,966.61
长期应付款   395,988.80
长期应付职工薪酬75,115,503.6975,673,000.0065,984,000.0068,368,000.00
递延收益4,453,834.4810,510,924.5012,734,613.1410,438,518.14
递延所得税负债  16,523,611.2716,473,520.11
非流动负债合计1,080,353,974.781,077,363,798.2695,242,224.4196,036,993.66
负债合计6,127,693,350.856,517,736,099.413,392,658,090.904,078,145,007.84
所有者权益(或股东权益):    
实收资本(或股本)1,038,836,522.001,038,894,722.001,039,740,001.001,043,154,310.00
资本公积182,316,084.58182,620,179.591,251,319,172.101,256,952,268.83
减:库存股40,855,536.8274,360,065.96125,558,681.60175,676,578.68
其他综合收益-7,161,434.58-7,161,434.583,872,592.132,121,137.52
盈余公积21,585,253.6924,212,209.07521,618,855.00521,618,855.00
未分配利润6,004,798,406.106,075,266,589.696,509,207,292.964,685,327,556.81
所有者权益(或股东权益) 合计7,199,519,294.977,239,472,199.819,200,199,231.597,333,497,549.48
负债和所有者权益(或股东 权益)总计13,327,212,645.8213,757,208,299.2212,592,857,322.4911,411,642,557.32
2、最近三年及一期利润表
(1)合并利润表
单位:元

项目2025年1-6月2024年度2023年度2022年度
一、营业总收入5,741,509,806.8011,211,623,666.1911,310,143,640.499,625,315,868.01
其中:营业收入5,741,509,806.8011,211,623,666.1911,310,143,640.499,625,315,868.01
二、营业总成本4,615,989,150.279,600,148,937.309,534,400,518.008,281,540,469.32
其中:营业成本2,308,016,584.014,790,857,648.324,869,504,400.584,288,130,257.17
税金及附加75,746,961.55144,298,664.68144,667,432.28120,716,209.30
销售费用1,497,626,924.343,184,660,637.363,075,095,640.592,733,909,703.15

项目2025年1-6月2024年度2023年度2022年度
管理费用500,586,190.02960,985,832.93872,291,000.30752,087,200.79
研发费用233,445,362.50555,190,957.61627,846,843.53482,482,808.97
财务费用567,127.85-35,844,803.60-55,004,799.28-95,785,710.06
其中:利息费用16,914,732.6215,360,413.0315,402,864.9910,624,820.90
利息收入15,668,819.6143,419,525.8865,370,035.4289,678,207.81
加:其他收益63,263,721.79114,928,984.5679,286,691.9784,517,873.00
投资收益(损失以“-”号填列)46,553,994.66155,137,814.91125,187,743.6316,231,067.23
其中:对联营企业和合营企业的投 资收益46,553,994.66155,137,814.91125,187,743.6316,231,067.23
公允价值变动收益(损失以“-”号 填列)2,016,111.12-1,641,163.6313,702,541.525,989,322.82
信用减值损失(损失以“-”号填列)-26,576,964.3718,209,247.20-2,394,025.87-2,372,553.14
资产减值损失(损失以“-”号填列)-10,814,015.76-110,516,645.27-110,542,475.04-18,813,601.98
资产处置收益(损失以“-”号填列)-1,365,193.8046,843,609.47175,729.88-2,269,657.77
三、营业利润(亏损以“-”号填列)1,198,598,310.171,834,436,576.131,881,159,328.581,427,057,848.85
加:营业外收入31,122,218.4845,306,715.8077,456,568.8330,382,249.89
减:营业外支出7,211,960.6213,060,417.0221,809,984.9922,517,065.84
四、利润总额(亏损总额以“-”号 填列)1,222,508,568.031,866,682,874.911,936,805,912.421,434,923,032.90
减:所得税费用210,024,481.72215,941,735.02272,714,111.79201,270,689.70
五、净利润(净亏损以“-”号填列)1,012,484,086.311,650,741,139.891,664,091,800.631,233,652,343.20
(一)按经营持续性分类    
1.持续经营净利润(净亏损以“-” 号填列)1,012,484,086.311,650,741,139.891,664,091,800.631,233,652,343.20
(二)按所有权归属分类    
1.归属于母公司股东的净利润(净 亏损以“-”号填列)975,491,614.761,627,718,404.741,670,383,409.391,180,062,412.48
2.少数股东损益(净亏损以“-”号填 列)36,992,471.5523,022,735.15-6,291,608.7653,589,930.72
六、其他综合收益的税后净额-130.36-23,523,942.01-71,252.081,465,523.36
(一)归属母公司所有者的其他综 合收益的税后净额-130.36-23,541,001.33-71,457.321,833,500.54
1.不能重分类进损益的其他综合 收益 -23,540,100.38-161,183.501,911,622.61
(1)重新计量设定受益计划变动额 -23,540,100.38-161,183.501,911,622.61
2.将重分类进损益的其他综合收 益-130.36-900.9589,726.18-78,122.07
(1)外币财务报表折算差额-130.36-900.9589,726.18-78,122.07
(二)归属于少数股东的其他综合 17,059.32205.24-367,977.18

项目2025年1-6月2024年度2023年度2022年度
收益的税后净额    
七、综合收益总额1,012,483,955.951,627,217,197.881,664,020,548.551,235,117,866.56
(一)归属于母公司所有者的综合 收益总额975,491,484.401,604,177,403.411,670,311,952.071,181,895,913.02
(二)归属于少数股东的综合收益 总额36,992,471.5523,039,794.47-6,291,403.5253,221,953.54
八、每股收益    
(一)基本每股收益(元/股)0.94801.58381.63061.1396
(二)稀释每股收益(元/股)0.94801.58381.63061.1396
(2)母公司利润表
单位:元

项目2025年1-6月2024年度2023年度2022年度
一、营业收入823,486,128.861,691,453,133.451,692,637,479.911,542,970,495.40
减:营业成本387,592,761.92791,030,403.11772,334,196.00750,708,901.68
税金及附加11,570,725.1523,109,904.4924,089,264.5023,150,843.93
销售费用40,224,123.84352,874,369.92171,596,259.03296,655,862.31
管理费用147,011,541.18278,221,050.51236,040,709.90243,555,188.94
研发费用96,603,435.51216,222,890.28214,002,358.57134,145,386.69
财务费用1,193,388.02-17,930,108.63-36,841,471.86-77,703,135.23
其中:利息费用15,363,827.7610,828,081.262,793,220.472,756,395.96
利息收入14,265,841.2428,951,920.6339,778,941.5880,899,394.57
加:其他收益13,189,663.7821,771,521.515,084,225.568,712,817.40
投资收益(损失以“-”号填列)189,036,423.13258,963,621.651,831,147,543.53258,556,449.82
其中:对联营企业和合营企业的投资 收益26,923,753.9853,119,096.6513,881,943.53 
公允价值变动收益(损失以“-”号填 列)2,016,111.12-1,641,163.6313,802,541.5216,768,479.11
信用减值损失(损失以“-”号填列)-169,609.2824,885.63-53,536.96449,686.73
资产减值损失(损失以“-”号填列)-2,134,489.03-126,765,519.35-35,600,663.81-6,642,172.61
资产处置收益(损失以“-”号填列)-710,322.83-1,261,379.94-915,022.00-3,521,530.75
二、营业利润(亏损以“-”号填列)340,517,930.13199,016,589.642,124,881,251.61446,781,176.78
加:营业外收入498,764.0014,142,586.3736,156,853.14953,996.48
减:营业外支出3,781,289.512,597,685.633,867,523.291,801,220.78
三、利润总额(亏损总额以“-”号填 列)337,235,404.62210,561,490.382,157,170,581.46445,933,952.48
减:所得税费用22,324,552.37-31,560,600.2732,805,985.0222,546,202.43
四、净利润(净亏损以“-”号填列)314,910,852.25242,122,090.652,124,364,596.44423,387,750.05
(一)持续经营净利润(净亏损以“-”号314,910,852.25242,122,090.652,124,364,596.44423,387,750.05

项目2025年1-6月2024年度2023年度2022年度
填列)    
五、其他综合收益的税后净额 -11,034,026.711,751,454.614,647,210.84
(一)不能重分类进损益的其他综合收 益    
1.重新计量设定受益计划变动额 -11,034,026.711,751,454.614,647,210.84
六、综合收益总额314,910,852.25231,088,063.942,126,116,051.05428,034,960.89
3、最近三年及一期现金流量表
(1)合并现金流量表
单位:元

项目2025年1-6月2024年度2023年度2022年度
一、经营活动产生的现金流量    
销售商品、提供劳务收到的现金4,856,845,688.8710,480,668,973.0610,804,977,663.729,311,530,932.57
收到的税费返还22,416,304.5014,940,992.2774,481,281.4378,300,796.18
收到其他与经营活动有关的现金88,006,748.49139,951,836.09153,467,014.17170,929,546.65
经营活动现金流入小计4,967,268,741.8610,635,561,801.4211,032,925,959.329,560,761,275.40
购买商品、接受劳务支付的现金749,013,930.931,731,794,282.972,086,471,601.352,435,069,996.34
支付给职工及为职工支付的现金1,388,634,431.002,496,884,777.342,376,726,185.541,951,460,598.56
支付的各项税费608,342,067.491,142,771,660.831,280,735,269.57965,674,157.96
支付其他与经营活动有关的现金1,559,104,460.913,438,995,889.043,429,935,558.142,792,389,293.41
经营活动现金流出小计4,305,094,890.338,810,446,610.189,173,868,614.608,144,594,046.27
经营活动产生的现金流量净额662,173,851.531,825,115,191.241,859,057,344.721,416,167,229.13
二、投资活动产生的现金流量    
收回投资收到的现金 341,416,723.622,302,986,434.932,856,912,492.32
取得投资收益收到的现金120,830,238.0027,026,231.2680,304,530.9294,813,452.87
处置固定资产、无形资产和其他 长期资产收回的现金净额36,801,860.8857,096,992.033,347,605.523,911,354.88
收到其他与投资活动有关的现金462,500.001,294,414,303.9260,945,539.615,085,666.76
投资活动现金流入小计158,094,598.881,719,954,250.832,447,584,110.982,960,722,966.83
购建固定资产、无形资产和其他 长期资产支付的现金240,808,187.72637,496,996.27614,311,874.19526,600,624.76
投资支付的现金500,000,000.00100,000,000.002,340,000,000.001,350,000,000.00
取得子公司及其他营业单位支付 的现金净额   409,220,289.38
支付其他与投资活动有关的现金  276,638,016.4582,618,959.46
投资活动现金流出小计740,808,187.72737,496,996.273,230,949,890.642,368,439,873.60
投资活动产生的现金流量净额-582,713,588.84982,457,254.56-783,365,779.66592,283,093.23
三、筹资活动产生的现金流量    
(未完)
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