Pacific Shuanglin Bio-pharmacy Co., LTD

SZSE:000403.SZ

21.78 (CNY) • At close October 26, 2023
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) CNY.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,429.351,000.797885.673102.827110.943154.767145.872202.82351.63943.69716.02937.92252.55115.00861.7548.26723.1518.7427.98938.025268.585357.9260.3173.44110.5988.5618.4561.9553.620.3194.544
Kortetermijnbeleggingen 423.337422.435234.20800050000000.050.0470.0281.6850.5660.7162.05211.8581.3410000014.625000
Liquide middelen en kortetermijnbeleggingen 1,852.6871,423.2321,119.881102.827110.943154.767145.872202.82351.63943.69716.02937.92252.55115.05861.8028.29524.83619.30628.70540.077280.443359.241260.3173.44110.5988.5618.45616.583.620.3194.544
Nettovorderingen 619.507998.362609.268325.93261.8205.217158.16662.3786.62858.88339.15688.473333.96183.363105.736104.199408.904348.573411.6341,083.411518.617346.44565.87293.88949.2236.739194.1142.68339.32242.50827.713
Voorraad 909.375623.689738.968441.761404.654389.851379.478320.356267.629243.879216.206174.706155.849157.03197.992183.758243.953248.542262.094486.099473.378354.465297.565250.372193.25592.33993.40492.69188.16593.651113.521
Overige vlottende activa 2.1691.6931.213.0251.5282.9635.737.0351.2411.31618.078-37.024-144.325-25.613-26.452-25.464-100.413-64.187-0-415.4240.0470.047-143.167354.006314.343196.237-28.201-26.0240.3390.580.757
Totaal vlottende activa 3,426.0753,046.9762,469.327873.543778.925752.798689.246592.584407.137347.775289.47264.077398.037229.838339.078270.787577.279552.233702.4331,194.1631,272.4841,060.193980.571871.707667.416333.877267.759225.93131.446137.057146.534
Niet-vlottende activa:
Materiële vaste activa, netto 1,553.8121,296.6211,103.222382.972388.091457.337485.728505.384773.071761.421773.856661.546437.866512.987651.653714.679880.614920.2141,118.117633.715643.077383.411319.084288.776277.055187.162127.874102.44864.99554.22443.872
Goodwill 2,614.6122,614.6122,614.6120000000000004.8764.87600000000000000
Immateriële activa 280.236272.543257.38291.09472.77569.51869.81171.8973.12668.948103.671113.113115.051108.847217.736180.525176.334187.594210.332226.493244.67749.35322.375.7320000000
Goodwill en immateriële activa 2,894.8472,887.1552,871.99391.09472.77569.51869.81171.8973.12668.948103.671113.113115.051108.847217.736185.401181.211187.594210.332226.493244.67749.35322.375.7320000000
Langetermijnbeleggingen 612.163600.362590.092290.40818.50524.62423.37923.0582.4743.697-0-0064.9522.29723.515-0.29144.85250.95759.20951.82750.06000000000
Belastingvorderingen 49.03649.09227.34511.75410.67810.38310.1066.5415.8266.69712.77610.9879.3238.74120.49120.36518.99500000000000000
Overige niet-vlottende activa 94.541102.11925.8192.8472.6692.89742.31143.8613.6755.2677.38318.2230.5280.050.5410.0281.6850.5660.7162.05228.9661.5356.62212.3616.2752.8681.6952.3822.9860.2640.547
Totaal niet-vlottende activa 5,204.3994,935.3494,618.471779.074492.717564.759631.334650.734858.172846.031897.687803.869562.768695.575912.718943.9871,082.2141,153.2261,380.122921.469968.547484.355398.077306.868293.33190.031129.569104.8367.98154.48844.419
Totaal activa 8,630.4747,982.3247,087.7981,652.6171,271.6421,317.5571,320.581,243.3181,265.3091,193.8061,187.1561,067.946960.805925.4141,251.7951,214.7751,659.4931,705.4592,082.5552,115.6322,241.0311,544.5481,378.6471,178.575960.747523.908397.328330.759199.428191.546190.953
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 154.347158.37170.76145.98631.76943.37738.8954344.65738.74235.04136.4838.05638.159105.691101.897268.572266.223290.498277.289246.779215.832178.461208.317116.02369.41558.461.08224.824.19328.123
Kortlopende schulden 278.463290.879120.571332.406110180224223239.95209.95241.459279.959240.184267.449454.651432.195891.482975.081,176.594927.424818.22438.47363.02163.04230.89129.679.9855.7643.1260.2745.08
Belastingschulden 71.05483.82547.98728.26716.94844.7711320.2930.11133.62123.84526.4327.35825.30229.04919.45129.62325.04719.6279.221.245-4.192-0.9393.59717.12611.7110.462-1.9320.0681.4973.392
Uitgestelde opbrengsten 481.86625.911338.788250.267276.07644.771417.172349.768357.746347.552290.857255.526219.206189.261302.045261.06340.173196.387176.818125.24592.47677.97399.71387.631100.72865.14634.12830.44620.89718.80524.94
Overige kortlopende verplichtingen 7.519484.1512.16912.07622.213399.64520.25819.10625.1316.22160.75358.81139.39510.69447.47539.98587.714109.01853.46971.82826.8997.9654.2562.9855.4257.3067.49811.5587.631.0814.572
Totaal kortlopende verplichtingen 922.195959.309642.289640.735440.058667.793700.325634.875667.482612.465628.11630.777536.841505.563909.863835.1371,587.9421,546.7081,697.3791,401.7861,184.374740.24645.451461.972453.067271.467180.006158.84696.448104.348112.716
Langlopende verplichtingen:
Langetermijnschulden 217.55782.4820.89120.022990244772920011.72442.26248.34458.08778.846165.48111.71216.3325.28143.801117.32224.62614.48.571237.3128.8521.486
Uitgestelde opbrengsten niet-vlottend 35.60340.08349.23615.95420.02518.43830.44526.80123.33719.9580000013.3000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 24.25630.32536.51600008.730-00000000.32500000000.023000000
Overige niet-vlottende verplichtingen 9911.13690.9552.84730.9272230.733115.362149.49141.22134.131162.031140.7313.217107.064107.210001.5701.2052.413.6154.821.3150.810.45
Totaal niet-vlottende verplichtingen 286.416161.888117.77944.97629.9830.28561.37261.53172.337122.691207.362149.49141.22145.855204.293202.37561.629185.91272.69111.71216.3325.28145.371117.32225.85416.8112.18516.8238.62529.6621.936
Totaal passiva 1,208.611,121.197760.067685.711470.038698.078761.696696.406739.819735.156835.472780.267678.061651.4181,114.1551,037.5121,649.5711,732.6181,970.0691,513.4961,400.704765.521690.822579.294478.92288.277192.191175.665135.073134.008134.652
Eigen vermogen:
Preferente aandelen 110.198000000000000000000000000000000
Gewone aandelen 733.001732.387732.919492.435272.578272.578272.578272.578272.578272.578272.578211.683211.683211.683211.683211.683211.683211.683211.683211.683211.683211.683196.683196.683131.122112.154112.15464.1840.1840.1840.18
Ingehouden winsten 1,835.6121,286.64751.352374.006329.913187.997108.014107.12353.227-24.336-146.853-217.133-249.707-290.413-440.871-443.177-639.315-666.111-449.73171.451262.905251.547215.645165.28895.55135.27515.06210.9457.10300
Overige gereserveerde algehele resultaten 0.047130.955114.30494.492107.03286.45786.45786.45786.4570-000000000000000000000
Overige totale aandeelhoudersvermogen 4,749.7924,717.5434,727.0894.38490.790.7104.90688.19588.195174.652174.619235.513235.513235.513232.757232.757241.97262.137227.42256.909256.046243.498208.119189.494225.38880.86777.92179.96917.07217.35716.121
Totaal eigen vermogen van aandeelhouders 7,428.6496,867.5246,325.664965.316800.222637.731571.955554.352500.456422.893300.344230.063197.49156.7833.571.263-185.662-192.291-10.628540.043730.634706.729620.447551.465452.062228.296205.137155.09464.35557.53756.301
Totaal eigen vermogen 7,421.8646,861.1276,327.731966.907801.604619.478558.883546.912525.49458.65351.685287.679282.744273.996137.64177.2639.922-27.159112.487602.137840.327779.027687.825599.281481.826235.631205.137155.09464.35557.53756.301
Totaal passiva en aandeelhoudersvermogen 8,630.4747,982.3247,087.7981,652.6171,271.6421,317.5571,320.581,243.3181,265.3091,193.8061,187.1561,067.946960.805925.4141,251.7951,214.7751,659.4931,705.4592,082.5552,115.6322,241.0311,544.5481,378.6471,178.575960.747523.908397.328330.759199.428191.546190.953