Jilin Aodong Pharmaceutical Group Co., Ltd.

SZSE:000623.SZ

16.09 (CNY) • At close October 26, 2023
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,459.881,800.8471,770.8591,691.4131,393.398924.6561,845.1461,655.8412,601.8291,417.7921,062.202649.8711,982.9491,255.2641,385.428886.2092,001.784399.471133.762155.106120.67288.71282.06787.401100.32389.819
Afschrijvingen & Amortisatie 239.661225.627204.155195.462194.021186.876179.094160.916134.64107.31995.38883.2771.0473.41979.66579.28682.75577.22868.29170.60241.52840.31920.70518.0420.8510.929
Uitgestelde Inkomstenbelasting 0-123.302-46.593-12.1271.416-25.5150.374-5.985-10.28100000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal -422.387-169.96-67.95590.191-108.331-240.93-317.937-260.054-132.553-156.167-79.02714.997280.483-62.876-9.40851.733205.6981.487-76.498-9.433-67.327-155.01438.72110.799-13.316-127.291
Vorderingen -304.326-189.016.42358.66640.503-234.566-280.597-249.61-148.227-100.716-200.709-112.1600000000000000
Voorraden -16.93-301.225-59.611-20.536-7.618-90.909-0.41-76.597-31.555-91.318-95.684-3.676-39.836-41.442-3.1169.809-6.02816.453-3.124-38.91518.28921.9040.79612.617-29.691-31.473
Crediteuren -97.31443.57831.82864.188-142.632110.061-37.30472.13857.5100000000000000000
Overig Werkkapitaal -3.821-123.302-46.593-12.1271.416-150.02-317.527-183.457-100.997-64.84916.65718.673320.319-21.434-6.29341.924211.726-14.966-73.37429.481-85.616-176.91837.925-1.81716.375-95.818
Overige Niet-Contante Posten -1,209.093-1,432.657-1,582.214-1,586.658-1,099.631-522.967-1,449.817-1,222.891-2,215.884-1,080.117-877.345-475.736-2,226.168-1,091.586-1,242.658-782.201-1,905.544-290.19410.7012.2652.77721.408-2.731-39.2042.321-4.352
Kasstroom uit Operationele Activiteiten 68.061423.857324.846390.409379.457347.635256.486333.813388.032288.828201.218272.402108.303174.222213.027235.028384.693187.993136.255218.535147.65-4.576138.76177.037110.179-30.895
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -419.521-270.967-313.301-227.385-222.395-245.301-83.927-158.027-334.11-402.011-309.007-326.798-457.72-151.996-36.515-31.52-39.244-56.874-55.684-46.188-91.894-80.898-207.371-163.9-70.518-73.314
Netto Overnames 0-2.13336.936-0.9541.30322.613-0-2.168335.464512.892376.143361.228458.5614037.91340.67059.74226.38530.72116.00792.601213.144070.92274.404
Aankoop van Beleggingen 0-7,641.555-9,084.79-7,971.967-2,766.332-2,366.51-11,272.916-4,883.775-7,657.558-1,357.659-1,624.32-718.31-294.739-313.822-112.931-424.3430-179.405-60.256-239.386-80.593-28.775-1.3910-307.518-32.167
Verkoop/verval van Beleggingen 10,918.7417,442.3588,635.7537,603.0882,825.3122,624.85511,277.2995,330.5086,811.4741,849.4081,888.2491,156.793550.773311.326445.765858.28175.56334.49331.0131.6279.1914.98117.01276.7641.5930.206
Overige Investeringsactiviteiten -9,735.604-80.91515782.424320-1,789.72245.0852.584-334.11-402.011-309.007-326.798-457.7215.554-36.515-31.52-4.617-56.8740.0938.8810.006-80.898-207.3711.679-70.518-73.314
Kasstroom uit Investeringsactiviteiten 763.616-553.212-710.403185.206157.888-1,754.065-34.459289.122-1,178.841200.61922.057146.116-200.844-98.938297.718411.56731.702-198.919-58.453-214.345-147.283-82.988-185.977-85.457-376.04-104.185
Financieringsactiviteiten:
Schuldaflossingen 1.357267.047-40.016285.296-17.467103.116-142.33-873.32700-1.810.971.67-6-27-170.36-378.979-32.358-21.08478.168-36.04497.6683.7-118.25178.12131.438
Uitgifte van Gewone Aandelen 0170.037100300.0330000000000000000000000
Terugkoop van Gewone Aandelen -149.999-170.037-100-300.0330000000000000000000000
Uitgekeerde Dividenden -338.084-341.091-227.765-231.793-232.606-351.467-270.791-295.114-199.811-89.999-96.562-136.777-10.189-106.19-107.444-11.674-34.647-28.99-142.642-27.843-60.864-29.166-63.065-20.516-21.948-0.062
Overige Financieringsactiviteiten -212.48-36.67333.323-337.009-1.472,389.422050.0361,111.520.4970020.00810.397-2.0290.0574.46213.1814.01730.27418.8417.9433.94371.0160.052195.025
Kasstroom uit Financieringsactiviteiten -549.207-171.074-362.403-283.505-259.7662,139.497-393.121-1,118.406911.689-69.503-98.372-135.80711.489-101.793-136.473-181.977-405.456-48.167-149.70980.599-78.06886.43824.575232.25156.225226.401
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.719-4.1181.7294.021-1.856-6.7742.4055.0891.516-0-00-00-000-00-00-000-00
Netto Kasstroomverandering 281.751-304.547-746.231296.13275.722726.293-168.688-490.381122.396419.945124.903282.711-81.051-26.509374.272464.61810.939-59.094-71.90784.789-77.701-1.126-22.641223.829-109.63691.321
Kaspositie aan het Einde van de Periode 1,719.9351,438.1841,742.7312,488.9622,192.8311,917.1091,190.8161,359.5041,849.8851,727.4891,307.5441,182.641899.93980.9811,007.491633.219168.601157.662216.756288.663203.873281.574238.626262.8941.528151.165