Renhe Pharmacy Co., Ltd.

SZSE:000650.SZ

6.28 (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 2,614.5292,825.4772,360.4231,707.8861,419.241,756.2151,351.5131,043.101807.805634.032539.223449.615257.974280.049350.291129.12978.98347.7053.69742.555105.535151.855129.114117.693142.44453.67836.8671.5541.1263.7452.935
Kortetermijnbeleggingen 919.964416.873315.597460.892805.1417.8649.9948.8058.216.7335.2155.5378.2949.2457.8760000000000000000
Liquide middelen en kortetermijnbeleggingen 3,534.4933,242.352,676.0212,168.7782,224.381,764.0791,361.5061,051.906816.015640.765544.439455.152266.268289.295358.166129.12978.98347.7053.69742.555105.535151.855129.114117.693142.44453.67836.8671.5541.1263.7452.935
Nettovorderingen 538.025582.458647.273501.597563.165597.803549.014485.939568.897477.054463.301458.336686.634632.005253.565177.51995.5457.894117.683157.77172.584211.014207.149111.933.10991.28889.65644.649.1033.5662.978
Voorraad 446.579457.736601.352451.718522.947533.051455.897456.994369.087303.401251.671200.954160.35138.77938.72527.82817.77461.96540.83286.37984.35668.8036378.85937.34241.1531.25313.89426.86923.36319.976
Overige vlottende activa 64.614298.316131.011711.379.18510.46117.8849.7363.0133.5867.6489.672-8-5.68830.918-35.14-10.907-27.261-1.111-2.452-1.47-1.561-31.6864.7565.8644.7425.99311.682.86810.7797.771
Totaal vlottende activa 4,583.7114,580.8594,055.6563,833.4623,319.6772,905.3932,384.3012,004.5751,757.0121,424.8061,267.0581,124.1141,105.2521,054.39681.374299.336181.392140.302161.1284.252361.005430.111367.576313.207218.759190.861133.762141.76839.96741.45233.659
Niet-vlottende activa:
Materiële vaste activa, netto 1,296.2271,240.7291,111.575743.987629.787631.809679.737721.613649.288559.028527.362452.303222.49155.745123.92224.52224.98124.264292.723314.354318.359329.53344.345338.182257.034168.596143.632127.785130.846131.28296.004
Goodwill 546.91578.237606.124102.204102.204377.851420.013437.827131.066102.204102.20495.7089.9219.92100000000000000000
Immateriële activa 428.436602.202650.633664.5666.174661.59663.389681.972375.45398.615422.254418.087256.12253.782247.105113.698101.54107.0020.0160.0190.0180.0230.0220.0220.017000000
Goodwill en immateriële activa 975.3471,180.4391,256.757766.704768.3781,039.4411,083.4031,119.798506.516500.819524.458513.795266.041263.704247.105113.698101.54107.0020.0160.0190.0180.0230.0220.0220.017000000
Langetermijnbeleggingen 552.519119.53277.09439.108-599.8295.126-9.894-8.505-8.016.211.18100000-000000000000000
Belastingvorderingen 28.25217.7186.6395.4886.8597.1575.1327.3234.3777.2796.0592.6760.6860.160.7230.2450.57100000000000000
Overige niet-vlottende activa 8.626492.367400.174516.303859.55427.73224.71320.091247.08898.9622.61.9778.3214.1837.759000.1542.1592.1010000.2020.4040.6070.8090.18600-0
Totaal niet-vlottende activa 2,860.973,050.7852,852.2362,471.591,664.751,711.2651,783.0911,860.3211,399.2591,172.2981,061.659970.752497.538423.791379.509138.466127.092131.42294.899316.474318.376329.552344.367338.407257.455169.203144.44127.971130.846131.28296.004
Totaal activa 7,444.6817,631.6446,907.8926,305.0524,984.4264,616.6584,167.3923,864.8953,156.2712,597.1042,328.7172,094.8661,602.791,478.1811,060.882437.802308.483271.721455.999600.726679.381759.664711.942651.614476.214360.063278.202269.739170.813172.735129.664
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 123.501199.616176.075147.237142.191213.708230.134236.805229.66180.583152.187149.279202.573278.9144.38619.74440.30210.75462.2292.63860.1972.16947.11246.29413.6350.3030.2170.1392.15800
Kortlopende schulden 18.4976.7232.83760.051-74.098-65.54-84.803-73.035000020200000312.259316.04217156.3104.324.33143125252300
Belastingschulden 209.626279.908273.839126.581171.982173.208148.551136.457157.063101.08449.90268.54650.39752.15920.67225.7617.43630.09213.1092.6432.0626.5954.7575.2426.7312.753.6135.9082.4100
Uitgestelde opbrengsten 124.938354.561738.245435.27674.09865.5484.80373.035000086.72278.204000028.28217.8416.48518.54619.43323.68215.0017.9846.3878.7993.41600
Overige kortlopende verplichtingen 150.949124.087-398.41-231.674166.7890.42374.18836.057-78.164-46.63716.369-3.344-101.584-142.0594.27566.953-14.99625.415-71.537-93.036-57.939-74.683-47.986-44.811-17.628-2.8-3.435-4.604-4.35337.32429.983
Totaal kortlopende verplichtingen 751.0121,164.511968.662684.709623.144691.047683.007646.124538.218415.613370.646363.759460.68566.133203.72132.20173.04477.014406.555428.765297.987251.095174.729101.03145.37439.5431.99935.37928.7937.32429.983
Langlopende verplichtingen:
Langetermijnschulden 05.7933.6212.72400000.1820.1820000000000142.26169.26205.26205.26169.35186.7686.7691.29290.74500
Uitgestelde opbrengsten niet-vlottend 37.1138.8288.2529.3918.84810.10811.37613.64115.03317.161000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1.8770.5420.2830.2550.2960.3370.3820.4670.921.0451.48500000000000000000000
Overige niet-vlottende verplichtingen -37.110.1820.182-2.5420.1820.1820.1820.1821.0581.05817.73319.04218.498000002.562.9170.9620.570.3700000086.7686.76
Totaal niet-vlottende verplichtingen 1.87745.34512.3389.8289.32610.62711.9414.2917.19319.44619.21819.04218.498000002.562.917143.222169.83205.63205.26169.35186.7686.7691.29290.74586.7686.76
Totaal passiva 752.8891,209.856980.999694.536632.47701.674694.947660.414555.411435.059389.864382.801460.68566.133203.72132.20173.04477.014409.115431.681441.209420.925380.359306.291214.724126.3118.759126.671119.535124.084116.743
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 1,399.9381,399.9381,399.9381,399.9381,238.341,238.341,238.341,238.341,238.34990.672990.672990.672630.248420.165280.11220.11220.11200.102200.102200.102200.102200.102200.102111.168102.74485.627852111111
Ingehouden winsten 3,391.5873,141.962,742.6832,412.5692,020.9961,607.0031,255.5121,017.171685.262590.749401.284230.675417.688392.76261.1554.601-69.34-104.73-242.846-119.116-49.98950.57743.50580.25267.29143.72319.6645.745000
Overige gereserveerde algehele resultaten 452.988415.338390.56307.106253.962253.962222.444204.087174.2630-000000000000000000000
Overige totale aandeelhoudersvermogen 748.524783.553754.061953.283292.253292.253292.253292.253291.149451.523434.468399.40669.01161.129315.11580.88984.6799.33589.62788.05888.05888.05887.976153.90391.455104.4261.77985.32340.27837.6511.921
Totaal eigen vermogen van aandeelhouders 5,993.0375,740.7895,287.2435,072.8963,805.5513,391.5583,008.552,751.8512,389.0142,032.9441,826.4241,620.7531,116.947874.055856.38305.6235.439194.70746.884169.045238.172338.738331.583345.323261.49233.763159.444143.06851.27848.65112.921
Totaal eigen vermogen 6,654.5016,421.7885,926.8935,610.5164,351.9563,914.9843,472.4453,204.4812,600.862,162.0461,938.8541,712.0651,142.109912.049857.162305.6235.439194.70746.884169.045238.172338.738331.583345.323261.49233.763159.444143.06851.27848.65112.921
Totaal passiva en aandeelhoudersvermogen 7,444.6817,631.6446,907.8926,305.0524,984.4264,616.6584,167.3923,864.8953,156.2712,597.1042,328.7172,094.8661,602.791,478.1811,060.882437.802308.483271.721455.999600.726679.381759.664711.942651.614476.214360.063278.202269.739170.813172.735129.664