Apeloa Pharmaceutical Co.,Ltd

SZSE:000739.SZ

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,580.6873,552.8582,610.0112,194.2311,035.809644.023546.983553.006795.056807.721810.744831.515252.057277.208248.32280.111502.317247.848137.928220.744131.56330.42817.31913.62173.38723.0857.7774.9915.4615.868
Kortetermijnbeleggingen 00.0914.892116.216463.858-7.2244.18-3.688-4.1481.9271.9811.881.7212.2890000000000000000
Liquide middelen en kortetermijnbeleggingen 3,580.6873,552.9482,624.9022,310.4471,499.668644.023551.163553.006795.056809.648812.726833.395253.778279.497248.32280.111502.317247.848137.928220.744131.56330.42817.31913.62173.38723.0857.7774.9915.4615.868
Nettovorderingen 2,243.0692,040.0061,522.6061,317.6281,249.4491,235.2381,378.8631,165.274816.345804.6590632.34800239.272104.448120.76677.856136.094139.20200010.6195.0993.7654.9308.1913.376
Voorraad 2,083.3011,801.7881,249.8791,086.182993.043901.018727.156693.482722.312585.119632.337477.663301.881259.348220.075257.744195.705180.574165.597158.46126.395119.18763.13699.688106.382121.2930.0327.3422.38642.324
Overige vlottende activa 461.103386.366384.523203.14215.813419.199213.049230.025132.055135.816177.794128.77888.71867.42848.788113.83106.964225.4559.21422.34155.214113.30981.93279.83584.16867.3128.31712.1476.82111.28
Totaal vlottende activa 8,368.167,781.1085,781.914,917.3973,957.9733,074.5372,870.2312,641.7872,465.7682,335.2422,384.3822,072.184869.124803.114756.455756.133925.751653.871498.833540.746413.172262.924162.386194.189265.064215.11769.56744.47840.25868.629
Niet-vlottende activa:
Materiële vaste activa, netto 3,617.3793,405.8752,682.9351,981.2142,017.822,123.252,286.762,340.1532,305.9942,139.41,758.8931,555.137907.044816.939765.538749.706553.512603.922609.601533.027347.656324.399317.481243.401240.573242.747234.369119.888106.02872.775
Goodwill 20.3120.3120.3120.3120.3129.50429.50429.50429.50429.50420.3120.31000000000000000000
Immateriële activa 319.796378.83407.589345.121331.211363.225401.18441.926474.451478.835470.289431.524275.144217.654222.939230.484131.3573.3615.5697.98910.3822.7172.2197.6368.0831.880000
Goodwill en immateriële activa 340.106399.14427.9365.431351.521392.73430.684471.431503.955508.34490.599451.834275.144217.654222.939230.484131.3573.3615.5697.98910.3822.7172.2197.6368.0831.880000
Langetermijnbeleggingen 174.04791.31866.3575.529-341.644108.09631.83835.69933.72-1.431-1.481-1.38-1.221-1.7890000000000000000
Belastingvorderingen 247.4265.60647.58139.57349.03540.74755.43367.02959.38541.16227.69627.3259.946.3674.7574.7913.5063.577000000000000
Overige niet-vlottende activa 20.57273.553156.647185.644487.8811.40616.17862.85926.11739.12.1672.1211.7212.28900019.71930.86832.71391.85699.239105.29101.3566.60515.44513.313000.106
Totaal niet-vlottende activa 4,399.5044,235.4913,381.422,577.3912,564.6132,676.2292,820.8932,977.172,929.1712,726.572,277.8742,035.0371,192.6281,041.46993.235984.982688.375630.578646.038573.729449.893426.354424.991352.394255.261260.071247.682119.888106.02872.88
Totaal activa 12,767.66412,016.5999,163.337,494.7886,522.5865,750.7665,691.1245,618.9575,394.9395,061.8124,662.2564,107.2212,061.7521,844.5741,749.691,741.1151,614.1261,284.451,144.871,114.475863.065689.278587.377546.583520.325475.188317.249164.367146.287141.509
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,126.7344,310.5712,622.5391,928.6632,010.255611.464933.8581,151.8851,332.9521,339.6011,109.7328.574417.047405.02407.851335.171322.49994.749158.011174.207130.58177.14570.67136.68540.22539.34532.59248.78138.44429.573
Kortlopende schulden 807.796562.811332.674330.27950614.1531,040.9591,019.11,033.137713.7661,148.4461,242.641,034.494495.713420.21470.21369.21383.061333.21352.21203.21224.71154.21117.01863420618.1821.05
Belastingschulden 77.04117.561190.661227.66183.32387.322101.03699.63464.49671.73146.99557.06514.2728.36810.5118.0657.56716.45510.3625.4849.3517.0176.8942.5125.11113.1785.2077.0669.9623.382
Uitgestelde opbrengsten 0458.255792.397631.684360.84887.322340.529303.473262.134318.258165.279184.32389.986101.26594.56772.85350.31567.89485.83161.83272.03855.82159.05619.88324.53774.29240.56428.34323.90820.897
Overige kortlopende verplichtingen 1,296.1581,035.599331.093273.66457.129747.535361.623378.142251.26544.079256.5151,001.84828.43110.50697.6394.16370.905204.41591.3624.30168.83594.00655.89771.65577.909138.3436.60621.79214.42217.68
Totaal kortlopende verplichtingen 6,307.7286,026.5423,779.3682,896.4622,561.5552,203.6972,437.4762,648.7612,681.852,487.4342,561.6562,630.1191,178.7281,019.606936.202907.609770.181698.68592.945598.034411.977402.878287.673227.862209.245224.86294.40583.63981.00871.685
Langlopende verplichtingen:
Langetermijnschulden 23.187265.436127.883072720179.983196.61917216737.538.500609013014014011004000003017.234.3
Uitgestelde opbrengsten niet-vlottend 30.6215.12119.823125.428119.801130.052129.808100.85198.74295.42883.6430.770000-00000000000000
Uitgestelde belastingverplichtingen niet-vlottend 103.712118.2754.2510.2231.2430.7321.8450.8680.9361.0050.4470.4590.4690.480.4910.9841.0060000000000000
Overige niet-vlottende verplichtingen 7276.683727200727200-8.31872.79837.38715.91518.2134.4092.831005.36412.26003.5943.1542.3091.3930.610.2930.177
Totaal niet-vlottende verplichtingen 229.519470.831323.956207.651193.044202.784203.653353.703296.298268.433242.772111.52776.35616.39518.70465.39393.838130140145.364122.260403.5943.1542.3091.39330.6117.49334.477
Totaal passiva 6,537.2476,497.3734,103.3243,104.1132,754.5992,406.4812,641.1293,002.4632,978.1482,755.8672,804.4272,741.6461,255.0831,036.001954.905973.003864.019828.68732.945743.398534.237402.878327.673231.456212.399227.17195.797114.2598.501106.162
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 1,178.5231,178.5231,178.5231,178.5231,178.5231,178.5231,178.5231,146.8691,146.8691,146.869815.456374.468256.736256.736256.736256.736256.736145.749145.749145.749145.749145.749145.749145.749145.74975.66332.618.4518.45
Ingehouden winsten 4,520.0353,854.5013,240.1212,608.7912,018.8451,619.611,340.0681,172.937981.76876.765575.097408.864164.366161.251143.21114.51286.785111.39476.86954.83137.16814.236-66.365-5.268-10.90320.5590.651015.4635.622
Overige gereserveerde algehele resultaten 288.298242.982205.287167.287134.544114.09799.34989.42480.798000000000000000000000
Overige totale aandeelhoudersvermogen 235.872235.872436.074436.074436.074551.243432.054207.263207.263282.31401.787567.809792.907372.288371.674371.422370.091159.829149.685133.424122.649118.675167.689212.941171.398169.271157.817.51713.87311.276
Totaal eigen vermogen van aandeelhouders 6,222.7295,511.8785,060.0054,390.6753,767.9873,344.2863,049.9952,616.4942,416.6912,305.9451,792.341,351.142793.389790.275771.62742.67713.611416.972372.303334.004305.565271.373247.073313.722306.245247.184221.45250.11747.78635.347
Totaal eigen vermogen 6,230.4175,519.2265,060.0054,390.6753,767.9873,344.2863,049.9952,616.4942,416.7912,305.9451,857.8291,365.575806.668808.573794.785768.112750.107455.77411.926371.077328.828286.4259.704315.127307.926248.017221.45250.11747.78635.347
Totaal passiva en aandeelhoudersvermogen 12,767.66412,016.5999,163.337,494.7886,522.5865,750.7665,691.1245,618.9575,394.9395,061.8124,662.2564,107.2212,061.7521,844.5741,749.691,741.1151,614.1261,284.451,144.871,114.475863.065689.278587.377546.583520.325475.188317.249164.367146.287141.509