PKU HealthCare Corp.,Ltd.

SZSE:000788.SZ

6.33 (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 457.253633.52446.261476.959668.913520.548419.989491.21,344.909632.283718.755592.422414.471638.182203.0229871.41452.51562.07798.7733.78816.74359.07911.97121.80632.106101.87724.79530.55814.7
Kortetermijnbeleggingen 0000-8.927-29.902-36.056-29.102-27.2080.7450.409-0.4071.2790.0380000000000000000
Liquide middelen en kortetermijnbeleggingen 457.253633.52446.261476.959668.913520.548419.989491.21,344.909633.028719.163592.422415.75638.219203.0229871.41452.51562.07798.7733.78816.74359.07911.97121.80632.106101.87724.79530.55814.7
Nettovorderingen 1,307.6921,228.4551,310.0291,231.1771,156.667985.9371,127.978862.115771.032754.686717.501635.104000210.41475.9581.60275.02483.79200025.49039.056.6386.3499.8338.711
Voorraad 184.177172.177125.598114.566165.721198.819234.946244.295199.997604.629490.189366.776334.281293.866242.36161.836164.172119.971112.033145.7784.61470.50687.01193.617112.535126.12178.3468.80852.9857.305
Overige vlottende activa 103.814224.935288.333216.692234.911228.2281,185.29196.604651.021211.418145.246121.17344.8221.16116.45744.02723.5839.0124.64830.282170.912322.16462.537477.558434.387331.794285.292190.437159.844151.324
Totaal vlottende activa 2,052.9362,238.422,170.222,020.1612,206.2761,896.2061,840.2251,794.2152,876.0892,203.7612,072.11,715.4751,345.6451,182.717583.804348.257335.116293.098324.109404.023289.314409.41608.627583.811568.728556.709472.147290.39253.215232.04
Niet-vlottende activa:
Materiële vaste activa, netto 167.675212.2208.557140.34161.3160.872160.123166.031163.6452,032.2861,962.9821,745.3171,247.715646.204556.456299.754315.117337.447279.641253.725304.614316.61285.634362.421390.658460.115438.539330.634301.265185.11
Goodwill 000000000000000000000000000000
Immateriële activa 128.784132.538111.8982.1841.45720.9578.1752.6934.343251.527161.793146.217144.609143.583168.218149.321103.904106.964110.024113.15755.06456.9043.854.5025.0685.6346.2016.6067.1577.708
Goodwill en immateriële activa 128.784132.538111.8982.1841.45720.9578.1752.6934.343251.527161.793146.217144.609143.583168.218149.321103.904106.964110.024113.15755.06456.9043.854.5025.0685.6346.2016.6067.1577.708
Langetermijnbeleggingen 16.9900.3256.3279.01636.16149.88753.01261.34540.0361.0612.8920.9742.4670000000000000000
Belastingvorderingen 18.44121.70520.54122.15920.53515.28814.6979.3419.3614.547.6047.2355.5054.1363.6072.1392.4970000000000000
Overige niet-vlottende activa 53.45931.77129.76535.03321.67513.1532.83116.4919.0869.93123.51723.5171.410.0383.7171.8844.0580.4350.4350.4351.4172.7433.4195.3576.9157.4515.8211.3511.7324.096
Totaal niet-vlottende activa 385.35398.214371.08286.039253.983246.431235.712247.569247.7732,408.322,156.9581,925.1771,400.213796.428731.998453.099425.576444.846390.1367.317361.094376.257292.902372.281402.641473.2450.561338.591310.154196.915
Totaal activa 2,438.2862,636.6332,541.32,306.2012,460.2592,142.6382,075.9382,041.7833,123.8634,612.0824,229.0583,640.6532,745.8581,979.1451,315.802801.356760.692737.944714.209771.34650.408785.667901.529956.092971.3691,029.91922.708628.98563.369428.955
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 529.916490.853460.716419.193553.591513.917485.114552.701668.151,029.345804.97313.073709.979588.773184.972210.557141.369146.84821.389225.641145.556143.1153.911167.698149.518111.13449.56729.09234.35721.505
Kortlopende schulden 35.091127.273265.461500.328313.438129.9138.906166.8851,070.9661,028.5621,079.499811.854287.69328215.745132.5210239.104237.172186.329132.7310.83224.83225.33116.58136.2568.05101.0293.267.52
Belastingschulden 25.92712.55115.39623.10725.92133.49826.12531.89524.79524.92720.042-13.4877.41220.43218.7724.1353.2020.7560.766-0.519-4.8061.8781.7747.51215.05121.94131.4725.0047.43713.127
Uitgestelde opbrengsten 13.01330.081275.133304.743307.90733.498220.39164.399136.049775.579490.459314.324187.506156.211144.96129.08681.03648.73268.44780.1882.085106.85750.16848.05542.46744.656102.23676.30869.92853.83
Overige kortlopende verplichtingen 364.158531.756344.275303.641-2.168254.113221.732-13.247229.569-20.315483.854888.354188.198307.813216.74488.21591.20414.28175.23837.162119.511129.762157.31192.14693.52457.7472.52172.9164.48646.016
Totaal kortlopende verplichtingen 968.1061,192.5131,096.22996.5251,198.689931.428903.664902.6321,993.482,838.0982,388.3641,999.7941,193.279870.034636.233435.407445.775449.719434.565528.794392.962585.57537.826451.752374.673327.17221.61208.026199.48148.168
Langlopende verplichtingen:
Langetermijnschulden 23.54242.47366.994000000544.591561.924538.67510.41257.3999.549.500000202068.668.654129.594155149.7293.722
Uitgestelde opbrengsten niet-vlottend 13.13711.73710.9039.2745.3112.0121.0360.832095.99800000-49.500000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0004.1293.0720.450000.1120.0610.2670.4240.2760.4920.2170.9060000000000000
Overige niet-vlottende verplichtingen 12.0913.20143.465100.3156.850000001.431.64502.075301019.8659.3235.2586.2955.4955.4968.41968.41968.41912.92912.92912.92912.929
Totaal niet-vlottende verplichtingen 48.76967.411110.45818.20215.2332.4621.0360.8320640.702662.864540.367512.479259.526102.06749.71710.90619.8659.3235.2586.2975.4975.49137.019137.019122.419142.524167.929162.649106.652
Totaal passiva 1,016.8751,259.9241,206.6781,014.7281,213.922933.89904.7903.4641,993.483,478.83,051.2282,540.1611,705.7581,129.559738.3485.124456.681469.579493.885564.044479.252661.06613.316588.771511.692449.589364.134375.955362.13254.82
Eigen vermogen:
Preferente aandelen 0000000000.1840.1560000000000000000000
Gewone aandelen 595.987595.987595.987595.987595.987595.987595.987595.987595.987595.987595.987595.987595.987416.275260.172217.3217.3217.3192.5192.5192.5192.5192.5192.5192.5192.5175130130130
Ingehouden winsten 570.494530.931490.582448.931413.491377.966342.809308.548295.989272.578306.239238.805182.039261.472-1.842-83.178-97.564-111.654-123.361-338.885-350.999-356.044-192.338-113.03-20.67471.64689.14641.42900
Overige gereserveerde algehele resultaten 0174.16172.234170.742161.041158.672156.162156.383159.613-0.184-0.1560000000000000000000
Overige totale aandeelhoudersvermogen 255.576255.85581.34781.34781.34781.34781.34781.34781.347241.71281.191228.549223.7650279.815341.133165.436162.72151.185353.68329.655288.151299.086371.893287.851358.738294.42881.59671.23944.135
Totaal eigen vermogen van aandeelhouders 1,422.0581,382.4261,340.1521,297.0081,251.8671,213.9741,176.3051,142.2661,132.9371,110.0941,143.7821,063.3421,001.791811.044538.146298.299285.171268.364220.324207.295171.156124.607288.213367.321459.677580.321558.574253.025201.239174.135
Totaal eigen vermogen 1,421.4111,376.7091,334.6221,291.4731,246.3371,208.7471,171.2381,138.3191,130.3821,133.2821,177.8291,100.4911,040.1849.586577.502316.232304.011268.364220.324207.295171.156124.607288.213367.321459.677580.321558.574253.025201.239174.135
Totaal passiva en aandeelhoudersvermogen 2,438.2862,636.6332,541.32,306.2012,460.2592,142.6382,075.9382,041.7833,123.8634,612.0824,229.0583,640.6532,745.8581,979.1451,315.802801.356760.692737.944714.209771.34650.408785.667901.529956.092971.3691,029.91922.708628.98563.369428.955