Jinling Pharmaceutical Company Limited

SZSE:000919.SZ

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,429.6931,495.0231,501.7611,315.7191,465.963965.545907.544756.127698.177726.993944.829975.923933.831868.058751.306783.424673.655510.417503.799503.198542.652506.446443.747418.511466.12988.15273.69140.624
Kortetermijnbeleggingen 82.56892.3511.2511.376110.28152.44866.75841.497129.177176.55187.96729.615157.595192.705197.6896.779291.338134.901106.445150.591138.635181.145175.886336.286200.602000
Liquide middelen en kortetermijnbeleggingen 1,512.2611,587.3741,503.0121,317.0951,576.2441,017.993974.302797.625827.354903.5441,032.7951,005.5381,091.4261,060.763948.986880.203964.993645.318610.244653.789681.287687.592619.633754.797666.73188.15273.69140.624
Nettovorderingen 519.574515.126536.545504.089430.364581.653688.252882.44821.089670.542640.67606.534656.321629.146438.469384.288491.336422.985316.196261.166229.144213.275191.46712.7793.3522.0212.3365.897
Voorraad 268.06250.483245.476215.436233.982236.547416.489412.231413.932410.948372.389378.141387.497281.764301.404218.057209.532208.43189.26150.945112.202112.00196.29533.01746.38755.68545.74139.656
Overige vlottende activa 4.811280.1623.80110.5715.359412.689294.082338.609352.221208.89710.78216.25726.2632.1221.8991.2511.111-13.816-17.174-12.819-16.415-34.016-27.927139.235250.355139.2798.06475.295
Totaal vlottende activa 2,317.5562,633.1452,288.8342,047.1922,245.9492,248.8832,373.1252,430.9052,414.5972,193.9312,056.6362,006.472,161.5081,973.7951,690.7581,483.81,666.9721,262.9171,098.5261,053.0811,006.217978.852879.468939.828966.824285.127219.832161.472
Niet-vlottende activa:
Materiële vaste activa, netto 1,319.2891,301.3051,295.3641,304.9161,132.5361,116.1691,001.5381,055.0111,051.0761,064.75982.407931.633586.59558.353506.554464.463501.544576.929607.89631.921501.913534.293446.401270.924201.891142.82386.7583.293
Goodwill 27.33227.33218.04664.012109.606198.02893.80293.80293.80293.80242.88442.88418.04618.04618.04618.04618.04600000000000
Immateriële activa 266.973258.443140.196148.183156.397167.255123.278126.012131.9126.88101.165103.56566.52269.36772.58675.5183.84365.30968.44259.20949.26614.95217.6679.4760000
Goodwill en immateriële activa 294.305285.775158.242212.195266.003365.283217.08219.814225.702220.682144.049146.44984.56887.41390.63293.556101.88865.30968.44259.20949.26614.95217.6679.4760000
Langetermijnbeleggingen 271.043172.663387.72422.997365.88258.58240.36362.958-27.849-84.016-3.99746.612-81.231-107.786-119.635-22.521-226.205-60.959-38.401-102.799-60.85-171.552-103.182-336.143-200.459000
Belastingvorderingen 11.0527.58919.62114.9516.77816.45330.60917.71423.44826.11716.70817.3627.17122.10418.22217.89817.981134.90100000.0390.0390000
Overige niet-vlottende activa 337.28122.876297.884281.32131.19379.566194.25671.48163.283200.752108.59650.36179.671209.893268.991165.607304.10950106.445150.591138.635181.145175.886338.016202.9614.536-0.4262.646
Totaal niet-vlottende activa 2,232.9661,910.2082,158.8312,236.3791,912.3911,636.0531,483.8461,426.9771,435.6611,428.2861,247.7621,192.415796.769769.978764.765719.002699.318766.18744.375738.923628.964558.839536.811282.312204.393147.35986.32485.938
Totaal activa 4,550.5234,543.3534,447.6654,283.574,158.343,884.9353,856.9713,857.8823,850.2583,622.2173,304.3983,198.8842,958.2772,743.7722,455.5232,202.8022,366.292,029.0971,842.9011,792.0041,635.181,537.6911,416.2781,222.141,171.218432.486306.156247.41
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 431.598454.04479.361465.785336.281240.616334.719369.761472.266311.625264.553258.178201.513182.025147.84115.815128.879108.00497.074103.173121.396123.77853.44418.331.57521.69824.9626.028
Kortlopende schulden 2.2653.0116.07338.73331.92629.917131.552105.64885.543131.454129.448103.49310070200201430.558.5201.944.901635.925.816
Belastingschulden 30.05858.30253.10745.20241.10857.56741.52842.00241.27277.45832.18729.53573.71736.6521.8995.22548.99533.95917.6933.53932.67147.59452.1440.927.70713.08222.75314.824
Uitgestelde opbrengsten 402.77923.771357.34132.5829.64626.295287.814279.755305.575343.879247.956318.463280.946261.903204.0520230.601169.336115.835116.104110.465167.892244.6140103.26645.99828.53229.346
Overige kortlopende verplichtingen 3.256384.5963.175262.473279.483311.28425.52823.25633.45348.55936.26819.35832.8413.24411.037184.2883.1543.7943.29810.353.3952.6783.546155.0712.3761.0110.9360.878
Totaal kortlopende verplichtingen 839.898865.417855.951799.571677.337608.112779.613778.419896.837835.517678.226699.493615.299527.172382.929300.103382.634295.135246.707288.127255.256296.288306.504173.371153.217104.60680.22872.252
Langlopende verplichtingen:
Langetermijnschulden 2.5492.290.5891.127006.9859.06310.02610.90132.3114.18415.71616.51817.11517.45622.30827.75132.71533.706000-12.00401505
Uitgestelde opbrengsten niet-vlottend 0.4680.6270.7861.2700-6.535-8.613-9.576-5.851-25.956-9.2490-16.518-16.915-10.956-14.80800000000000
Uitgestelde belastingverplichtingen niet-vlottend 22.66247.96555.76949.58456.28630.78516.05716.9718.41819.77213.04914.50700.7850.3440.1964.41400000000000
Overige niet-vlottende verplichtingen 000-1.127006.9859.06310.02610.90132.3114.184216.51817.11517.45622.3087.5110.80.5000.0270.02700
Totaal niet-vlottende verplichtingen 25.67950.88257.14550.85456.28630.78523.49226.48428.89435.72351.71433.62617.71617.30317.65924.15134.22235.25133.71534.7060.80.50.04-12.0040.02715.02705
Totaal passiva 865.577916.299913.096850.425733.623638.896803.105804.902925.731871.24729.939733.119633.014544.475400.588324.254416.856330.386280.422322.833256.056296.788306.544161.367153.244119.63380.22877.252
Eigen vermogen:
Preferente aandelen 408.648000000000000000000000000000
Gewone aandelen 511.136510.4504504504504504504504504504504504504504504504504336336280280280280280200223.801170.158
Ingehouden winsten 1,665.4151,625.2741,571.1891,508.321,533.51,414.4081,275.331,231.2751,147.6671,037.399934.884864.373804.728727.47623.582495.788562.793368.285272.052218.593226.604123.46880.09176.66957.98630.70300
Overige gereserveerde algehele resultaten 3.424380.162390.478383.081378.444364.04344.414334.382322.8957.5675.64400000000000000000
Overige totale aandeelhoudersvermogen 453.989478.341462.062462.062462.062454.371462.996469.559469.559771.677757.647753.957745.678733.599721.816703.824697.794679.769826.91790.427768.062739.154714.425701.633677.90279.66300
Totaal eigen vermogen van aandeelhouders 3,042.6122,994.1782,927.7292,857.4632,878.0072,736.822,586.742,539.2162,444.1212,320.6432,202.1762,122.332,054.4061,965.0691,849.3971,703.6121,764.5871,552.0541,434.9631,345.021,274.6661,142.6221,074.5161,058.3021,015.888310.366223.801170.158
Totaal eigen vermogen 3,684.9463,627.0543,534.5693,433.1453,424.7183,246.0393,053.8663,052.982,924.5262,750.9772,574.4592,465.7652,325.2622,199.2972,054.9351,878.5481,949.4341,698.7111,562.4791,469.1711,379.1251,240.9031,109.7341,060.7731,017.974312.853225.927170.158
Totaal passiva en aandeelhoudersvermogen 4,550.5234,543.3534,447.6654,283.574,158.343,884.9353,856.9713,857.8823,850.2583,622.2173,304.3983,198.8842,958.2772,743.7722,455.5232,202.8022,366.292,029.0971,842.9011,792.0041,635.181,537.6911,416.2781,222.141,171.218432.486306.156247.41