C.Q. Pharmaceutical Holding Co., Ltd.

SZSE:000950.SZ

5.29 (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 9,148.8087,422.1835,664.6814,604.9683,273.9332,547.8051,913.85261.49325.007523.936737.394748.577486.19644.5281,050.506866.383593.785363.316220.27683.078112.717157.439189.784117.35189.66916.74737.0555.713
Kortetermijnbeleggingen -768.3246.912.487.586.7523.0683.1063.232-97.776-113.72-130.243170.1741.25841.1991.2730.86000000000000
Liquide middelen en kortetermijnbeleggingen 9,148.8087,429.0835,677.0814,692.4683,360.6842,550.8731,916.956261.49325.007523.936737.394918.747486.19644.5281,050.506866.383593.785363.316220.27683.078112.717157.439189.784117.35189.66916.74737.0555.713
Nettovorderingen 37,213.03633,124.81529,205.64824,415.87513,026.26910,871.0887,766.57791.646167.539116.63460.572723.565512.347258.945160.864733.70440.23826.60317.528165.305163.403147.13862.01541.12428.00715.73628.52717.584
Voorraad 7,924.627,862.5366,050.8045,652.7493,763.3032,749.5622,212.938257.205295.204380.104289.787293.036270.286215.795113.596198.033121.934150.979135.02161.02266.925113.23288.98466.80865.59163.06636.3924.956
Overige vlottende activa 290.236291.993403.992334.801197.265230.361397.073226.481283.906317.11275.392-1.973-8.429-2.846-5.51-7.859-0.791-0.25-0.1981.182-43.0930.203192.48450.77336.142115.4260.92726.981
Totaal vlottende activa 54,576.748,708.42641,337.52635,095.89320,347.52116,401.88512,293.545836.8221,071.6571,337.781,763.1461,933.3741,260.3941,116.4221,319.4571,790.262755.166540.649372.628310.587299.952418.011533.262676.052519.409210.97162.89975.233
Niet-vlottende activa:
Materiële vaste activa, netto 2,626.4562,649.7462,557.311,849.7481,286.368534.653505.7293,984.9964,350.2484,691.8484,384.1792,949.8732,905.7942,827.1822,304.248602.498423.123506.485603.611278.196292.763362.253391.088114.79492.42780.13768.57365.898
Goodwill 1,501.321,508.6191,460.6741,456.147776.386731.703159.47651.24451.2440000000000000000000
Immateriële activa 378.885310.712308.02326.222207.185207.763206.455396.022429.233461.411180.6591.9398.883101.915103.23896.73527.58700108.576115.235121.89469.00938.82439.6536.06636.8030
Goodwill en immateriële activa 1,880.2051,819.3311,768.6941,782.369983.571939.465365.931396.022429.233461.411180.6591.9398.883101.915103.23896.73527.58700108.576115.235121.89469.00938.82439.6536.06636.8030
Langetermijnbeleggingen 3,859.1943,024.9152,945.5352,291.2481,833.2531,473.4711,336.6181,546.437220.195174.998191.511-108.9670000000000000000
Belastingvorderingen 328.69225.669255.004187.53471.40691.41274.458.3670.6740.0750.1510.1680.1970.1720.1450.347000000000000
Overige niet-vlottende activa 252.435763.561836.0131,225.673957.833673.998628.664-1,362.47614.82164.8230.098316.91159.9661.261.2730.861.034.5882.653.5863.5713.5173.5082.4420.0850.140.280.732
Totaal niet-vlottende activa 8,946.988,483.2228,362.5557,336.5735,132.4313,7132,911.3434,623.3465,015.1715,493.1524,786.593,249.9153,064.8332,990.5292,408.904700.439451.74511.073606.26390.358411.569487.663463.605156.059132.162116.344105.65666.63
Totaal activa 63,523.6857,191.64849,700.08142,432.46625,479.95220,114.88415,204.8885,460.1686,086.8286,830.9326,549.7355,183.2894,325.2274,106.9513,728.3612,490.7011,206.9071,051.722978.889700.944711.522905.675996.868832.112651.571327.314268.555141.863
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 17,437.17413,760.55712,126.02110,974.3327,237.6956,035.7925,905.721366.712302.993388.255448.338173.409159.034206.212358.1727.21417.55726.40314.151117.087146.668217.577188.772164.6884.32338.32539.13632.994
Kortlopende schulden 15,594.26418,789.65612,562.8311,304.0835,503.0743,174.746840.7891,118.3471,178.837892.657542.399216.998256.45293.1529.22822.64225.00524.06622.456282.885274.2285.779302.253129.069134.2135.2270.97819.75
Belastingschulden 351.501383.752400.267418.365262.585252.98284.6320.3581.2423.0960.525-126.428-114.717-120.318-105.73318.67611.12212.8068.1417.9387.0451.5933.5056.8127.355.5256.7725.14
Uitgestelde opbrengsten 7,730.882716.1575,998.2714,861.0132,059.401252.98918.938241.66973.06160.13474.63532.22811.799-7.705-73.017162.59132.93543.82856.76936.08237.56218.22411.92741.18318.13728.90612.06216.046
Overige kortlopende verplichtingen 2,098.1097,407.8561,036.95822.533392.9461,384.95139.033158.647126.611184.944214.858132.43344.749115.77253.749202.88378.217106.357117.91928.43923.0055.5163.1684.5734.9311.11422.5869.557
Totaal kortlopende verplichtingen 42,860.42840,674.22631,724.08127,161.96115,193.11610,848.477,704.4811,885.3761,681.5021,525.9891,280.229555.068472.035407.43368.129415.33153.715200.655211.296464.493481.436527.096506.121339.505241.59213.565144.76278.347
Langlopende verplichtingen:
Langetermijnschulden 4,612.593,327.2935,633.7254,011.7371,220.2978.438.61,270.2242,575.053,137.5572,751.952,116.3621,340.6411,314.5611,071.8911,091.179309.021321.487322.4373944.549.56564.5010.923.114.37
Uitgestelde opbrengsten niet-vlottend 68.02473.08476.24969.87673.27445.89942.99790.99498.94986.251000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 54.8347.13857.64225.3749.0794.5740.835-99.993-2,556.822-3,131.09600.0250000000000000000
Overige niet-vlottende verplichtingen 420.443359.515441.841682.938122.617129.907166.1881,270.2242,575.053,137.55780800000000000000000
Totaal niet-vlottende verplichtingen 5,155.8873,807.036,209.4574,789.9241,425.1691,158.78248.6212,531.4492,692.2283,230.2692,831.952,196.3871,340.6411,314.5611,071.8911,091.179309.021321.487322.4373944.549.56564.5010.923.114.37
Totaal passiva 48,016.31544,481.25637,933.53831,951.88616,618.28512,007.257,953.1014,416.8254,373.734,756.2584,112.182,751.4561,812.6761,721.9911,440.021,506.509462.735522.142533.733503.493525.936576.596571.121404.005241.59224.465167.86292.717
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000
Gewone aandelen 1,728.1851,743.3671,743.3671,728.1851,728.1851,728.1851,728.185598.799598.799598.799598.799598.799598.799598.799399.199311.608249.287155155155155155155155155102.848100.69349.147
Ingehouden winsten 6,948.9196,407.5775,579.0154,659.7643,865.2173,031.4692,340.802-744.362-79.897287.328652.155654.194629.376611.359501.376391.08195.37164.47-10.688-205.625-213.59-70.09728.33830.24323.704000
Overige gereserveerde algehele resultaten 62.52293.35291.21468.93265.10385.154118.46121.797117.0130000000000000000000
Overige totale aandeelhoudersvermogen 2,506.2352,407.3772,407.3772,378.8252,406.872,474.8772,530.1351,061.6091,069.8271,181.4711,180.3731,171.0871,167.1931,153.3361,371.971264.372299.51434.09726.934248.076244.176244.176242.408242.864231.277000
Totaal eigen vermogen van aandeelhouders 11,245.86110,651.6749,820.9728,835.7058,065.3757,319.6856,717.5821,037.8441,705.7432,067.5982,431.3282,424.0812,395.3682,363.4942,272.546967.061744.171253.568171.246197.451185.586329.079425.747428.107409.981102.848100.69349.147
Totaal eigen vermogen 15,507.36512,710.39211,766.54410,480.5818,861.6678,107.6357,251.7861,043.3431,713.0982,074.6742,437.5562,431.8342,512.5512,384.962,288.341984.192744.171529.58445.156197.451185.586329.079425.747428.107409.981102.848100.69349.147
Totaal passiva en aandeelhoudersvermogen 63,523.6857,191.64849,700.08142,432.46625,479.95220,114.88415,204.8885,460.1686,086.8286,830.9326,549.7355,183.2894,325.2274,106.9513,728.3612,490.7011,206.9071,051.722978.889700.944711.522905.675996.868832.112651.571327.314268.555141.863