Sihuan Pharmaceutical Holdings Group Ltd.

HKEX:0460.HK

0.54 (HKD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,891.4223,828.8635,682.4254,604.0415,117.1433,314.845831.8592,407.0732,282.371,317.9451,508.0761,543.9073,153.1545,851.379612.859331.178262.3841.788
Kortetermijnbeleggingen 589.016962.988109.304332.683148.3361,303.2762,967.3541,709.9641,959.281,617.6311,009.7251,616.481-6.83400000
Liquide middelen en kortetermijnbeleggingen 4,480.4384,791.8515,791.7294,936.7245,265.4794,618.1213,799.2134,117.0374,241.652,935.5762,517.8013,160.3883,153.1545,851.379612.859331.178262.3841.788
Nettovorderingen 397.817522.246779.065389.818292.2476.738458.443591.186525.766533.019867.716-129.441,064.619105.8863.878000
Voorraad 557.323606.7715.298495.889409.595301.117227.97200.68233.028177.181101.28391.47257.65353.34642.96739.39522.9537.18
Overige vlottende activa 1,469.9491,592.577564.667914.405486.2091,683.719288.698286.07446.5011,980.722,543.822898.56798.453154.0477.25471.42424.71418.25
Totaal vlottende activa 6,203.7556,550.3867,741.4556,404.1536,305.1475,776.4194,774.3245,194.9735,446.9455,626.4965,162.9064,020.985,073.8796,164.645796.958441.997310.04767.218
Niet-vlottende activa:
Materiële vaste activa, netto 2,842.0292,998.3264,092.7023,841.2613,624.5652,775.3712,453.5942,104.2992,051.371,704.1281,779.6751,089.689419.258253.153162.036117.28778.67552.992
Goodwill 1.8531.85314.16512.31202,843.9032,843.9032,247.7282,247.7282,226.9362,226.9362,707.435015.93313.9949.10712.130.294
Immateriële activa 775.962594.104445.804310.92285.2311,099.15956.393943.041950.051900.332653.6861,027.5953,169.059155.25142.314192.518184.69477.727
Goodwill en immateriële activa 777.815595.957459.969323.232285.2313,943.0533,800.2963,190.7693,197.7793,127.2682,880.6223,735.033,169.059171.183156.304241.625196.82478.021
Langetermijnbeleggingen 1,003.894907.338972.5321,266.541,258.0781,350.4061,051.1671,292.8511,189.118358.491-975.656-1,575.51924.75136.2520000
Belastingvorderingen 31.7796.774303.464269.449332.222111.114127.51435.88318.14661.906119.939265.17669.48341.0258.144000
Overige niet-vlottende activa 676.167-96.774-303.464-269.449-332.222-111.114-127.514-35.883-18.146-61.9061,044.1621,924.08897.668236.199061.142450
Totaal niet-vlottende activa 5,331.6754,501.6215,525.2035,431.0335,167.8748,068.837,305.0576,587.9196,438.2675,189.8874,848.7425,438.4643,780.219737.807376.484420.054320.499131.013
Totaal activa 11,535.4312,140.55114,495.62313,043.92612,571.43615,443.47513,591.86312,187.60412,321.00711,322.98310,011.6489,459.4448,854.0986,902.4521,173.442862.051630.546198.231
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 215.15205.782118.906106.20165.71937.20234.3282.66277.10540.81836.55536.2071,540.292138.907120.3914.18768.82611.986
Kortlopende schulden 299.642340.259205.193393.3714.05859.41708.285.0740180.8767.2340000124
Belastingschulden 44.20567.862111.24722.44514.03397.088251.578217.03222.77214.544269.452231.839109.03994.4998.86944.814.69319.112
Uitgestelde opbrengsten 1,677.467-340.259-205.193-393.371-4.058-59.4170-8.28-5.07401,346.3220000000
Overige kortlopende verplichtingen 1,914.5432,327.2182,382.9292,336.8852,195.0612,211.4171,868.993955.831856.7941,652.35240.2121,046.929200.8594.4998.869123.00714.69319.112
Totaal kortlopende verplichtingen 4,106.8022,5332,501.8352,443.0862,260.782,248.6191,903.3131,038.493933.8991,693.1681,803.8891,850.371,741.142233.397219.26127.19495.51935.098
Langlopende verplichtingen:
Langetermijnschulden 957.015848.672844.746359.1739950-60.8338.283.55.885.885.88000012
Uitgestelde opbrengsten niet-vlottend 163.2825.6682.3464.74470.94968.5560103.92461.2289.91263.227207.40700000-2.661
Uitgestelde belastingverplichtingen niet-vlottend 70.32399.04222.39225.688282.621256.937264.39674.094125.876130.39140.862208.532113.1339.52629.99518.99710.2140.683
Overige niet-vlottende verplichtingen 1,100.984-104.7-304.73-290.432-353.57-325.49388.08460.833-187.096-220.30200000002.661
Totaal niet-vlottende verplichtingen 2,291.604848.672844.746359.173995352.48178.0188.283.5209.969421.819119.0139.52629.99518.99710.21412.683
Totaal passiva 6,398.4066,500.7255,345.5573,095.2012,629.2422,669.1122,255.7931,216.5111,129.2751,916.972,013.8582,272.1891,860.155242.923249.255146.191105.73347.781
Eigen vermogen:
Preferente aandelen 0913.855597.1530131.302150.41122.018131.79473.45483.5200000000
Gewone aandelen 77.05877.05877.05878.18678.18678.23378.23379.44385.6185.6144.41944.41944.41944.52669.26269.26269.26254.413
Ingehouden winsten 946.3441,691.4914,921.9394,628.4845,574.9548,489.2737,007.466,609.8155,508.6353,714.7392,174.6061,400.7026,945.534891.582545.747373.79227.01668.601
Overige gereserveerde algehele resultaten -439.765-913.855-597.153398.826-131.302-150.41-122.018-131.794-73.454-83.52-237.154-217.462-145.414111.876109.585-18.529-10.199-5.237
Overige totale aandeelhoudersvermogen 3,848.4932,968.4493,285.1514,084.8463,953.5443,942.9073,971.2994,212.185,501.3945,491.3285,900.4345,856.669100.9955,608.947182.909276.693238.73430.012
Totaal eigen vermogen van aandeelhouders 4,432.134,736.9988,284.1489,190.3429,606.68412,510.41311,056.99210,901.43811,095.6399,291.6777,882.3057,084.3286,945.5346,656.931907.503701.216524.813147.789
Totaal eigen vermogen 5,137.0245,639.8269,150.0669,948.7259,942.19412,774.36311,336.0710,971.09311,191.7329,406.0137,997.797,187.2556,993.9436,659.529924.187715.86524.813150.45
Totaal passiva en aandeelhoudersvermogen 11,535.4312,140.55114,495.62313,043.92612,571.43615,443.47513,591.86312,187.60412,321.00711,322.98310,011.6489,459.4448,854.0986,902.4521,173.442862.051630.546198.231