Sino Biopharmaceutical Limited

HKEX:1177.HK

3.58 (HKD) • At close November 5, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Operationele Activiteiten:
Nettowinst 5,933.5795,778.60418,572.6735,013.0445,583.82211,429.0814,195.8393,351.7452,883.8392,239.9581,669.4841,440.455805.895926.807703.897528.534320.68205.6271,720.255179.34687.0260.88365.51648.25538.148
Afschrijvingen & Amortisatie 1,074.2841,046.984992.5561,654.8361,466.0281,176.124343.389353.092295.855207.499174.991154.55110.02573.00753.05736.57927.13122.09830.58734.60927.40714.542000
Uitgestelde Inkomstenbelasting 0000000000000000000000000
Aandelen Gebaseerde Vergoedingen 18.12329.72300000000000000000000000
Verandering in Werkkapitaal -430.514-195.595-339.135261.33-278.65243.299430.679273.591-372.91723.972-90.077114.39-5.046-248.229-24.16-100.938-2.326-11.28-31.718-28.55522.58522.638000
Vorderingen -816.029-421.655-1,308.211-198.786196.309-436.208-55.463-431.62319.48-207.679-281.611-266.5180000-65.64500000000
Voorraden 135.323-391.103-57.475-221.454-449.437-102.16-23.686-43.932-40.632-63.575-180.01-112.056-60.982-120.662-23.001-77.21-21.8453.471-14.789-1.446-13.268-8.164000
Crediteuren 0421.6551,308.211198.786-196.309000000000006.89100000000
Overig Werkkapitaal 108.211195.508-281.66482.784170.787345.459454.365317.523-332.28587.54689.932226.44655.936-127.567-1.16-23.72878.273-14.752-16.93-27.10935.85330.802000
Overige Niet-Contante Posten 287.914-394.561-13,859.8-1,603.874-1,446.566-7,754.14-1,237.389-887.602-888.627-632.102-522.935-414.514-24.938-323.196-128.196-98.285-108.96-103.885-1,444.59956.73565.02671.39378.78860.89440.826
Kasstroom uit Operationele Activiteiten 6,065.7346,265.1555,366.2945,325.3365,324.6345,094.3643,732.5183,090.8251,918.151,839.3261,231.4621,294.881885.936428.389604.597365.891236.525112.559274.525242.135202.038169.456144.305109.1578.974
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,703.709-1,705.612-1,893.984-1,859.145-1,733.963-1,692.739-1,460.18-935.226-1,119.416-510.473-455.345-325.997-243.466-318.666-311.761-185.572-78.404-70.169-73.383-110.842-47.726-72.923-30.562-32.113-19.538
Netto Overnames -742.706-58.525-958.703-4,196.751-221.6661,201.548-288.396-28.314-145.939-48.114-101.3748.699-24.226-56.073-5.273-1.477-1.659000.70200000
Aankoop van Beleggingen -1,650.007-4,482.997-4,846.666-7,161.326-2,894.804-2,452.211-1,408.949-1,367.882-2,241.392-1,193.854-99.908-232.025-283.997-537.788-7.092-1.524-41.2700000000
Verkoop/verval van Beleggingen 2,561.4711,079.023903.2445,121.262914.2682,167.271419.08142.0211,148.55628.41552.34468.813507.41654.31818.53913.37173.09800000000.771
Overige Investeringsactiviteiten -8.7411,097.2924,280.132250.405111.821160.031759.52134.978822.871-505.79863.449-5.01649.765-289.47323.30939.153-85.53678.3791,582.30314.793-81.0258.8190.0350.9060.234
Kasstroom uit Investeringsactiviteiten -756.975-4,070.819-2,515.977-7,845.555-3,824.344-616.1-1,978.925-2,054.424-1,535.32-2,229.823-540.834-485.5275.491-1,147.681-282.278-136.05-133.7718.211,508.92-95.347-128.751-64.104-30.527-31.207-18.533
Financieringsactiviteiten:
Schuldaflossingen -1,712.052-8,703.851-2,826.814-1,760.048-3,196.025-93.819-789.669-1,270.078-663.587-154.233-45.915-403.143-272.305-0.968-89.00100000-5.024-80-105.118-58.622-41.539
Uitgifte van Gewone Aandelen 00732.8065,357.4536,820.261-796.7390000000969.632000013.86509.46838.842076.3230
Terugkoop van Gewone Aandelen -396.393-867.613-332.93-195.373-32.05-604.419000000-26.724-29.155000000049.6670-00
Uitgekeerde Dividenden -632.669-1,267.622-938.489-1,187.015-819.688-710.328-449.964-398.215-248.273-256.84-193.065-159.154-320.483-331.628-149.499-119.607-127.253-102.154-391.749-158.983-99.553-83.492-61.286-27.771-33.701
Overige Financieringsactiviteiten -63.5217,652.696140.16418.17128.33927.561-106.5532,081.919168.6321,086.686-179.614137.3116.396-56.266-124.641-36.9321.557-37.094-3.266-1.43631.79584.935165.7136.38374.472
Kasstroom uit Financieringsactiviteiten -6,548.99-3,186.39-3,225.2632,233.1882,800.837-2,177.744-1,346.186413.626-743.227675.613-418.593-424.986-613.116551.615-363.14-156.539-125.696-139.248-381.15-160.419-63.3159.951-0.69426.314-0.769
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 90.52447.322-649.711280.01595.054242.465-217.798-215.679-172.47-63.76237.1533.63544.365.531-8.26127.46319.3126.5964.560.169-1.097-0.089-63.3060.2970.146
Netto Kasstroomverandering -1,149.707-944.732-1,024.657-7.0164,396.1812,542.985189.6091,234.349-532.867221.354309.187388.004322.611-102.146-49.082100.765-3.63-11.8831,406.855-13.4618.875115.21549.77875.09624.424
Kaspositie aan het Einde van de Periode 7,505.0988,654.8059,599.53710,624.19410,631.216,235.0293,692.0443,500.5062,119.3072,532.6452,258.5892,012.6731,633.0121,379.8561,531.0841,580.2651,574.0861,688.711,765.441294.278307.978297.707182.493132.56457.713