Shanghai Fosun Pharmaceutical (Group) Co., Ltd.

SSE:600196.SS

25.08 (CNY) • At close June 17, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 3,512.442,386.2663,947.4644,987.4383,939.983,743.5213,019.8823,585.2593,221.3422,870.6612,369.8392,399.9481,839.2711,384.8431,000.3442,564.272760.931690.188292.833237.944282.089298.177161.748141.081135.7994.42864.926
Afschrijvingen & Amortisatie 3,001.5433,118.6782,335.9111,834.3811,666.2211,472.0561,320.083938.594732.905649.341558.407415.53286.204209.897152.66134.694132.462136.487132.061116.69191.14756.0637.59628.56828.12920.079.252
Uitgestelde Inkomstenbelasting 00-188.498-4,038.579-2,605.149-2,732.984-1,876.098-2,322.094-35.027-27.46700000000000000000
Aandelen Gebaseerde Vergoedingen 21.06935.89854.48364.28655.22109.06672.32810.35737.1189.65438.369.7076.06500000000000000
Verandering in Werkkapitaal -990.036-936.587-1,387.883259.742-1,401.408-494.575-535.081-212.669-288.129-101.793-555.285-44.489-28.151-88.59610.951599.07913.59-133.702-5.418-107.003789.18323.236-35.041-45.180.76-78.013-10.836
Vorderingen -397.5231,605.092-2,076.551-1,795.024-1,559.916-863.272-661.594-891.248-353.811-323.757-377.894-70.01230.4900000000000000
Voorraden 238.192-333.906-1,430.078-464.747-1,253.381-505.188-564.697-491.056-65.429-88.346-104.993-149.565-155.062-99.816-66.213-70.126-27.577109.622-42.667-66.954-27.02856.036-11.241-37.48312.351-14.418-4.923
Crediteuren 0-2,207.7732,307.2442,466.761,528.503883.572838.7981,243.004166.138337.77700000000000000000
Overig Werkkapitaal -830.7050-188.49852.754-116.614-9.68829.616278.386-222.7-13.447-450.292105.076126.91111.2277.164669.20541.167-243.32437.25-40.049816.211-32.8-23.8-7.697-11.591-63.595-5.913
Overige Niet-Contante Posten -1,068.035-240.979-543.907841.479924.9111,125.328948.99580.779-1,556.078-1,797.18-1,172.747-1,759.355-1,431.807-1,189.493-960.591-3,036.178-673.942-561.496-234.562-59.285-957.318-227.336-61.828-56.317-26.2521.7143.212
Kasstroom uit Operationele Activiteiten 4,476.9814,363.2764,217.5713,948.7472,579.7743,222.4132,950.1052,580.2262,110.0391,621.0281,200.2141,011.633665.517316.65203.363261.868233.041131.477184.914188.346205.101150.137102.47468.152138.42838.19966.554
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -4,410.191-5,336.705-5,888.839-4,972.587-4,437.119-3,962.059-3,174.911-2,170.617-1,921.962-1,235.536-1,119.437-1,040.055-1,160.597-796.833-339.169-348.066-210.628-209.706-266.609-222.602-205.015-264.054-139.522-141.506-126.626-77.99-52.249
Netto Overnames -84.37-923.699-487.564381.434-140.335-818.782-622.589-7,822.598-249.441109.942-1,145.746-2,225.2430.81112.6612.118-2.59622.7629.33718.165279.87511.625.474.90410.77617.6460.9580.042
Aankoop van Beleggingen -846.041-942.971-1,501.266-1,424.634-1,070.102-517.916-2,133.377-2,525.667-1,395.69-2,955.251-1,943.239-364.114-759.095-1,500.259-1,190.237-770.187-563.245-543.702-399.265-349.021-665.076-134.86-475.254-317.801-345.541-253.504-46.007
Verkoop/verval van Beleggingen 1,498.3782,727.5974,649.532,168.2542,037.1714,916.1731,243.361,550.5561,492.6442,127.0071,515.8811,540.7141,484.696615.4751,348.036755.535822.812632.316329.58476.61745.394535.676254.754243.50430.17643.3640.406
Overige Investeringsactiviteiten 228.901-302.081-835.899-9.454-1,095.843210.622-557.398464.223-372.64883.927214.204285.244-574.385-97.59-85.047-32.487-15.61558.036-17-222.60233.903-0.159204.608-282.034-19.29748.225-1.957
Kasstroom uit Investeringsactiviteiten -3,613.323-4,777.859-4,064.038-3,856.987-4,706.229-171.963-5,244.915-10,504.102-2,447.096-1,869.911-2,478.338-1,803.451-978.571-1,766.546-264.299-397.856.086-53.719-335.124-437.732-779.194162.073-150.51-487.061-443.642-238.947-99.765
Financieringsactiviteiten:
Schuldaflossingen 410.3241,724.1813,747.3881,810.8132,253.601-2,440.7832,390.5128,928.781427.6941,960.1972,965.903-28.437-456.0671,399.0751,720.905684.571-88.653384.772801.421349.672155.302-292.72587.407497.7877.9475.422-22.395
Uitgifte van Gewone Aandelen 0000004,851.3743,017.6382,728.484116.1261,466.10630.5143,151.0750637.82718.91816.09917.2008.998951.558.46.7437.6210372.401
Terugkoop van Gewone Aandelen 000000000000000000000000000
Uitgekeerde Dividenden -2,059.42-2,455.17-1,435.465-1,102.997-1,000.505-818.627-1,775.534-1,433.537-1,193.52-1,109.273-962.654-804.463-500.92-437.311-297.407-268.571-257.933-237.612-371.869-200.039-149.22-94.861-89.812-78.198-14.136-13.358-9.746
Overige Financieringsactiviteiten 646.51-595.7524,603.504-716.261,048.1692,369.248-2,328.818-1,164.496-516.628-227.254-1,606.283-129.722-125.691-295.632-241.307-33.943-19.416-21.228-58.842-77.096-0.5122.16413.90827.915-35.148.935-2.563
Kasstroom uit Financieringsactiviteiten -1,002.586-1,326.744,428.475-831.2791,467.129-1,935.9783,137.5349,908.6271,446.03550.7151,863.071-932.1082,068.397913.0041,822.453400.975-349.904143.131370.71147.78414.571586.12819.902454.196466.33140.999337.697
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 27.98973.645128.342-134.712-300.165-5.105-18.039-172.46880.4736.6068.947-31.388-11.988-6.019-3.77-0.714-4.617-4.838-1.188-0.35-0.001-0.053-0.044-00.09400
Netto Kasstroomverandering -110.939-1,667.6784,710.35-874.231-959.491,109.366824.6861,812.2831,189.443338.438593.895-1,755.3141,743.355-542.9111,757.746264.329-65.394216.052219.313-101.952-559.524898.285-28.17735.287161.211-159.749304.486
Kaspositie aan het Einde van de Periode 9,391.459,502.38911,170.0676,450.657,324.8818,284.3717,175.0056,350.3194,538.0373,348.5943,010.1552,416.264,171.5752,428.2192,971.1311,213.384949.0561,014.449800.22580.907682.861,242.384344.098372.275343.418170.05329.799