JiangSu WuZhong Pharmaceutical Development Co., Ltd.

SSE:600200.SS

2.52 (CNY) • At close June 6, 2025
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,151.5221,712.7781,477.0511,130.944683.601630.691587.157769.682847.564616.702456.073622.22498.624463.818468.236409.43350.472336.858632.997502.027503.095544.031278.473383.065117.733191.96930.86922.5757.373
Kortetermijnbeleggingen 436.980170.567-113.6440.01340.5210.2410.8370.8131.0931.8486.08612.02810.67712.3337.4560.723-1.6132.80.17829.5062.139029.9990000
Liquide middelen en kortetermijnbeleggingen 1,151.5221,712.7781,477.0511,130.944723.614671.212587.397770.519848.377617.795457.92628.306510.652474.495480.568416.886351.194336.858635.997504.827503.273573.537280.612383.065147.731191.96930.86922.5757.373
Nettovorderingen 1,490.6171,152.583867.684763.861,238.83845.052478.192593.32444.716308.766262.654231.712302.156492.435486.053313.761364.657335.572346.402309.399307.208328.52358.02225.548.6076.4090.5270.5716.632
Voorraad 93.961107.26112.615126.45154.819215.431,057.998922.4151,248.971,729.9481,820.251,665.0462,122.6311,800.6791,217.843335.775309.511251.719213.533202.995171.328162.71286.98281.83567.51957.84142.80432.81929.015
Overige vlottende activa 16.72328.597186.635489.237562.81244.504585.164164.105391.213771.902524.941658.07462.13718.766663.77409.741553.742232.992640.093562.254151.941192.524428.731140.147215.771187.955148.273127.396122.131
Totaal vlottende activa 2,752.8233,001.2182,729.5482,684.322,680.1132,026.9372,708.7522,520.3593,068.2763,428.4113,065.7662,951.4213,397.5682,993.942,362.1811,162.4021,214.4471,157.1421,488.9191,359.7781,225.7511,257.293785.544830.587431.629444.173247.305183.361160.445
Niet-vlottende activa:
Materiële vaste activa, netto 252.011261.15231.01251.519294.4541,018.3141,001.321912.093802.444449.522470.023512.471455.474384.316320.682411.913401.425441.391457.666482.077456.225327.943267.453164.609133.755118.40263.91231.36934.21
Goodwill 122.345000012.59112.591379.774379.77400000000000000000000
Immateriële activa 273.624236.333204.14191.843155.684260.628237.618193.74193.711137.635132.582151.087153.517154.378155.97888.56161.86358.87556.44563.29856.76557.76353.8343.60446.00442.18714.1132.4282.576
Goodwill en immateriële activa 395.969236.333204.14191.843155.684273.22250.209573.514573.486137.635132.582151.087153.517154.378155.97888.56161.86358.87556.44563.29856.76557.76353.8343.60446.00442.18714.1132.4282.576
Langetermijnbeleggingen 0697.886733.244624.695406.418400.976474.348412.696606.15398.371217.09694.01171.09172.44378.57388.297111.236115.843290.444301.197180.33990.962116.128034.8830000
Belastingvorderingen 31.9695.8662.7543.4182.7936.0887.68459.62972.63513.23812.09915.28319.18315.7614.658.1616.9043.961000000-19.2670000
Overige niet-vlottende activa 542.083124.4269.0362.542164.254194.385175.597156.29116.558115.268121.32206.092211.931151.32613.261243.538237.0572253.1893.2912.00231.6955.5666.78868.17711.6235.4129.3086.849
Totaal niet-vlottende activa 1,222.0321,325.661,180.1841,074.0181,023.6031,892.9821,909.1592,114.2232,171.276814.034953.12978.944911.196778.223583.145840.471818.485845.069807.744849.863695.331508.363442.972275.001263.552172.21283.43643.10543.635
Totaal activa 3,974.8554,326.8783,909.7323,758.3383,703.7163,919.9194,617.9114,634.5815,239.5524,242.4454,018.8853,930.3664,308.7653,772.1632,945.3262,002.8732,032.9322,002.2122,296.6632,209.6411,921.0831,765.6551,228.5161,105.588695.181616.385330.74226.466204.08
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 125.376257.037240.158149.538240.37340.927410.192290.151402.336417.407550.963648.565436.485402.046262.84188.546155.93168.015278.737326.95199.865168.46491.84176.66361.55544.72137.118.71922.707
Kortlopende schulden 1,341.1361,621.1671,370.0791,179.186800.955878.273858731.131,0861,189.11,322.5821,188.071,037.4281,071.51695.178595.727716.28781.822972.141813.221553.008612.713169.275175.164101.25105.83898.1236.09628.278
Belastingschulden 36.41514.47335.74228.45516.59224.50512.93125.59624.871-7.25723.38616.836-59.397-38.484-22.5421.3111.334-4.984-1.0754.086.86-0.096-6.2026.11311.3929.8441.8361.6852.598
Uitgestelde opbrengsten 0026.092360.901280.35145.78312.931224.244202.165128.534100.82298.502270.225166.929229.609119.536103.98849.09440.20835.37148.98932.9334.848.4354.31526.46231.2846.72243.569
Overige kortlopende verplichtingen 302.08486.305209.578321.977250.32168.797787.814431.441470.284297.25542.125566.0541,504.675849.665754.285301.346258.99194.51755.54457.653220.77745.59872.00951.94156.44123.74938.49847.89958.15
Totaal kortlopende verplichtingen 1,805.0082,378.9821,855.5571,695.8111,595.2911,412.5022,081.8691,478.3191,983.4912,025.0342,439.0562,518.0262,919.1922,284.7371,689.761,086.931,132.5351,139.3691,305.3461,182.306865.634826.68326.923309.881230.639184.152171.104104.399111.732
Langlopende verplichtingen:
Langetermijnschulden 194.907140.716165.251167.809230.326115.083878888426340235258327189202502035105436225152036.91816.563.789
Uitgestelde opbrengsten niet-vlottend 3.724.5045.3067.2114.0825.74337.20763.25777.4689.366100.057109.62700000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 8.4428.9895.9536.05103.2783.72573.613120.5860.0390.03-109.627000.1550.0390000000000000
Overige niet-vlottende verplichtingen 73.77736.74754.0924.5326.25900079.04801.1140123.095150.61674.1726.139000.4270.5740.4910.0972.24504.4338.867000
Totaal niet-vlottende verplichtingen 280.846186.452230.601185.599256.585144.104127.932224.87287.635515.404441.201344.627381.095477.616263.32726.17825020.42735.574105.49143.09764.2452519.43328.86736.91816.563.789
Totaal passiva 2,085.8542,565.4342,086.1581,881.411,851.8761,556.6052,209.81,703.1882,271.1252,540.4382,880.2572,862.6533,300.2862,762.3531,953.0871,113.1081,157.5351,139.3691,325.7731,217.88971.125869.776391.168334.881250.072213.019208.022120.959115.521
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000
Gewone aandelen 712.201712.286712.389712.389712.389712.389721.892721.892721.892669.646623.7623.7623.7623.7623.7623.7623.7623.7623.7415.8415.8415.8277.2277.2133.6133.6505050
Ingehouden winsten -418.044-488.527-416.541-340.415-335.36171.051106.517432.512321.063264.46227.919202.662167.717120.88102.48873.18662.13555.285109.949123.11120.569104.73665.66735.79134.76.658000
Overige gereserveerde algehele resultaten 00152.916141.744129.526206.412140.127343.693481.01120.1370-000000000000000000
Overige totale aandeelhoudersvermogen 1,528.9121,520.2561,236.6231,481.4221,341.2951,268.2871,563.7351,765.2271,896.834607.765138.691138.691138.6910.461137.3370.461124.264124.473119.821357.608208.361323.431448.766437.199261.574256.6972.71855.50738.559
Totaal eigen vermogen van aandeelhouders 1,823.0691,744.0141,803.6931,855.0131,847.852,358.142,392.1442,919.6312,939.7891,541.871990.31965.053930.109882.696863.525824.411810.099803.458875.607889.98873.604843.967791.633750.191435.698396.947122.718105.50788.559
Totaal eigen vermogen 1,889.0021,761.4441,823.5741,876.9281,851.842,363.3142,408.1112,931.3932,968.4271,702.0071,138.6281,067.7131,008.4781,009.809992.239889.765875.397862.842970.89991.761949.958895.879837.348770.707445.109403.366122.718105.50788.559
Totaal passiva en aandeelhoudersvermogen 3,974.8554,326.8783,909.7323,758.3383,703.7163,919.9194,617.9114,634.5815,239.5524,242.4454,018.8853,930.3664,308.7653,772.1632,945.3262,002.8732,032.9322,002.2122,296.6632,209.6411,921.0831,765.6551,228.5161,105.588695.181616.385330.74226.466204.08