JiangSu WuZhong Pharmaceutical Development Co., Ltd.

SSE:600200.SS

2.52 (CNY) • At close June 6, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 76.963-71.945-78.2320.641-507.59661.762-282.327135.25878.0562.98186.82893.28664.93240.92133.6220.26312.058-57.52719.68552.91779.84553.08663.04284.21948.23434.72531.431
Afschrijvingen & Amortisatie 50.23845.88847.63549.75283.43786.52589.47184.55970.23357.89546.73940.82739.9737.8439.82538.09738.32544.18941.85133.18227.95921.50416.41713.93613.77411.8036.28
Uitgestelde Inkomstenbelasting 0-0.1260.566-0.9430.0181.15-17.94312.261-58.147-1.1300000000000000000
Aandelen Gebaseerde Vergoedingen 0012.615000004.75812.67800000000000000000
Verandering in Werkkapitaal -481.371-246.0139.639432.569-453.112-229.846358.28667.676505.354-81.783-508.59343.645308.933-433.143-148.723126.688-41.115-134.932-43.19-74.44827.344-104.808-72.775-148.57913.209-59.314-29.162
Vorderingen -70.351-257.342-169.24395.785-1,921.755-1,380.85578.651-247.185-1,124.321-100.176-89.6538.751570.92600000000000000
Voorraden 9.7653.22912.3124.77559.29928.215-135.506295.16552.134146.856-176.912440.484-327.4-545.609-236.045-37.504-64.36-99.935-9.138-28.439-9.145-75.596-8.764-14.353-2.742-15.8028.703
Crediteuren 018.075166.00312.9521,409.3261,121.644433.0847.441,135.688-127.33300000000000000000
Overig Werkkapitaal -420.786-9.9740.566-0.9430.0181.15493.792-227.484-46.78-228.639-331.681-396.839636.333112.46687.322164.19223.245-34.997-34.052-46.00936.489-29.212-64.011-134.22615.951-43.511-37.866
Overige Niet-Contante Posten 79.51968.51764.05-55.318462.713-84.469168.597-38.35139.8172.01757.32552.13224.58231.18643.178-10.81520.48982.27235.45643.36235.74726.35916.22515.6883.577.3444.738
Kasstroom uit Operationele Activiteiten -274.651-203.67856.274447.644-414.558-166.028334.028249.142693.45341.11-317.701229.89438.417-323.196-32.101174.23329.757-65.99753.80255.013170.896-3.85922.91-34.73578.786-5.44213.287
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -35.311-82.584-41.722-24.81-44.248-97.481-238.089-280.054-138.936-62.581-81.637-130.822-135.023-112.9-152.998-66.926-59.669-26.743-30.97-57.414-137.19-75.792-95.772-75.668-23.596-68.967-7.135
Netto Overnames -117.9730.231-0-8.49514.082194.4970.567-10.308-198.9198.0581.80139.20210.546123.044-30.80782.2870.344-0.16451.3987.7980.0050000.03869.9940
Aankoop van Beleggingen -30-84.8-120-260.61-10-0.01-3700.267-39.055-190-34.231-8-60.5-262.38-78.617-11.126-81.609-126.258-164.66-148.388-59.6370-61.9320-85.731-0.920
Verkoop/verval van Beleggingen 9.70530322.267142.77717.95535.101278.85688.5137.367208.241126.17611.3064.781143.774193.79679.4105.35499.162160.0994.0773.89864.469032.3310.5610.5610.174
Overige Investeringsactiviteiten 3.352223.053200.791194.409257.905140.963-3306555.159-181.95-81.637-33.26925.095-112.937.241-66.92698.4615.316-30.97-49.111-1.565-84.860.6635.106-22.351-68.967-34.985
Kasstroom uit Investeringsactiviteiten -170.227358.90161.33643.271235.694273.07-658.667-136.582-314.383-36.2910.471-121.583-155.101-221.363-31.38616.70962.881-38.687-15.103-243.037-194.489-96.183-157.041-38.232-131.078-68.299-41.946
Financieringsactiviteiten:
Schuldaflossingen -167.977-54.295222.2643.134284.569.338126.87-104.848-510.642-227.482265.512126.742-120.582650.333193.451-95.554-60.541-104.919143.92240.2139.295394.43831.11183.914-12.977-1152.684
Uitgifte van Gewone Aandelen 000000000000000000000000000
Terugkoop van Gewone Aandelen 00000-40.042000000000000000000000
Uitgekeerde Dividenden -67.797-67.858-71.195-62.491-62.75-52.461-75.919-63.911-88.337-142.595-125.911-112.825-135.102-99.792-37.161-40.472-57.79-69.159-84.974-74.694-57.167-47.067-28.373-20.647-11.634-24.021-18.148
Overige Financieringsactiviteiten 179.367246.002-36.328-26.48414.11614.84-0.15-0465.959542.135-4.28-5.468-11.924-97.068-0.15-0.30.961.240.42002.528.972267.3353.312269.335-0
Kasstroom uit Financieringsactiviteiten -56.407123.849114.737-45.841235.867-8.32550.801-168.759-133.019172.058135.3218.449-267.609540.791156.141-136.326-117.371-172.83859.346185.519-47.872349.87131.71330.602-21.299234.31434.536
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.352-0.128-0.148-0.004-0.006-0.318-0.5990.827-6.2252.5912.329-1.205-0.206-0.207-1.349-0.257-0.852-0.856-0.368-0.3770.011-0.2040.021-0.302-0.6460-0.002
Netto Kasstroomverandering -500.933278.943232.199445.06956.99698.398-274.437-55.373239.826179.469-169.58115.5515.501-3.97691.30654.359-25.587-278.37897.677-2.882-71.455249.625-102.4257.333-74.236160.5735.875
Kaspositie aan het Einde van de Periode 1,100.8881,601.8211,322.8781,090.679645.611588.615490.216764.653820.026580.201400.731570.312454.761439.26443.236351.93297.572323.158603.189504.827503.273574.728280.665383.065117.733191.96930.869