Jiang Zhong Pharmaceutical Co.,Ltd

SSE:600750.SS

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

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,007.381,332.9291,371.3191,046.0851,099.964927.31,014.608724.846898.047250.364605.526711.188957.06537.904748.896264.753130.568112.5969.12483.54344.445116.645190.211266.81230.16155.2430.91249.77122.4454.2862.3234.881
Kortetermijnbeleggingen 10.00550.0151,372.8451,727.688980.893654.069-1.132-0.588-0.644-0.699-4.977-11.506-0.912-1.152-1.392-0000000.80010009.9790000
Liquide middelen en kortetermijnbeleggingen 1,017.3851,382.9442,744.1642,773.7722,080.8571,581.3691,014.608724.846898.047250.364605.526711.188957.06537.904748.896264.753130.568112.5969.12483.54344.445117.445190.211266.81240.16155.2430.91259.749122.4454.2862.3234.881
Nettovorderingen 950.799544.91775.454793.544896.5181,143.088978.997840.579462.956745.765883.2730423.569000353.849208.003265.715105.888168.122226.204141.5752.69903.036.36700000
Voorraad 460.971406.167382.225377.993246.741242.502171.847194.43187.54158.377312.827334.949344.247293.734278.649117.769100.595108.72997.09987.87871.90772.07181.68243.62549.14571.25352.72565.06571.24319.73413.4469.5
Overige vlottende activa 58.45563.11152.572119.1751.09994.768128.296208.19198.616214.398287.98893.882193.68681.53954.57725.63930.0747.61167.60249.88677.778226.568142.282155.026191.485221.799124.83994.28331.07218.92410.1670
Totaal vlottende activa 2,487.612,397.134,022.0754,064.4793,275.2163,061.7262,293.7471,968.0451,747.161,368.9042,089.6141,738.7231,918.5611,442.5571,533.507695.331615.083469.762527.725327.195362.415416.084414.176468.16480.79456.503214.845219.097224.7642.94425.93524.342
Niet-vlottende activa:
Materiële vaste activa, netto 1,713.5621,597.4831,520.0461,220.4271,021.6081,062.914954.484843.847722.216718.634749.139798.124843.725664.194504.32458.176494.781579.263636.372658.452630.128486.264245.028165.098202.196195.162179.796165.53691.864.66957.30751.481
Goodwill 41.74241.74241.74241.74214.77614.7760000000000002.2833.0433.8044.5655.326000000000
Immateriële activa 397.294401.103379.07395.546377.806360.004315.505325.632336.287348.7374.446371.273383.537403.136383.722362.908381.83979.65789.84298.81898.5348.8014.7394.374.4952.1752.7562.8130000
Goodwill en immateriële activa 439.036442.845420.812437.288392.582374.78315.505325.632336.287348.7374.446371.273383.537403.136383.722362.908381.83979.65792.124101.861102.33813.36610.0654.374.4952.1752.7562.8130000
Langetermijnbeleggingen 96.392112.868-1,197.906-1,568.924-824.309-435.794194.05187.175204.075192.56863.08568.73465.76365.35867.567.92168.234000069.0740012.7920000000
Belastingvorderingen 69.29160.44744.44844.89938.97937.02825.99927.23716.35710.42111.65610.4112.14810.7914.5711.72125.6097.4820001.55200-12.5970000000
Overige niet-vlottende activa 1,702.0491,578.2181,434.1831,799.4311,019.498658.5433.18712.16639.65239.0739.075.1335.1332.7862.41.60.685.69462.3563.82569.6740.671.5141.64420.79223.69323.88524.5587.2000
Totaal niet-vlottende activa 4,020.333,731.4142,221.5841,933.1211,648.3581,697.4671,523.2251,396.0571,318.5871,309.3941,237.3961,253.6741,310.3051,146.263972.511902.327971.063752.096790.846824.139802.14570.855326.606171.112227.677221.031206.437192.9069964.66957.30751.481
Totaal activa 6,507.946,128.5436,243.6595,997.64,923.5744,759.1943,816.9723,364.1023,065.7472,678.2983,327.012,992.3973,228.8662,588.822,506.0181,597.6581,586.1461,221.8581,318.5711,151.3341,164.554986.939740.781639.272708.467677.534421.282412.003323.76107.61383.24375.823
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 162.746156.254236.806205.72145.56156.305119.54988.14447.72845.135308.492231.898229.628249.49212.64195.39846.91364.045119.34861.62472.08965.15746.54837.77334.70554.36456.13343.03516.5278.7763.7911.467
Kortlopende schulden 000000200302012525200200145174364274.104343.054342.362270125.83359.596.118.31010.8107.223.092
Belastingschulden 110.63148.09173.92248.9138.41864.54686.33344.73949.79120.11412.052-55.85611.7913.97150.42924.28332.7063.19211.96210.5123.05931.231-3.911.72362.49621.812-1.151.0373.112.9541.6775.203
Uitgestelde opbrengsten 00348.603299.947169.042111.99586.33387.745123.797102.258124.16611.661108.10690.215134.84794.02978.26526.62942.05837.10121.78351.70927.26224.63892.60930.76711.45545.9250000
Overige kortlopende verplichtingen 1,497.8041,381.6071,366.9641,061.929348.585628.062141.516197.188298.074237.35113.268137.154196.402205.258315.38147.569137.45642.37695.3834.52928.97859.16537.03839.73351.23341.98227.03258.67221.7532.13711.4174.403
Totaal kortlopende verplichtingen 1,771.1811,585.9521,657.6691,316.56601.488748.913453.731330.071425.593322.599682.978349.857637.821658.719723.45441.25614.259383.718569.745449.027374.126281.387139.17688.229148.58136.45890.422113.54451.38921.06718.88614.165
Langlopende verplichtingen:
Langetermijnschulden 0.1091.0481.1762.79100507000498.24496.57352500800000127.43736.68100132553535349.253030
Uitgestelde opbrengsten niet-vlottend 90.329067.84573.04550.5858.08259.848.66824.3240.85712.46612.717000000000000-130000000
Uitgestelde belastingverplichtingen niet-vlottend 17.89320.1221.59122.71620.20727.8424.234-48.66800-498.051-12.7170000000000001.1320000000
Overige niet-vlottende verplichtingen 156.78646.3170050.7580000.0480.2810.188012.96712.3913.4763.4762.4720.1720.2020.1720.1829.0726.4000000000
Totaal niet-vlottende verplichtingen 265.11767.48490.61298.55170.78685.924109.8118.66824.3711.137510.894509.29537.96712.3913.47683.4762.4720.1720.2020.172127.61765.75126.4014.1322553535349.253030
Totaal passiva 2,036.2981,653.4371,748.2821,415.112672.274834.837563.531448.738449.965323.7361,193.872859.1481,175.788671.109726.926524.726616.731383.89569.947449.199501.743347.138165.57688.229162.712161.458143.422166.544104.38970.31748.88644.165
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000
Gewone aandelen 629.018629.357629.582630630525420300300300300311.15311.15311.15311.15295.877295.877295.877146.112146.112146.112146.112146.112146.112146.112146.112124.8124.862.427.9227.9227.92
Ingehouden winsten 2,491.7472,437.2892,524.1412,652.1022,503.8752,339.5972,182.4091,893.0481,595.2511,335.4871,058.475883.627804.717672.726559.754411.791329.214252.286220.349180.687153.557133.5892.60761.58471.78276.50152.42426.74912.12000
Overige gereserveerde algehele resultaten 0433.413430.096420.967371.018324.056278.912230.18228.319226.8570000000000000000000000
Overige totale aandeelhoudersvermogen 742.044331.46322.147299.965742.993371.975156.446722.155491.975491.975718.832884.567884.567882.71861.209318.915315.661288.672394.649373.241360.39322.47310.98318.023324.591300.032106.5193.909144.8529.3766.4373.737
Totaal eigen vermogen van aandeelhouders 3,862.8093,831.523,890.9664,003.0343,876.8683,560.6293,253.2962,915.2032,615.5452,354.322,077.3082,079.3442,000.4341,866.5861,732.1131,026.582921.188836.835747.144700.04660.059602.163549.699523.56523.168516.076277.86245.458219.37137.29634.35731.657
Totaal eigen vermogen 4,471.6424,475.1064,495.3774,582.4894,251.33,924.3573,253.4412,915.3642,615.7822,354.5612,133.1382,133.252,053.0781,917.7111,779.0921,072.932969.415837.968748.624702.134662.812639.802575.205551.043545.755516.076277.86245.458219.37137.29634.35731.657
Totaal passiva en aandeelhoudersvermogen 6,507.946,128.5436,243.6595,997.64,923.5744,759.1943,816.9723,364.1023,065.7472,678.2983,327.012,992.3973,228.8662,588.822,506.0181,597.6581,586.1461,221.8581,318.5711,151.3341,164.554986.939740.781639.272708.467677.534421.282412.003323.76107.61383.24375.823