Shanghai No.1 Pharmacy Co., Ltd.

SSE:600833.SS

12.95 (CNY) • At close June 13, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 436.42400.028504.933262.283509.431473.706387.982323.805227.848199.865163.324155.432163.741170.329160.596145.647106.06113.56292.29928.31336.15352.1945.10654.8710.9780.8174.35139.761164.815109.590
Kortetermijnbeleggingen 15.37930.147220.286-9.281-8.910194.049000335.433000000000000000001.10627.7920
Liquide middelen en kortetermijnbeleggingen 451.799430.175725.219262.283509.431473.706387.982323.805227.848199.865163.324155.432163.741170.329160.596145.647106.06113.56292.29928.31336.15352.1945.10654.8710.9780.8174.35139.761165.921137.3820
Nettovorderingen 220.546278.448237.999133.559130.82116.978113.446147.619125.991128.085131.416121.573107.0830068.2960.18961.18654.58623.62735.684039.7102.71411.32178.9030000
Voorraad 336.324332.233334.754214.497215.579220.729216.939205.859296.356261.823273.526235.336235.222216.471186.402183.529169.598149.131134.569120.357131.677151.13152.831162.18366.85580.279615.706617.441534.23588.5420
Overige vlottende activa 118.33377.67668.10771.30634.16353.46726.3811.2822.05616.54820.63320.54116.1779.4354.84712.59611.34511.7366.242.0942.29343.06439.72552.812115.89760.165125.083184.151423.996356.406547.958
Totaal vlottende activa 1,127.0021,117.2331,397.142662.69879.353849.16737.728686.223669.838604.325585.995526.841515.386517.338456.578410.062347.193335.615287.694174.392205.806246.384237.662269.863423.163673.554762.468941.3531,124.1471,082.331547.958
Niet-vlottende activa:
Materiële vaste activa, netto 260.879215.36181.093167.97872.46975.41379.78186.19783.76888.24490.47297.438100.04556.13261.77756.26761.3269.82375.79147.622188.484202.714184.985179.96221.32823.45824.5775.3035.7796.1363.781
Goodwill 00000000000000000.121.201.21.21.21.21.20000000
Immateriële activa 38.92941.67443.82546.33348.1950.78753.67757.259.82359.40261.98467.51170.11672.99675.35173.80676.20577.53281.280.842.9793.2783.1513.14400004.4193.2460
Goodwill en immateriële activa 38.92941.67443.82546.33348.1950.78753.67757.259.82359.40261.98467.51170.11672.99675.35173.80676.32578.73281.282.044.1794.4784.3514.34400004.4193.2460
Langetermijnbeleggingen 327.361322.44732.183193.42189.053226.6530298.459364.841471.163-0217.406199.976000000000000000073.3070
Belastingvorderingen 24.35326.38735.99112.0687.1918.3235.8036.185.8945.7655.8255.7436.0977.1496.8636.6336.2726.1350000000000027.7920
Overige niet-vlottende activa 201.533140.068348.868251.9732006.216202.4781.7091.1241.236336.7041.2240.648140.591187.609174.80398206.26436.38719.6130.54731.50251.38828.59334.64848.7199.783228.95250.23824.407172.09
Totaal niet-vlottende activa 853.055745.936641.961671.773516.903367.392341.739449.745515.45625.81494.985389.322376.881276.868331.601311.509241.916360.955193.456169.272223.21238.694240.724212.89855.97572.158224.36234.253260.437134.888175.871
Totaal activa 1,980.0571,863.1692,039.1021,334.4631,396.2561,216.5521,079.4661,135.9681,185.2871,230.1351,080.98916.163892.268794.206788.179721.571589.109696.569481.15343.664429.016485.078478.386482.761479.139745.712986.8281,175.6061,384.5841,217.218723.829
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 384.143338.31185.097215.145291.969328.939265.596261.754288.093251.019267.683251.607253.75241.504208.448182.23160.67150.551146.0973.68488.43699.56296.001107.24144.69360.30812.80511.98787.72876.6290
Kortlopende schulden 95.584101.054320.2840180.111022.522.522.522.522.522.522.522.522.522.522.522.532.522.580.57102.35107.6298.22577.218697.687748.997674.49744.304495.8940
Belastingschulden 5.45610.26839.2539.388.2089.34610.8726.2874.7979.716.107-0.9681.693-2.392-4.429-6.027-4.935-1.964-1.27-7.5399.185-6.391-3.462-2.573-12.646-15.224-14.714.14110.01-3.520
Uitgestelde opbrengsten 0025.53188.086121.89491.10610.87253.88641.55145.96646.1241.87351.01764.94976.81368.09870.38181.10452.6499.68752.98970.06474.72473.388194.532155.74853.46424.941125.791138.8430
Overige kortlopende verplichtingen 162.968227.157381.741216.805147.53783.94556.8351.33136.75440.52244.08246.52558.13676.9887.82685.67482.0886.84858.06122.33948.20485.29386.60597.097236.005245.295107.72968.696176.565247.063427.643
Totaal kortlopende verplichtingen 648.151676.789926.375444.036597.331422.23355.799341.872352.958323.75340.372319.664336.079338.592314.345284.377260.315257.936235.382110.985226.395280.813286.764298.029845.269988.066854.832769.3141,018.607816.066427.643
Langlopende verplichtingen:
Langetermijnschulden 115.559107.24488.33363.08288.7940000000000000000003.35637.85738.85934.89259.2640.8788.610
Uitgestelde opbrengsten niet-vlottend 11.9712.43511.30211.68112.40512.43913.20513.87213.57613.95514.33414.7130000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 57.4855.82754.34337.34536.45848.13140.0666.15982.757109.33875.30345.64841.25426.20437.95434.9414.63845.09100014.77715.31415.8520000000
Overige niet-vlottende verplichtingen 2.4992.4211.37412.07713.151.4140.8340000015.09200000-3.8100000-3.727-2.925-2.871.69919.78124.952109.444
Totaal niet-vlottende verplichtingen 187.508177.926154.049112.50349.60861.98454.09980.03196.333123.29389.63760.36256.34726.20437.95434.9414.63845.09100014.77715.31419.20734.1335.93532.02260.95960.652113.561109.444
Totaal passiva 835.659854.7151,080.424556.539646.939484.215409.898421.903449.291447.044430.009380.026392.426364.795352.299319.317274.953303.027235.382110.985226.395295.59302.078317.237879.41,024886.854830.2731,079.258929.627537.087
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 223.086223.086223.086223.086223.086223.086223.086223.086223.086223.086223.086223.086223.086223.086159.347159.347159.347159.347159.347159.347159.347159.347159.347159.347159.347159.347159.347122.57592.01283.64769.706
Ingehouden winsten 582.273458.487437.424309.484290.683243.376208.454176.529152.601124.33297.81675.5756.07335.58766.85452.5227.68418.01-5.136-17.817-677.62-690.318-702.815-714.768-735.279-606.395-235.56425.273-1.613-0.9929.887
Overige gereserveerde algehele resultaten 0168.218251.95199.136189.288219.658193.194263.665307.24380.321225.711136.7470000000000000000000
Overige totale aandeelhoudersvermogen 330.252151.655126.944126.94441.204115.011115.012109.161105.22848.34550.62893.726213.676163.73202.672190.387126.505215.41290.68191.149720.626720.191719.776722.509175.171182.826360.619192.646110.44699.62187.149
Totaal eigen vermogen van aandeelhouders 1,135.6121,001.446951.671770.916742.309725.33662.561707.058728.989776.084643.963529.129492.835422.403428.873402.254313.536392.77244.892232.679202.354189.22176.308165.524-400.761-278.78899.474340.495200.845182.278186.742
Totaal eigen vermogen 1,144.3981,008.453958.678777.924749.317732.337669.568714.065735.996783.091650.971536.137499.842429.411435.88402.254314.156393.542245.768232.679202.621189.488176.308165.524-400.261-278.28899.974345.333305.326287.591186.742
Totaal passiva en aandeelhoudersvermogen 1,980.0571,863.1692,039.1021,334.4631,396.2561,216.5521,079.4661,135.9681,185.2871,230.1351,080.98916.163892.268794.206788.179721.571589.109696.569481.15343.664429.016485.078478.386482.761479.139745.712986.8281,175.6061,384.5841,217.218723.829