Shanghai Pharmaceuticals Holding Co., Ltd

SSE:601607.SS

17.84 (CNY) • At close June 16, 2025
Overview | Financials

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operationele Activiteiten:
Nettowinst 5,870.0113,7686,992.0156,274.5695,605.2644,830.7424,456.2614,057.783,829.7133,364.3682,992.0152,626.6182,460.5882,446.031,778.985263.482129.43495.47790.5471.404138.509207.481163.071174.77204.654110.83789.827
Afschrijvingen & Amortisatie 2,418.7992,187.1312,222.4412,139.8042,137.7931,884.9751,169.462839.983746.095672.559585.008549.713536.594479.168382.74393.21594.21396.44369.1459.10874.22670.28272.3250.37550.12643.37421.422
Uitgestelde Inkomstenbelasting 0-194.791-131.939164.978-233.876-217.698-402.771-125.1540-74.42300000000000000000
Aandelen Gebaseerde Vergoedingen 04.56821.99231.33334.7421.231000000000000000000000
Verandering in Werkkapitaal -4,345.708-8,736.205-4,680.012-3,398.657-2,013.717-2,570.99-3,711.662-2,291.75-2,635.803-2,747.825-2,234.248-2,275.163-2,026.661-942.782-368.41862.878-104.036109.211298.283-148.192-242.289-230.699-231.012-171.094-101.155-61.762-464.746
Vorderingen -4,041.024-6,432.414-10,081.417-6,155.51-4,072.168-5,083.633-2,183.159-2,780.696-3,093.521-4,155.643-3,881.219-3,514.323-2,236.29400000000000000
Voorraden -2,297.648-2,303.792-7,111.705-3,200.961932.60363.143-2,842.902-422.992-942.672-1,943.668-1,586.957-1,179.719-1,466.409-1,565.903-859.195-323.32-270.142-12.316153.418-158.69971.342-299.979-209.916-206.221-39.65475.792-509.894
Crediteuren 04,585.50912,645.0495,792.8361,359.7252,667.1991,717.1711,037.0921,852.7383,425.90800000000000000000
Overig Werkkapitaal 1,992.963-4,585.509-131.939164.978-233.876-217.698-868.76-1,868.758-1,693.131-804.158-647.291-1,095.444-560.252623.121490.777386.198166.105121.526144.86610.507-313.63169.281-21.09735.128-61.501-137.55445.148
Overige Niet-Contante Posten 1,884.1568,202.817318.864-150.7011,314.5152,094.1251,221.05342.7956.66360.061-7.172.282180.255-209.977-107.222244.559166.068187.811125.14690.68291.217-46.58196.46411.682-7.40472.22570.36
Kasstroom uit Operationele Activiteiten 5,827.2585,231.524,743.3615,061.3266,844.7216,022.3863,135.1142,648.8091,946.6671,349.1631,335.674973.451,150.7751,772.4381,686.088664.134285.679488.941583.1173.00261.6630.484100.84365.733146.221164.674-283.137
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,400.875-2,970.61-2,684.864-4,118.771-3,009.971-2,753.125-1,943.044-2,007.272-2,119.285-1,720.463-1,291.493-905.058-708.908-413.536-550.301-79.966-90.503-192.285-151.601-198.092-254.384-169.582-279.437-144.707-141.086-52.478-169.888
Netto Overnames -85.292-0.9722.468-1,039.323-2,045.655-693.685-5,197.478-913.648-1,738.71-602.661-1,083.207-455.258-414.236-4,017.545-2,001.4644.012111.23220.729218.195270.233341.731176.71456.466157.469142.3260.2090.013
Aankoop van Beleggingen -45,933.887-27,376.65-39,683.75-3,147.84-4,490.914-1,041.388-1,047.564-4,461.293-2,600.643-1,887.852-707.935.83420.10541.607-1,325.395-6.308-23.163-13-22.643-159.36-190.091-344.608-78.661-405.007-102.305-175.788-31.166
Verkoop/verval van Beleggingen 49,156.3827,861.39830,267.0433,288.1974,806.0561,271.5751,331.7645,119.3883,099.3862,055.415976.892250.973179.609476.312430.38936.25962.12422.536108.9510.329122.912102.45675.4334.25122.1792.1444.908
Overige Investeringsactiviteiten -320.346-5.041-394.021-997.8393,034.807-1,367.654-836.418-92.214469.711246.646261.135180.71522.16122.738703.797-0.067290.156-11.562-151.601-198.092-254.384-169.582126.446-144.707-141.0860.087-0.086
Kasstroom uit Investeringsactiviteiten 415.98-2,491.873-12,473.124-6,015.576-1,705.676-4,584.278-7,692.74-2,355.038-2,889.541-1,908.913-1,844.573-892.8-401.271-3,790.423-2,742.973-46.07349.846-173.5821.3-274.982-234.215-404.602-99.785-202.702-119.972-225.826-196.22
Financieringsactiviteiten:
Schuldaflossingen 3,823.4236,073.0683,835.8043,543.31958.5561,080.70110,397.9043,873.1081,690.6742,162.5031,257.5751,090.321-812.314-1,398.029839.603-456.072-35.679-160.908-252.198298.456210.341410.259252.609-502.252270.15309.37521.08
Uitgifte van Gewone Aandelen 0000002,624.7521.769905.627301.44517.235.47555.06202,046.4186.8624.3160007.150.94.5606.43900263.16
Terugkoop van Gewone Aandelen 000000000000000000000000000
Uitgekeerde Dividenden -3,603.676-3,981.205-1,552.494-1,364.203-1,250.519-1,165.257-2,357.763-1,750.204-1,443.53-1,378.186-1,251.567-1,055.396-891.226-775.317-545.64-136.712-195.952-141.839-139.198-210.202-128.432-148.313-122.867-49.671-126.515-50.443-73.005
Overige Financieringsactiviteiten -2,083.677-1,860.01211,396.681-613.478-969.266-822.336-4,416.339286.621-505.369-147.882-954.819-756.489-377.55112,557.04817.682-21.177-232.263-32.589-7.678-0-85.744-18.56-020-5.685-21.44-31.226
Kasstroom uit Financieringsactiviteiten -1,863.93231.85112,138.5941,565.628-1,261.23-2,325.7997,526.3212,314.678647.403636.435-948.811-721.565-2,026.02810,643.0572,325.445-390.312-272.084-335.335-399.07488.25489.059244.286134.24274.516137.95237.486680.01
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.157-5.58-12.44-50.323-17.628-1.60667.446-18.778-2.6410.752.764-14.61922.717-280.812-5.490.4531.423-1.4771.974-2.5191.744-0.0240.001-0.001-0.006-0.204-0.012
Netto Kasstroomverandering 4,381.4642,965.9184,396.391561.0553,860.187-889.2973,036.1412,589.67-298.11187.435-1,454.946-655.534-1,253.8078,344.2591,263.07228.205364.865-21.454187.31-116.244-81.749-159.856135.301-62.454164.192176.13200.64
Kaspositie aan het Einde van de Periode 31,881.27327,499.80924,533.89120,137.519,576.44515,716.25816,605.55513,569.41410,979.74411,277.85511,190.4212,645.36713,300.90114,554.7086,039.5731,197.735969.529607.202501.516314.206430.45512.199672.055536.755599.209435.016258.886