Jinghua Pharmaceutical Group Co., Ltd.

SZSE:002349.SZ

8.74 (CNY) • At close October 26, 2023
Overview | Financials

Numbers are in millions (except for per share data and ratios) CNY.

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Operating Activities:
Net Income 64.35471.0852.34840.74266.93687.67122.91838.79463.22766.85532.30122.62449.156.6789.343-2.06449.76953.945-180.709-341.45960.93667.61457.48445.04767.04260.09345.17533.82564.36931.95152.43531.76439.02441.80729.56917.1317.86913.5139.7078.36811.01510.3783.1545.82810.40816.2076.0676.52611.24425.3996.3765.87210.99224.8618.61914.9910.5488.4834.39213.58626.763-12.3013.936
Depreciation & Amortization 19.53519.53518.79-42.94619.32719.32717.15517.15527.11827.11825.99724.79127.20227.20283.994-40.22240.222081.371-39.41139.411078.418-66.30866.308063.842-27.21727.217059.808-29.09329.093045.724-21.33321.333039.644-19.20619.206025.184-15.47715.477017.248-7.765000000000000000
Deferred Income Tax 000000000000000000000000000000000000000000000000000000000000000
Stock Based Compensation 000000000000000000000000000000000000000000000000000000000000000
Change In Working Capital 00-34.43358.968-58.968097.35332.803-32.8030-25.964-42.18442.184051.0289.261-9.261064.334125.609-125.6090-225.615131.477-131.4770-374.888184.761-184.7610141.493-86.15286.1520-205.699-1.7611.7610-7.45-13.57213.5720-140.167106.616-106.6160-28.06929.477000000000000000
Accounts Receivables 00-40.56454.048-54.0480125.17615.56-15.5609.28-56.55256.55202.32452.739-52.739028.86395.452-95.4520-194.79742.597-42.5970-203.239105.308-105.3080217.542-83.3483.340-174.254-16.2816.28030.105-23.08923.0890-81.89254.682-54.6820-24.37420.049000000000000000
Change In Inventory 0011.184.92-4.920-27.82317.243-17.2430-31.09414.369-14.369046.322-43.47743.4770-6.17230.157-30.1570-22.93888.88-88.880-126.99679.453-79.4530-75.098-2.8122.8120-28.59714.556-14.5560-37.5729.517-9.5170-59.49151.934-51.9340-3.6959.428000000000000000
Change In Accounts Payables 000000-29.53100000000000000000000000000000000000000000000000000000000
Other Working Capital 00-5.04900029.531000-4.1490002.38300041.643000-7.88000-44.652000-0.951000-2.848-0.0370.03700.0170001.21600000000000000000000
Other Non Cash Items 27.998-40.11262.73839.41577.787-19.327-114.508-49.9585.685-17.819-32.301-22.624-49.1-56.678-9.3432.064-49.769-53.945180.709341.459-60.936-67.614-57.484-45.047-67.042-60.093-45.175-33.825-64.369-31.951-52.435-31.764-39.024-41.807-29.569-17.13-17.869-13.513-9.707-8.368-11.015-10.378-3.154-5.828-10.408-16.207-6.067-6.526-11.244-25.399-6.376-5.872-10.992-24.861-8.619-14.99-10.548-8.483-4.392-13.586-26.76312.301-3.936
Operating Cash Flow 72.81730.96899.44396.179105.08187.67122.91838.79463.22749.03777.09344.414116.67767.386125.22579.8474.95648.19777.09141.79459.776.72755.79817.28525.38-15.03433.48254.03137.095-58.68664.14888.56377.259113.831-94.54.0054.649.8433.60816.48217.1558.154-17.022-7.584-28.325-2.00916.3155.7130021.540018.70922.5385.1299.7523.6413.0960.57419.52201.047
Investing Activities:
Investments In Property Plant And Equipment -8.695-14.172-6.554-8.068-6.038-7.715-21.94-14.613-9.207-15.825-35.761-13.349-7.574-23.863-37.597-28.856-22.972-29.039-71.204-112.217-34.199-37.727-46.461-75.372-14.772-23.642-97.606-205.229-37.252-101.087-119.431-52.414-58.554-14.702-22.72-18.776-2.938-20.263-11.79-6.872-7.63-26.123-7.565-14.204-16.266-19.586-30.677-42.66-61.914-55.008-53.499-21.419-4.247-21.722-2.467-10.071-21.885-1.47-3.095-0.575-0.466-0.267-1.037
Acquisitions Net 000.1780.030.0020.05371.4560000.83513.3497.59526.0280.7220000000-5.31506.459-6.4590000-23.17700019.5930002.8170000000-3.30000000000000000
Purchases Of Investments -180-60-292-110-175-50-72-107-200-152-145-107-135-130000000000023.709000021.837-49.13700-294.18500-62.9730000000000000000000000000
Sales Maturities Of Investments 31510280106.6370.01852.159115.752187.689194.426132.029223.453138.1927.8938.1783.2523.662044.822-1.953013.9153.0222.487000.1380000000000000000000000000000000000000
Other Investing Activites -0.2151.479-0.012-0.064-0.024-0.045-0.22300.0280.0161.678-58.34937.426-23.863-57.7851.1030.019-0.017-2.184-2.7980.002-05.1120.0280.77-23.642-0.340.3550.188-101.087-19.889-0.03-21.8230.00137.041-0.0516.058-20.26325.95-157.0727.87317.951-15.03311.1880.0050.06-0.003-18.814-55.00816.8160.08614.5010.0050.2080.025-21.885-1.47-3.095-0.575-0.466-0.267-1.037
Investing Cash Flow 126.09-62.693-18.388-11.464-181.042-5.54893.04466.076-14.753-35.7844.369-27.157-89.6643.481-92.13-24.091-22.95315.766-75.342-115.015-20.282-34.706-38.862-75.343-14.002-29.895-97.946-204.873-37.064-101.087-117.483-101.581-80.377-14.701-279.864-18.8273.119-83.23616.976-21.872-0.559-18.2510.386-29.237-5.078-19.581-33.918-42.663-80.728-55.008-36.682-21.33310.254-21.717-2.259-10.046-21.885-1.47-3.095-0.575-0.466-0.267-1.037
Financing Activities:
Debt Repayment 00-0.1-1100-16.54-43.39-69.55-67.5-19.234-86-34.5-56-16.8-123.2-120-91.5-105.424-114-80.5-35-1.5-11.5-67.5-6-19.923-20-50-20-80-62-100-280-70-103-29-300-45-600-15-32.8-25.7-7.8000000000-250-35-5-25-29.499
Common Stock Issued 000000000000000000000000000000000000000000000000000000000000000
Common Stock Repurchased 00000000000000-1.50200000-4.900000000000-4000000000000000000000000000000
Dividends Paid -94.056-0.208-26.676-0.186-92.24-0.233-22.113-2.915-70.958-2.237-22.876-9.044-54.987-3.347-1.444-4.331-8.417-5.762-2.566-6.774-46.406-5.26-3.929-3.761-46.427-3.258-3.963-0.79-0.693-63.688-0.342-0.311-0.819-29.345-1.145-0.249-27.212-1.308-1.412-0.666-11.074-1.019-3.971-0.787-15.672-0.392-0.602-1.84900000-800-8-0.042-5.419-5.156-5.665-10.066-0.994
Other Financing Activities -94.146-0.35264.97122-11-043.35844.519.3645.5053618.539.7387.623323.58892.0182890.7266076.9218.5110.764-32.265.5094.84324248.92396.608-8.59018.98664207.4669.4999.8966787.713-27.9070.03137.96982.992203035-0.0510.85000.2000-0.679-0.18-0.069373.2832025.31252030
Financing Cash Flow -89.146-0.352-1.50110.814-103.24-0.2334.705-1.805-121.208-63.7373.395-59.044-70.957-49.609-10.621196.057-36.399-69.262-17.264-60.774-50.006178.255.335-47.462-48.427-9.25870.957221.2148.2332.92-16.932-0.311-43.832-65.345178.3219.249-87.322-38.308757.302-30.666-11.043-8.0519.02119.213-0.6721.808-26.3521.201000.200-8-0.679-0.18-8.069348.24114.581-14.844-5.665-15.066-0.492
Other Information:
Effect Of Forex Changes On Cash 0.4870.876-0.9210.0514.706-1.838-3.0434.6582.827-0.344-0.960.193-0.7080.359-2.993-3.383-0.0370.814-1.3711.3021.217-0.947-0.9161.5411.394-0.6990.008-0.819-0.51-0.258-0.0630.1630.154-0.067-0.0280.657-0.2320.2320.009-0.0380.031-0.0110.053-0.079-0.094-0.064-0.2130.0090.032-0-0.001-0.001-0.001-0.0010.261-0.2650-0-00-00-0.011
Net Change In Cash 106.737-33.4578.93295.579-174.494-12.938205.724173.746-39.617-50.825123.897-41.593-44.65221.61719.482248.42315.567-4.484-16.887-32.693-9.301149.32421.356-103.978-35.655-54.8876.50269.54747.751-127.111-70.33-13.167-46.79633.718-196.071-4.915-79.794-111.469777.895-36.0945.585-18.15812.439-17.688-34.169-19.845-44.167-35.741-93.4482.392-14.943-33.70823.823-11.0119.862-5.362-20.203350.41214.581-14.84413.391-8.054-0.492
Cash At End Of Period 995.046888.309921.759835.567739.988914.482927.42721.695547.949587.567638.391514.494556.087600.739579.122559.64311.217295.65300.135317.022349.714359.015209.692188.336292.314327.969382.855376.354306.806259.056376.167446.496459.663506.459472.74668.812673.727753.521864.9987.095123.19117.605135.461123.022140.709174.879194.724238.891274.632368.08365.959380.902414.61390.787401.797381.934387.297407.49957.087-3.7130.06216.67124.726