HPGC Renmintongtai Pharmaceutical Corporation

SSE:600829.SS

8.41 (CNY) • At close June 9, 2025
Overview | Financials

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Assets:
Current Assets:
Cash & Cash Equivalents 1,099.8321,314.3471,181.469800.492416.816367.205505.697443.283494.336489.421424.672158.462442.531366.893346.978323.882279.389589.967419.041334.703116.571111.021132.36187.33103.675107.04145.12931.87511.8538.9250
Short Term Investments 0000000000300000.0650.0875.8512.0010000020262520.2320.69526.50
Cash and Short Term Investments 1,099.8321,314.3471,181.469800.492416.816367.205505.697443.283494.336489.421424.672158.462442.531366.893346.978323.947279.477595.818421.043334.703116.571111.021132.36187.33123.675133.04170.12952.10532.54735.4250
Net Receivables 4,364.5164,456.2474,167.9564,225.1113,860.2193,464.9712,471.0362,861.822,880.332,121.6761,047.3491,523.7961,377.351,239.181,131.526945.311,059.803611.533524.528425.546474.975154.31146.54202.8661.89903.7912.9669.2270
Inventory 1,100.791,115.4221,074.0911,105.3481,122.9241,144.888852.548938.424761.962894.639496.362563.69638.185768.691506.013388.862434.664391.968326.962281.475215.54681.154102.385119.872132.43297.7195.134107.52572.35340.5030
Other Current Assets 121.768109.55122.8614,279.65119.083117.23594.1362,935.796124.606178.761380.19673.605359.186128.215102.65763.299113.961740.169127.038207.833158.618154.363146.543206.933284.99127.227129.817145.448125.884167.386243.623
Total Current Assets 6,686.9076,924.636,546.3786,185.495,535.8385,073.1643,923.4174,317.5034,261.2333,684.4971,986.92,319.5532,683.9382,502.4162,086.6461,721.0461,880.6521,727.9541,399.5711,249.557965.71346.538381.289414.136543.963359.877308.643308.868233.75245.365243.623
Non-Current Assets:
Property, Plant & Equipment, Net 335.85356.67367.808410.837312.429330.558346.132372.055447.406473.5561,098.1171,174.4341,146.5771,117.1431,048.489957.555879.126796.164756.345678.194582.513649.66466.161462.337454.276341.856350.913341.422378.035369.369340.416
Goodwill 00000000007.2367.6348.0958.1658.1658.1658.0547.9930000000000000
Intangible Assets 28.07926.49928.00829.28926.59126.40127.14328.7329.2629.449140.05144.446149.409158.687112.4594.50383.74562.07762.14363.71549.64980.34882.04883.7440.1681.932.2162.5812.8820.1690
Goodwill and Intangible Assets 28.07926.49928.00829.28926.59126.40127.14328.7329.2629.449147.286152.08157.504166.853120.615102.66891.79970.0762.14363.71549.64980.34882.04883.7440.1681.932.2162.5812.8820.1690
Long Term Investments 039.76940.5443.139-257.34147.483049.921000.113.9276.3850029.09220.50718.43715.24400000-19.2-25.5-21.6605.099-10.660
Tax Assets 67.44967.69464.17867.15565.23860.4954.70659.41958.5240.57643.12532.25741.48142.27533.26336.83441.6158.30500000021.65526.14725.185020.69526.50
Other Non-Current Assets 47.89611.20411.80512.08312.4299.22960.95613.7713.6614.4326.1988.81515.61315.16432.0116.3190.8689.4126.065-2.35270.5790.3030.3920.4780.2325.3827.14714.6045.8323.47123.094
Total Non-Current Assets 479.274501.835512.339562.5459.346474.16488.937523.894548.847548.0131,294.8271,381.5131,367.5591,341.4341,234.3791,132.4681,033.911952.388839.796739.559902.741730.311548.601546.56457.131349.816363.801358.607412.542388.849363.51
Total Assets 7,166.1817,426.4657,058.7176,747.995,995.1855,547.3244,412.3544,841.3984,810.084,232.513,281.7273,701.0664,051.4983,843.853,321.0252,853.5142,914.5632,680.3422,239.3671,989.1161,868.4521,076.849929.89960.6961,001.095709.693672.444667.476646.292634.214607.133
Liabilities & Equity:
Current Liabilities:
Account Payables 2,780.5972,914.0182,613.9112,478.1922,671.3952,599.312,091.3512,447.1852,484.1892,110.8992,162.045701.666115.091563.302599.703319.22414.791306.612344.281358.574186.61753.45440.3648.76781.83422.79624.04920.96632.51638.4210
Short Term Debt 839.219962.081,197.81,303.16971.911524224224110124279.647273321.28740483687.44776.836.553.347125.063165.073120.34154.233133.638102.2568.4192.8668.0430.960
Tax Payables 38.1743.33451.97147.8949.19745.34613.8432.00873.52851.13723.398101.053188.292190.65896.00149.81536.97436.50232.14640.28810.5340.1935.47228.63331.22416.35417.89213.2213.57311.5380
Deferred Revenue 0011.452570.762538.786412.07513.84376.28358.475332.228273.821354.904452.769520.5412.726359.194617.987518.385516.898445.871353.92588.5494.987113.417118.54971.3572.33973.52687.79575.9250
Other Current Liabilities 475.891601.114556.194-78.354-7.118-20.469343.762374.754307.365361.5611,158.449-44.0251,059.224681.888736.822739.674702.468822.92617.089463.838372.35795.499128.56131.211145.846115.688122.88287.99881.441109.237122.164
Total Current Liabilities 4,133.8764,520.5464,431.3274,356.8433,862.9563,560.2622,686.7933,077.9472,975.0822,647.5961,045.511,386.5991,683.8921,839.8481,515.5261,114.711,241.681,242.8341,030.016916.048694.567354.216324.732362.844392.542257.087233.234215.045195.57190.156122.164
Non-Current Liabilities:
Long Term Debt 30.36929.40938.48159.58534.45600000169.0663.3734.0476.0716.07122.427.4219.02114.69184.19133.52159.00676.10691.606136.41529.6867.57224.19636.27533.590
Deferred Revenue Non-Current 117.0870125.707130.771137.344139.823145.622151.422157.221161.64739.82600000011.150000000000000
Deferred Tax Liabilities Non-Current 3.7054.04600-34.4560000037.9880000000.6740000000000000
Other Non-Current Liabilities 0121.0880.5661.5632.584000300169.06691.04557.77462.26560.70859.77416.660.86911.30.6503.2352.885.1375.7827.7210.952.220.5240.60578.601
Total Non-Current Liabilities 151.161154.543164.754191.92139.928139.823145.622151.422187.221161.64783.21157.07161.82268.33666.77982.19424.0831.713125.99184.84133.52162.24178.98696.743142.19730.4728.52226.41536.79934.19578.601
Total Liabilities 4,285.0374,675.0894,596.0814,548.7624,002.8843,700.0852,832.4153,229.3693,162.3032,809.2441,128.7211,443.671,745.7141,908.1841,582.3051,196.9041,265.7611,274.5471,156.0061,100.888828.087516.457403.718459.587534.739287.559241.756241.46232.369224.351200.765
Equity:
Preferred Stock 0000000000000000000000000000000
Common Stock 579.889579.889579.889579.889579.889579.889579.889579.889579.889579.889579.889579.889579.889579.889386.592386.592386.592386.592386.592386.592386.592257.728257.728132.168132.168132.168132.168132.168120.153109.2399.3
Retained Earnings 2,196.7512,066.9821,779.3131,516.0691,308.5721,181.883934.223984.0861,039.935842.2231,081.3041,163.2231,162.589832.88654.331608.673640.544434.575223.651129.48579.57666.06854.50645.9127.4557.60411.69611.0323.8764.60126.566
Accumulated Other Comprehensive Income/Loss 0104.547104.496104.294104.0885.50665.83148.05427.9531.155-0-00000000000000000000
Other Total Stockholders Equity 104.5470-104.4960000000431.599469.746422.777388.52551.2496.09460.104435.996383.553243.525133.509236.595213.938323.03314.369275.426300.89282.815289.894294.532279.002
Total Shareholders Equity 2,881.1872,751.4182,463.6982,200.2511,992.5421,847.2781,579.9431,612.0281,647.7771,423.2672,092.7922,171.4622,165.2541,801.2891,592.1241,491.3561,487.241,257.163955.687759.602599.677560.392526.172501.109466.355422.134430.688426.016413.923408.363404.868
Total Equity 2,881.1442,751.3752,462.6362,199.2281,992.3011,847.2391,579.9391,612.0281,647.7771,423.2672,153.0062,257.3962,305.7831,935.6661,738.721,656.611,648.8021,405.7961,083.361888.2281,040.365560.392526.172501.109466.355422.134430.688426.016413.923409.863406.368
Total Liabilities & Shareholders Equity 7,166.1817,426.4657,058.7176,747.995,995.1855,547.3244,412.3544,841.3984,810.084,232.513,281.7273,701.0664,051.4983,843.853,321.0252,853.5142,914.5632,680.3422,239.3671,989.1161,868.4521,076.849929.89960.6961,001.095709.693672.444667.476646.292634.214607.133