Pharmaron Beijing Co., Ltd. (FRA:17Q1)
Germany flag Germany · Delayed Price · Currency is EUR
2.200
-0.040 (-1.79%)
At close: Jan 28, 2026

Pharmaron Beijing Balance Sheet

Millions CNY. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Jan '23 Dec '21 Dec '20
Cash & Equivalents
1,2051,6905,9191,4973,5442,942
Short-Term Investments
-257.27179.36613.241,080-
Trading Asset Securities
1,0751,120621.98745.361,555910.01
Cash & Short-Term Investments
2,2803,0686,7202,8566,1783,852
Cash Growth
-12.25%-54.35%135.30%-53.77%60.37%-17.03%
Accounts Receivable
2,9492,8712,6362,2141,4241,210
Other Receivables
120.53126.8980.9871.1692.4333.38
Receivables
3,0692,9982,7172,2861,5161,249
Inventory
1,3961,1171,0131,041680.04281.62
Other Current Assets
1,068425.67423.68352.82269.05157.76
Total Current Assets
7,8137,60810,8746,5368,6445,540
Property, Plant & Equipment
11,57410,79810,0628,4645,8113,799
Long-Term Investments
1,211883.041,0051,008762.67401.7
Goodwill
2,9802,7612,7812,6882,0961,166
Other Intangible Assets
858.65791789.06802.53692.94566.08
Long-Term Deferred Tax Assets
250.18192.68153.2258.7915.68.44
Long-Term Deferred Charges
620.04678.5520.47496.38171.6234.27
Other Long-Term Assets
493.69191.98267.09438.91195.99193.05
Total Assets
25,80123,92726,47720,49318,38911,909
Accounts Payable
564.64477.09412.22406.35315.53191.5
Accrued Expenses
808.32853.93805.65784.92626.21472.44
Short-Term Debt
1,239764.97577.07662.77421.76377.27
Current Portion of Long-Term Debt
471.8282.34150.3474.9460.548.88
Current Portion of Leases
-149.51185.32164.0395.2983.92
Current Income Taxes Payable
218.62160.08184.55145.8781.3427.62
Current Unearned Revenue
1,119834.86740.87832.14679.62473.29
Other Current Liabilities
772.49701.23598.47841.4701.7346.87
Total Current Liabilities
5,1944,2243,6543,9122,9821,982
Long-Term Debt
4,2964,3778,2004,4544,423394.81
Long-Term Leases
381.28401.31585.2760.51284.34186.61
Long-Term Unearned Revenue
433.09409.98391.71152.38149.44158.13
Long-Term Deferred Tax Liabilities
314.56291.87290.04261.01173.3106.91
Other Long-Term Liabilities
--117.58112.0981.56146.81
Total Liabilities
10,6199,70513,2399,6538,0942,975
Common Stock
1,7781,7781,7871,191794.18794.39
Additional Paid-In Capital
4,9315,0085,2225,2546,0086,028
Retained Earnings
8,0457,2575,8184,5743,5542,131
Treasury Stock
-304.89-416.27-463.45-668.04-301.83-45.47
Comprehensive Income & Other
163.24-7.76193.72197.2674.15-38.22
Total Common Equity
14,61313,61912,55710,54910,1298,870
Minority Interest
569.14603.54681.25291.25166.0763.42
Shareholders' Equity
15,18214,22313,23810,84010,2958,934
Total Liabilities & Equity
25,80123,92726,47720,49318,38911,909
Total Debt
6,3895,9759,6986,1175,2851,051
Net Cash (Debt)
-4,109-2,908-2,977-3,260893.042,801
Net Cash Growth
-----68.12%-22.27%
Net Cash Per Share
-2.33-1.64-1.68-1.840.491.57
Filing Date Shares Outstanding
1,7631,7661,7871,7871,7871,787
Total Common Shares Outstanding
1,7631,7661,7871,7871,7871,787
Working Capital
2,6193,3847,2202,6245,6623,559
Book Value Per Share
8.297.717.035.905.674.96
Tangible Book Value
10,77410,0688,9877,0587,3407,138
Tangible Book Value Per Share
6.115.705.033.954.113.99
Buildings
-4,9213,9713,3472,4731,673
Machinery
-6,2745,1494,2652,9192,194
Construction In Progress
-2,2542,6331,6711,374820.58
Source: S&P Global Market Intelligence. Standard template. Financial Sources.