Guangzhou Baiyunshan Pharmaceutical Holdings Company Limited (FRA:GU5)
Germany flag Germany · Delayed Price · Currency is EUR
1.990
-0.030 (-1.49%)
At close: Jan 23, 2026

FRA:GU5 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 Dec '22 Dec '21 Dec '20
Cash & Equivalents
13,70818,27321,30922,50022,37719,470
Short-Term Investments
4,6244,446729.162,117-50
Trading Asset Securities
--456.87-4
Cash & Short-Term Investments
18,33222,71922,04224,67322,37719,524
Cash Growth
4.91%3.07%-10.66%10.26%14.61%5.47%
Accounts Receivable
23,67819,45619,59819,16817,21115,689
Other Receivables
1,327993.65882.35920.511,276765.71
Receivables
25,00520,44920,48020,08818,48616,455
Inventory
11,08112,81211,50710,67210,4389,765
Other Current Assets
6,0181,7821,9551,6311,5101,653
Total Current Assets
60,43657,76255,98457,06452,81147,397
Property, Plant & Equipment
8,1817,9397,5166,5705,6845,101
Long-Term Investments
8,79810,1469,4525,8972,8912,751
Goodwill
834.09830.85829.47829.47829.47825.57
Other Intangible Assets
2,7972,8292,8862,5852,5822,444
Long-Term Deferred Tax Assets
1,2011,2101,164865.34794.23751.72
Long-Term Deferred Charges
566558.49499.77407.47143.05118.04
Other Long-Term Assets
357.09407.77256.22446.54382.46372.43
Total Assets
83,16981,68478,58774,66566,11859,760
Accounts Payable
17,58716,32015,68614,96114,73314,159
Accrued Expenses
931.283,6733,6513,4843,4782,888
Short-Term Debt
10,2199,1237,7999,1468,4288,266
Current Portion of Long-Term Debt
2,1721,33236.45498.5830.03-
Current Portion of Leases
-190.57213.38208.15215.77236.11
Current Income Taxes Payable
616.46118.4249.26237143.41238.38
Current Unearned Revenue
865.785,0725,4305,6442,7401,249
Other Current Liabilities
5,3483,0883,1703,2162,4852,207
Total Current Liabilities
37,73938,91636,23537,39532,25429,243
Long-Term Debt
3,3122,8063,3241,639752.81497.55
Long-Term Leases
395.98445.72578.19545.84497.7561.82
Long-Term Unearned Revenue
1,0021,0021,001930.93826.86784.07
Pension & Post-Retirement Benefits
0.30.30.290.320.30.3
Long-Term Deferred Tax Liabilities
618.98625.56639.53394.59331.73286.36
Other Long-Term Liabilities
116.87119.31130.6121.45127.87181.45
Total Liabilities
43,18543,91441,90941,02734,79131,555
Common Stock
1,6261,6261,6261,6261,6261,626
Additional Paid-In Capital
10,11310,11410,10610,1069,9579,885
Retained Earnings
26,18824,17923,21220,34717,49714,652
Comprehensive Income & Other
-20.61-13.84-24.34-12.9-17.48-17.67
Total Common Equity
37,90635,90534,91932,06529,06226,145
Minority Interest
2,0781,8651,7591,5732,2642,060
Shareholders' Equity
39,98437,77036,67833,63831,32728,205
Total Liabilities & Equity
83,16981,68478,58774,66566,11859,760
Total Debt
16,09913,89711,95112,0389,9249,561
Net Cash (Debt)
2,2348,82310,09112,63512,4539,963
Net Cash Growth
-35.51%-12.57%-20.14%1.47%24.99%-16.00%
Net Cash Per Share
1.375.436.217.777.666.13
Filing Date Shares Outstanding
1,6261,6261,6261,6261,6261,626
Total Common Shares Outstanding
1,6261,6261,6261,6261,6261,626
Working Capital
22,69718,84719,74819,66920,55718,153
Book Value Per Share
23.3222.0821.4819.7217.8816.08
Tangible Book Value
34,27532,24531,20328,65125,65022,876
Tangible Book Value Per Share
21.0819.8319.1917.6215.7814.07
Buildings
-5,2134,3283,6303,3173,105
Machinery
-5,1064,4164,0253,5823,103
Construction In Progress
-1,8462,4052,1081,5641,276
Source: S&P Global Market Intelligence. Standard template. Financial Sources.