Dizal (Jiangsu) Pharmaceutical Co., Ltd. (SHA:688192)
China flag China · Delayed Price · Currency is CNY
53.00
-0.82 (-1.52%)
At close: Feb 6, 2026

SHA:688192 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
1,015250.1674.2121.67364.24509.02
Trading Asset Securities
911.55589.836741,2951,71190.29
Cash & Short-Term Investments
1,926839.99748.21,4162,075599.31
Cash Growth
138.32%12.27%-47.18%-31.74%246.26%173.25%
Accounts Receivable
127.127.4948.04-7.556.9
Receivables
127.127.4948.04-7.556.9
Inventory
38.5444.1123.475.07--
Other Current Assets
35.2587.3790.6551.6429.5718.86
Total Current Assets
2,127998.97910.361,4732,112625.07
Property, Plant & Equipment
375.27243.91102.26103.66104.4815.19
Other Intangible Assets
404.71429.85461.98492.02474.9506.25
Long-Term Deferred Charges
3.898.6216.997.994.543.53
Other Long-Term Assets
44.2837.384.795.0649.5131.98
Total Assets
2,9551,7191,4962,0822,7461,182
Accounts Payable
197.720.3918.578.811.651.06
Accrued Expenses
107.25245.07182.18208.53182.7594.26
Short-Term Debt
247.86373.83200.11---
Current Portion of Long-Term Debt
177.9641.270.1---
Current Portion of Leases
-23.5322.9521.3416.84-
Current Income Taxes Payable
12.46-0.050-0.01
Current Unearned Revenue
6.542.930.98---
Other Current Liabilities
112.1578.0623.499.8210.767.79
Total Current Liabilities
861.92785.08448.44248.49211.99103.11
Long-Term Debt
612.36683.76138.31---
Long-Term Leases
23.9734.9948.8963.9370.92-
Long-Term Unearned Revenue
13.3714.8412.1111--
Total Liabilities
1,5121,519647.75323.43282.91103.11
Common Stock
459.41417.65408.15407.16404.18360
Additional Paid-In Capital
4,9203,1362,9542,7572,729718.88
Retained Earnings
-3,939-3,360-2,514-1,406-669.850.03
Total Common Equity
1,440193.76848.631,7582,4631,079
Minority Interest
3.36.3----
Shareholders' Equity
1,444200.06848.631,7582,4631,079
Total Liabilities & Equity
2,9551,7191,4962,0822,7461,182
Total Debt
1,0621,157410.3785.2787.76-
Net Cash (Debt)
864.17-317.39337.831,3311,987599.31
Net Cash Growth
---74.62%-33.02%231.62%173.25%
Net Cash Per Share
1.99-0.770.833.295.521.67
Filing Date Shares Outstanding
459.41417.65408.15407.16404.18360
Total Common Shares Outstanding
459.41417.65408.15407.16404.18360
Working Capital
1,265213.89461.931,2251,900521.97
Book Value Per Share
3.140.462.084.326.093.00
Tangible Book Value
1,036-236.09386.651,2661,988572.66
Tangible Book Value Per Share
2.25-0.570.953.114.921.59
Machinery
-55.4349.1431.9926.9123.59
Construction In Progress
-169.7213.358.855.040.15
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.