Huadong Medicine Co., Ltd (SHE:000963)
China flag China · Delayed Price · Currency is CNY
36.28
+0.39 (1.09%)
Feb 3, 2026, 3:04 PM CST

Huadong Medicine 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 Jan '22 Dec '20
Cash & Equivalents
4,3755,2764,6633,9964,0323,198
Cash & Short-Term Investments
4,3755,2764,6633,9964,0323,198
Cash Growth
-7.68%13.15%16.69%-0.90%26.09%33.10%
Accounts Receivable
11,77910,1148,8968,2106,9406,966
Other Receivables
782.16402.87291.14284.18223.9287.63
Receivables
12,56110,5179,1888,4947,1647,054
Inventory
5,2004,7764,2904,4953,9754,068
Prepaid Expenses
-0.0915.07---
Other Current Assets
583.79482.3340.46582.21316.04336.21
Total Current Assets
22,72121,05218,49717,56815,48714,656
Property, Plant & Equipment
5,4805,4095,2045,0214,8134,661
Long-Term Investments
2,1282,1472,1012,0201,2431,076
Goodwill
2,9352,9132,5992,4412,1391,470
Other Intangible Assets
3,7353,6452,3342,2802,2331,463
Long-Term Deferred Tax Assets
256.99221.85187.81152.84143.65137.83
Long-Term Deferred Charges
1,3441,0561,013657.8112.438.81
Other Long-Term Assets
1,3301,4361,5741,051925.63729.86
Total Assets
39,92937,87933,50931,19226,99624,201
Accounts Payable
8,7707,0446,1025,9024,5204,501
Accrued Expenses
238.4650.63554.92518.92920.63528.8
Short-Term Debt
1,7712,6651,1971,3371,6271,808
Current Portion of Long-Term Debt
107.51212.4180.9236.9174.1840.05
Current Portion of Leases
-67.381.9875.2966.86-
Current Income Taxes Payable
400.75370.26259.27154.95261.24166.43
Current Unearned Revenue
117.2174.72136.85147.64119.4995.34
Other Current Liabilities
3,1712,6102,3891,9791,5761,494
Total Current Liabilities
14,57613,79410,80310,1539,2668,634
Long-Term Debt
298.8714.26520.761,051139.18151.61
Long-Term Leases
100.8971.8656.784.6180.89-
Long-Term Unearned Revenue
200.61183.86171.06126.1283.5281.63
Long-Term Deferred Tax Liabilities
196.7197.38184.37202.08184.9188.74
Other Long-Term Liabilities
58.9853.7191.61398.67300.9966.28
Total Liabilities
15,43214,31511,92712,01610,0559,022
Common Stock
1,7541,7541,7541,7541,7501,750
Additional Paid-In Capital
2,4182,5512,4462,3782,2302,158
Retained Earnings
19,96918,85216,97214,63912,64710,714
Treasury Stock
-40.77-46.8-84.52-104.65--
Comprehensive Income & Other
32.76-50.6-40.34-88.55-47.77-2.19
Total Common Equity
24,13323,06021,04818,57816,57914,620
Minority Interest
363.45503.7534.65598.52361.94559.59
Shareholders' Equity
24,49623,56421,58219,17616,94115,179
Total Liabilities & Equity
39,92937,87933,50931,19226,99624,201
Total Debt
2,2793,0311,9382,5862,0891,999
Net Cash (Debt)
2,0972,2462,7261,4111,9441,199
Net Cash Growth
-11.56%-17.61%93.21%-27.43%62.16%267.04%
Net Cash Per Share
1.191.281.560.811.110.69
Filing Date Shares Outstanding
1,7301,7591,7521,7501,7501,750
Total Common Shares Outstanding
1,7301,7591,7521,7501,7501,750
Working Capital
8,1447,2587,6947,4156,2216,022
Book Value Per Share
13.9513.1112.0110.629.478.36
Tangible Book Value
17,46316,50216,11513,85612,20711,687
Tangible Book Value Per Share
10.099.389.207.926.986.68
Buildings
-2,4832,2991,8651,5031,228
Machinery
-5,0104,4384,2823,3852,817
Construction In Progress
-836.74913.15873.161,5822,240
Source: S&P Global Market Intelligence. Standard template. Financial Sources.