Huadong Medicine Co., Ltd (SHE:000963)
China flag China · Delayed Price · Currency is CNY
33.75
-0.46 (-1.34%)
Apr 28, 2026, 3:04 PM CST

Huadong Medicine Balance Sheet

Millions CNY. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Jan '23 Jan '22
Cash & Equivalents
3,7354,9785,2764,6633,9964,032
Short-Term Investments
-75.46----
Cash & Short-Term Investments
3,7355,0545,2764,6633,9964,032
Cash Growth
0.62%-4.23%13.15%16.69%-0.90%26.09%
Accounts Receivable
11,4099,45210,1148,8968,2106,940
Other Receivables
609.9518.44402.96291.14284.18223.92
Receivables
12,0199,97110,5179,1888,4947,164
Inventory
5,3285,5364,7764,2904,4953,975
Prepaid Expenses
---15.07--
Other Current Assets
722.9667.24482.3340.46582.21316.04
Total Current Assets
21,80421,22721,05218,49717,56815,487
Property, Plant & Equipment
5,4805,4735,4095,2045,0214,813
Long-Term Investments
2,3122,1902,1472,1012,0201,243
Goodwill
2,8482,8602,9132,5992,4412,139
Other Intangible Assets
3,9223,8503,6452,3342,2802,233
Long-Term Deferred Tax Assets
385.08385.08221.85187.81152.84143.65
Long-Term Deferred Charges
1,9621,7771,0561,013657.8112.43
Other Long-Term Assets
1,1951,2761,4361,5741,051925.63
Total Assets
39,90839,03837,87933,50931,19226,996
Accounts Payable
7,6107,9707,0446,1025,9024,520
Accrued Expenses
237.14559.53650.63554.92518.92920.63
Short-Term Debt
1,7151,6752,6651,1971,3371,627
Current Portion of Long-Term Debt
82.9837.1212.4180.9236.9174.18
Current Portion of Leases
-69.1967.381.9875.2966.86
Current Income Taxes Payable
553.76365.9370.26259.27154.95261.24
Current Unearned Revenue
232.36189.35174.72136.85147.64119.49
Other Current Liabilities
2,6032,2252,6102,3891,9791,576
Total Current Liabilities
13,03313,09113,79410,80310,1539,266
Long-Term Debt
251.62252.0314.26520.761,051139.18
Long-Term Leases
111.0688.8171.8656.784.6180.89
Long-Term Unearned Revenue
187.36190.94183.86171.06126.1283.52
Long-Term Deferred Tax Liabilities
217.24223.96197.38184.37202.08184.91
Other Long-Term Liabilities
19.9220.6253.7191.61398.67300.99
Total Liabilities
13,82013,86714,31511,92712,01610,055
Common Stock
1,7541,7541,7541,7541,7541,750
Additional Paid-In Capital
2,4172,4162,5512,4462,3782,230
Retained Earnings
21,63820,63518,85216,97214,63912,647
Treasury Stock
---46.8-84.52-104.65-
Comprehensive Income & Other
-74.845.77-50.6-40.34-88.55-47.77
Total Common Equity
25,73324,81123,06021,04818,57816,579
Minority Interest
354.64359.67503.7534.65598.52361.94
Shareholders' Equity
26,08825,17123,56421,58219,17616,941
Total Liabilities & Equity
39,90839,03837,87933,50931,19226,996
Total Debt
2,1602,1223,0311,9382,5862,089
Net Cash (Debt)
1,5752,9312,2462,7261,4111,944
Net Cash Growth
50.78%30.53%-17.61%93.21%-27.43%62.16%
Net Cash Per Share
0.901.671.281.560.811.11
Filing Date Shares Outstanding
1,7541,7541,7591,7521,7501,750
Total Common Shares Outstanding
1,7541,7541,7591,7521,7501,750
Working Capital
8,7718,1377,2587,6947,4156,221
Book Value Per Share
14.6714.1513.1112.0110.629.47
Tangible Book Value
18,96318,10216,50216,11513,85612,207
Tangible Book Value Per Share
10.8110.329.389.207.926.98
Buildings
-2,6102,4832,2991,8651,503
Machinery
-5,3555,0104,4384,2823,385
Construction In Progress
-832.43836.74913.15873.161,582
Source: S&P Global Market Intelligence. Standard template. Financial Sources.