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HK Stock MarketDetailed Quotes

01558 HEC CJ PHARM

Watchlist
6.700 +0.060+0.90%
Market Closed 09/22 16:08 CST
6.700High6.520Low305.00KVolume

HEC CJ PHARM Key Stats

All
YOY
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(Q6)2023/06/30
(FY)2022/12/31
(Q6)2022/06/30
(FY)2021/12/31
(Q9)2021/09/30
(Q6)2021/06/30
(Q3)2021/03/31
(FY)2020/12/31
(Q6)2020/06/30
(FY)2019/12/31
Assets
Current assets
Inventory
12.12%353.55M
12.63%315.03M
-19.58%315.32M
-26.06%279.7M
----
21.56%392.08M
----
96.69%378.27M
95.44%322.53M
17.06%192.32M
Accounts receivable
42.16%1.15B
89.64%1.04B
105.56%805.73M
-8.83%546.79M
----
-62.28%391.98M
----
-74.58%599.76M
-43.27%1.04B
129.65%2.36B
Advance deposits and other receivables
-8.18%68.87M
664.31%59.43M
156.98%75M
-60.98%7.78M
----
--29.18M
----
--19.93M
----
----
Cash and equivalents
340.18%3.78B
-18.35%923.54M
-35.29%859.1M
-44.69%1.13B
----
-60.32%1.33B
----
-26.42%2.04B
17.10%3.35B
368.07%2.78B
Secured deposit
752.15%1.25B
-16.54%76.78M
8.89%146.14M
-58.41%91.99M
----
--134.21M
----
--221.19M
----
----
Financial assets at fair value-current assets
--19.12M
--290M
----
----
----
----
----
----
----
----
Special items of current assets
----
--2.31B
----
----
----
----
----
----
----
----
Total current assets
200.46%6.61B
143.71%5.01B
-3.24%2.2B
-36.97%2.06B
----
-51.67%2.28B
----
-38.77%3.26B
-9.71%4.71B
198.58%5.33B
Non-current assets
Fixed assets
----
----
----
----
----
40.49%3.01B
----
40.00%2.84B
--2.14B
68.99%2.03B
Property, plant and equipment
11.14%3.22B
10.87%3.17B
--2.89B
--2.86B
----
----
----
----
----
----
Advance payment
17.15%221.69M
356.24%295.76M
-46.83%189.24M
-89.80%64.83M
----
-75.32%355.89M
----
-59.17%635.32M
-1.80%1.44B
90.36%1.56B
Financial assets at fair value-non-current assets
-99.31%12.35M
----
--1.79B
--1.79B
----
----
----
----
----
----
Intangible assets
-9.00%2.92B
-10.74%2.92B
4.43%3.2B
20.76%3.27B
----
85.21%3.07B
----
227.13%2.71B
120.23%1.66B
66.12%828.3M
Goodwill
----
----
0.00%75.9M
0.00%75.9M
----
0.00%75.9M
----
0.00%75.9M
0.00%75.9M
0.00%75.9M
Deferred tax assets
12.58%120.07M
115.27%140.61M
-14.96%106.65M
60.70%65.32M
----
-3.98%125.42M
----
-57.56%40.65M
98.63%130.62M
198.43%95.76M
Special items of non-current assets
-2.43%344.85M
-2.40%349.15M
--353.45M
--357.75M
----
----
----
----
--302.18M
----
Total non-current assets
-20.69%6.83B
-18.96%6.88B
29.73%8.61B
34.73%8.48B
----
15.41%6.64B
----
37.44%6.3B
46.85%5.75B
65.07%4.58B
Total assets
24.33%13.44B
12.79%11.89B
21.32%10.81B
10.25%10.54B
--10.07B
-14.78%8.91B
--8.91B
-3.54%9.56B
14.55%10.46B
117.33%9.91B
Liabilities
Current liabilities
Accounts payable
50.47%1.51B
88.47%1.72B
-4.51%1B
-27.61%911.68M
----
-47.00%1.05B
----
-33.30%1.26B
33.14%1.98B
179.22%1.89B
Tax payable
--124.42M
-95.63%8.67M
----
871.84%198.63M
----
----
----
-86.82%20.44M
-67.24%35.53M
119.40%155.06M
Bank loans and overdrafts
37.21%3.97B
6,357.30%3.13B
22,043.85%2.9B
-98.28%48.48M
----
-96.34%13.08M
----
2,026.34%2.82B
0.30%357.3M
148.43%132.66M
Deferred income-current liabilities
3.81%8.2M
87.14%8.2M
-2.96%7.89M
0.00%4.38M
----
85.77%8.14M
----
0.00%4.38M
0.00%4.38M
0.00%4.38M
Special items of current liabilities
-35.50%43.24M
0.64%75.39M
102.20%67.03M
33.39%74.9M
----
-38.59%33.15M
----
-57.24%56.15M
251.36%53.99M
1,522.33%131.33M
Total current liabilities
42.40%5.66B
299.07%4.94B
259.65%3.97B
-70.25%1.24B
----
-54.59%1.1B
----
80.01%4.16B
23.32%2.43B
184.41%2.31B
Net current assets
153.96%956.11M
-91.06%73.24M
-251.41%-1.77B
191.33%819.31M
----
-48.55%1.17B
----
-129.71%-897.1M
-29.82%2.27B
210.42%3.02B
Total assets less current liabilities
13.83%7.79B
-25.31%6.95B
-12.40%6.84B
72.29%9.3B
--10.07B
-2.72%7.81B
--8.91B
-28.95%5.4B
12.14%8.03B
102.79%7.6B
Non-current liabilities
Long-term bank loan
-23.39%507.08M
-78.01%691.53M
-78.46%661.91M
1,556.56%3.15B
----
4.14%3.07B
----
-93.46%189.85M
4.41%2.95B
--2.9B
Deferred income-non-current liabilities
-2.53%185.39M
36.13%187.49M
36.21%190.21M
29.27%137.73M
----
35.92%139.65M
----
42.18%106.54M
53.18%102.74M
8.27%74.94M
Total non-current liabilities
-18.73%692.48M
-73.22%879.02M
-73.47%852.12M
1,007.56%3.28B
----
5.21%3.21B
----
-90.05%296.4M
5.55%3.05B
4,201.93%2.98B
Total liabilities
31.60%6.35B
28.73%5.82B
11.78%4.83B
1.42%4.52B
----
-21.31%4.32B
----
-15.72%4.46B
12.75%5.49B
499.67%5.29B
Total assets less total liabilities
18.46%7.09B
0.82%6.07B
30.27%5.99B
17.97%6.02B
--10.07B
-7.58%4.6B
--8.91B
10.39%5.1B
16.61%4.97B
25.67%4.62B
Total equity and non-current liabilities
13.83%7.79B
-25.31%6.95B
-12.40%6.84B
72.29%9.3B
----
-2.72%7.81B
----
-28.95%5.4B
12.14%8.03B
102.79%7.6B
Equity
Share capital
0.00%879.97M
0.00%879.97M
0.00%879.97M
0.00%879.97M
----
0.00%879.97M
----
96.06%879.97M
94.67%879.97M
-0.71%448.82M
Reserve
23.26%6.03B
1.55%5B
39.71%4.9B
22.87%4.93B
----
-9.69%3.5B
----
-2.21%4.01B
4.42%3.88B
37.56%4.1B
Legal reserve
23.26%6.03B
1.55%5B
39.71%4.9B
22.87%4.93B
----
-9.69%3.5B
----
-2.21%4.01B
4.42%3.88B
37.56%4.1B
Special items of shareholders' rights and interests
----
----
----
----
----
----
----
----
----
---142.21M
Shareholders' Equity
19.72%6.91B
1.32%5.88B
31.74%5.78B
18.75%5.81B
----
-7.90%4.38B
----
10.95%4.89B
17.17%4.76B
28.38%4.41B
Non-controlling interest
-15.63%179.55M
-12.88%185.12M
0.10%212.82M
-0.04%212.48M
----
-0.57%212.61M
----
-0.95%212.56M
5.24%213.83M
-12.40%214.6M
Total equity
18.46%7.09B
0.82%6.07B
30.27%5.99B
17.97%6.02B
----
-7.58%4.6B
----
10.39%5.1B
16.61%4.97B
25.67%4.62B
Total equity and total liabilities
24.33%13.44B
12.79%11.89B
21.32%10.81B
10.25%10.54B
----
-14.78%8.91B
----
-3.54%9.56B
14.55%10.46B
117.33%9.91B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
IAS
IAS
IAS
CAS (2007)
IAS
CAS (2007)
IAS
IAS
IAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
--
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
(Q6)2023/06/30(FY)2022/12/31(Q6)2022/06/30(FY)2021/12/31(Q9)2021/09/30(Q6)2021/06/30(Q3)2021/03/31(FY)2020/12/31(Q6)2020/06/30(FY)2019/12/31
Assets
Current assets
Inventory 12.12%353.55M12.63%315.03M-19.58%315.32M-26.06%279.7M----21.56%392.08M----96.69%378.27M95.44%322.53M17.06%192.32M
Accounts receivable 42.16%1.15B89.64%1.04B105.56%805.73M-8.83%546.79M-----62.28%391.98M-----74.58%599.76M-43.27%1.04B129.65%2.36B
Advance deposits and other receivables -8.18%68.87M664.31%59.43M156.98%75M-60.98%7.78M------29.18M------19.93M--------
Cash and equivalents 340.18%3.78B-18.35%923.54M-35.29%859.1M-44.69%1.13B-----60.32%1.33B-----26.42%2.04B17.10%3.35B368.07%2.78B
Secured deposit 752.15%1.25B-16.54%76.78M8.89%146.14M-58.41%91.99M------134.21M------221.19M--------
Financial assets at fair value-current assets --19.12M--290M--------------------------------
Special items of current assets ------2.31B--------------------------------
Total current assets 200.46%6.61B143.71%5.01B-3.24%2.2B-36.97%2.06B-----51.67%2.28B-----38.77%3.26B-9.71%4.71B198.58%5.33B
Non-current assets
Fixed assets --------------------40.49%3.01B----40.00%2.84B--2.14B68.99%2.03B
Property, plant and equipment 11.14%3.22B10.87%3.17B--2.89B--2.86B------------------------
Advance payment 17.15%221.69M356.24%295.76M-46.83%189.24M-89.80%64.83M-----75.32%355.89M-----59.17%635.32M-1.80%1.44B90.36%1.56B
Financial assets at fair value-non-current assets -99.31%12.35M------1.79B--1.79B------------------------
Intangible assets -9.00%2.92B-10.74%2.92B4.43%3.2B20.76%3.27B----85.21%3.07B----227.13%2.71B120.23%1.66B66.12%828.3M
Goodwill --------0.00%75.9M0.00%75.9M----0.00%75.9M----0.00%75.9M0.00%75.9M0.00%75.9M
Deferred tax assets 12.58%120.07M115.27%140.61M-14.96%106.65M60.70%65.32M-----3.98%125.42M-----57.56%40.65M98.63%130.62M198.43%95.76M
Special items of non-current assets -2.43%344.85M-2.40%349.15M--353.45M--357.75M------------------302.18M----
Total non-current assets -20.69%6.83B-18.96%6.88B29.73%8.61B34.73%8.48B----15.41%6.64B----37.44%6.3B46.85%5.75B65.07%4.58B
Total assets 24.33%13.44B12.79%11.89B21.32%10.81B10.25%10.54B--10.07B-14.78%8.91B--8.91B-3.54%9.56B14.55%10.46B117.33%9.91B
Liabilities
Current liabilities
Accounts payable 50.47%1.51B88.47%1.72B-4.51%1B-27.61%911.68M-----47.00%1.05B-----33.30%1.26B33.14%1.98B179.22%1.89B
Tax payable --124.42M-95.63%8.67M----871.84%198.63M-------------86.82%20.44M-67.24%35.53M119.40%155.06M
Bank loans and overdrafts 37.21%3.97B6,357.30%3.13B22,043.85%2.9B-98.28%48.48M-----96.34%13.08M----2,026.34%2.82B0.30%357.3M148.43%132.66M
Deferred income-current liabilities 3.81%8.2M87.14%8.2M-2.96%7.89M0.00%4.38M----85.77%8.14M----0.00%4.38M0.00%4.38M0.00%4.38M
Special items of current liabilities -35.50%43.24M0.64%75.39M102.20%67.03M33.39%74.9M-----38.59%33.15M-----57.24%56.15M251.36%53.99M1,522.33%131.33M
Total current liabilities 42.40%5.66B299.07%4.94B259.65%3.97B-70.25%1.24B-----54.59%1.1B----80.01%4.16B23.32%2.43B184.41%2.31B
Net current assets 153.96%956.11M-91.06%73.24M-251.41%-1.77B191.33%819.31M-----48.55%1.17B-----129.71%-897.1M-29.82%2.27B210.42%3.02B
Total assets less current liabilities 13.83%7.79B-25.31%6.95B-12.40%6.84B72.29%9.3B--10.07B-2.72%7.81B--8.91B-28.95%5.4B12.14%8.03B102.79%7.6B
Non-current liabilities
Long-term bank loan -23.39%507.08M-78.01%691.53M-78.46%661.91M1,556.56%3.15B----4.14%3.07B-----93.46%189.85M4.41%2.95B--2.9B
Deferred income-non-current liabilities -2.53%185.39M36.13%187.49M36.21%190.21M29.27%137.73M----35.92%139.65M----42.18%106.54M53.18%102.74M8.27%74.94M
Total non-current liabilities -18.73%692.48M-73.22%879.02M-73.47%852.12M1,007.56%3.28B----5.21%3.21B-----90.05%296.4M5.55%3.05B4,201.93%2.98B
Total liabilities 31.60%6.35B28.73%5.82B11.78%4.83B1.42%4.52B-----21.31%4.32B-----15.72%4.46B12.75%5.49B499.67%5.29B
Total assets less total liabilities 18.46%7.09B0.82%6.07B30.27%5.99B17.97%6.02B--10.07B-7.58%4.6B--8.91B10.39%5.1B16.61%4.97B25.67%4.62B
Total equity and non-current liabilities 13.83%7.79B-25.31%6.95B-12.40%6.84B72.29%9.3B-----2.72%7.81B-----28.95%5.4B12.14%8.03B102.79%7.6B
Equity
Share capital 0.00%879.97M0.00%879.97M0.00%879.97M0.00%879.97M----0.00%879.97M----96.06%879.97M94.67%879.97M-0.71%448.82M
Reserve 23.26%6.03B1.55%5B39.71%4.9B22.87%4.93B-----9.69%3.5B-----2.21%4.01B4.42%3.88B37.56%4.1B
Legal reserve 23.26%6.03B1.55%5B39.71%4.9B22.87%4.93B-----9.69%3.5B-----2.21%4.01B4.42%3.88B37.56%4.1B
Special items of shareholders' rights and interests ---------------------------------------142.21M
Shareholders' Equity 19.72%6.91B1.32%5.88B31.74%5.78B18.75%5.81B-----7.90%4.38B----10.95%4.89B17.17%4.76B28.38%4.41B
Non-controlling interest -15.63%179.55M-12.88%185.12M0.10%212.82M-0.04%212.48M-----0.57%212.61M-----0.95%212.56M5.24%213.83M-12.40%214.6M
Total equity 18.46%7.09B0.82%6.07B30.27%5.99B17.97%6.02B-----7.58%4.6B----10.39%5.1B16.61%4.97B25.67%4.62B
Total equity and total liabilities 24.33%13.44B12.79%11.89B21.32%10.81B10.25%10.54B-----14.78%8.91B-----3.54%9.56B14.55%10.46B117.33%9.91B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASCAS (2007)IASCAS (2007)IASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion------Unqualified Opinion--Unqualified Opinion
Auditor --KPMG Huazhen Certified Public Accountants (Special General Partnership)--KPMG Huazhen Certified Public Accountants (Special General Partnership)------KPMG Huazhen Certified Public Accountants (Special General Partnership)--KPMG Huazhen Certified Public Accountants (Special General Partnership)

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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