¥61.80
¥-1.75 (-2.75%)
End-of-day quote: 05/17/2024
SZSE:000999

China Resources Sanjiu Medical & Pharmaceutical Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
Rev. Revenue
¥18.08B ¥15.54B ¥13.64B ¥14.70B ¥13.43B ¥11.12B ¥8.98B ¥7.90B ¥7.28B ¥7.29B ¥6.94B ¥5.53B ¥4.37B ¥4.85B ¥4.35B ¥3.48B ¥2.93B
GM % Gross Margin %
53.79% 57.79% 62.28% 67.03% 68.96% 64.92% 62.39% 60.90% 61.05% 62.91% 61.03% 58.96% 61.46% 50.58% 45.31% 47.94% 46.43%
OM Operating Margin
15.40% 14.24% 13.87% 11.58% 11.19% 11.99% 14.24% 15.87% 16.47% 18.41% 18.19% 16.66% 21.10% 18.56% 14.98% 16.88% 16.58%
EPS Earnings Per Share
¥0.00 ¥2.25 ¥2.25 ¥1.89 ¥1.36 ¥1.23 ¥1.28 ¥1.15 ¥1.09 ¥1.08 ¥1.02 ¥1.18 ¥1.02 ¥0.75 ¥0.75 ¥0.69 ¥0.46 ¥0.22 ¥0.13
Div. Dividends
¥1.00 ¥0.86 ¥0.50 ¥0.43 ¥0.39 ¥0.46 ¥0.16 ¥0.15 ¥0.41 ¥0.26 ¥0.26 ¥0.30 ¥0.30 ¥0.00 ¥0.20 ¥0.00 ¥0.00
PR % Payout Ratio %
44.44% 45.50% 36.76% 34.96% 30.47% 40.00% 14.68% 13.89% 40.20% 22.03% 25.49% 40.00% 40.00% 0 43.48% 0 0
Sha. Shares
988.35m 978.9m 978.9m 978.9m 978.9m 978.9m 978.9m 978.9m 978.9m 978.9m 978.9m 978.9m 978.9m 978.9m 978.9m 978.9m 978.82m
OCF Operating Cash Flow
¥3.01B ¥1.88B ¥2.22B ¥1.97B ¥1.91B ¥1.60B ¥1.39B ¥1.26B ¥1.18B ¥1.34B ¥1.22B ¥954.90M ¥848.28M ¥855.05M ¥1.12B ¥623.93M ¥427.49M
FCF Free Cash Flow
¥2.06B ¥1.00B ¥1.61B ¥1.44B ¥1.33B ¥1.21B ¥1.04B ¥955.24M ¥844.96M ¥994.39M ¥713.82M ¥545.11M ¥762.21M ¥668.61M ¥-82.11M ¥397.49M ¥291.68M
FCFS Free Cash Flow Per Share
¥2.08 ¥1.03 ¥1.63 ¥1.47 ¥1.34 ¥1.25 ¥1.06 ¥0.95 ¥0.86 ¥1.15 ¥0.73 ¥0.56 ¥0.59 ¥0.68 ¥-0.09 ¥0.40 ¥0.30