Hangzhou TianMuShan Pharmaceutical Enterprise Co.,Ltd Price (600671.SS)

Stock Price

Low: Year Low
High: Year High

Market Cap

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Enterprise Value

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Shares Outstanding

121,779,026

(0.0001)%

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Cash Flow Statement

Hangzhou TianMuShan Pharmaceutical Enterprise Co.,Ltd

Currency: CNY

YEAR 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023
Operating Activities
Net Income 22.54M

+0%

15.05M

-33%

4.19M

-72%

5.49M

+31%

3.04M

-45%

-11,365,892.79

-474%

8.32M

-173%

4.30M

-48%

-222,719.52

-105%

15.53M

-7,072%

4.52M

-71%

-52,557,468.53

-1,263%

-9,540,852.83

-82%

28.80M

-402%

-87,164,044.50

-403%

2.50M

-103%

2.61M

+4%

-22,491,900.27

-963%

2.63M

-112%

8.99M

+242%

-5,670,163.13

-163%

52.06M

-1,018%

-51,549,021.31

-199%

-32,781,338.67

-36%

-73,207,818.13

+123%

-39,295,530.62

-46%

Depreciation And Amortiz... 5.75M 5.06M 6.02M 7.02M 9.29M 10.62M 10.16M 11.44M 11.47M 8.58M 8.50M 9.29M 8.47M 6.96M 7.84M 6.52M 6.34M 8.58M 9.28M 8.88M 13.33M 12.64M 8.66M 12.30M 18.34M 15.01M
Deferred Income Tax 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 89.04k -113,944.00 1.41M 49.56k -961,946.00 137.34k -728,957.00 1.19M 0.00
Stock-Based Compensat... 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Change In Working Capital
Accounts Receivables 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 17.55M -7,814,133.00 7.23M 51.81M -6,851,707.00 29.68M 21.68M 54.89M -35,882,097.00 -27,414,320.00 43.19M -6,410,396.00
Accounts Payables 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -29,675,157.00 -22,871,243.00 -17,750,514.00 51.73M 85.23M 31.32M -13,927,068.00 -49,653,740.00 -11,570,929.00
Inventory -6,429,538.06 13.47M -5,474,409.26 -4,546,620.35 -3,403,568.54 -7,186,567.35 -265,617.75 -10,130,655.40 498.30k -12,247,021.97 1.25M -9,420,735.33 -6,903,890.94 -3,186,553.44 -15,202,393.26 -12,357,285.36 9.68M -17,322,189.10 19.56M -561,352.26 -6,704,603.53 7.84M -10,108,289.98 11.79M -1,146,757.29 4.87M
Other Working Capital -3,606,186.81 15.03M -13,695,788.36 -95,533.22 9.16M -38,509,151.02 -19,260,503.70 -1,056,591.61 41.97M 59.05M -2,861,727.19 50.83M -19,683,716.88 -23,977,381.71 22.60M 18.03M -22,685,101.37 22.23M -29,836,895.90 13.34M 73.46M -961,947.00 137.34k -728,959.03 1.19M 15.37k
Other Non-Cash Items -15,895,679.61 469.26k -706,998.21 2.65M 3.72M 5.30M 2.40M 3.93M 1.66M -23,386,032.45 9.79M 9.44M 15.06M -15,084,415.11 52.10M -2,319,552.15 4.71M 7.54M -22,586.68 -6,136,083.56 -3,708,444.87 -50,567,831.00 49.02M 24.33M 41.92M 16.95M
Net Cash Provided By Op... 2.36M

+0%

49.09M

+1,983%

-9,668,653.87

-120%

10.52M

-209%

21.80M

+107%

-41,134,951.27

-289%

1.35M

-103%

8.48M

+526%

55.39M

+553%

47.53M

-14%

21.19M

-55%

7.58M

-64%

-12,599,861.12

-266%

-6,492,440.25

-48%

-19,822,528.51

+205%

12.37M

-162%

653.79k

-95%

-1,465,965.66

-324%

1.61M

-210%

24.52M

+1,426%

70.71M

+188%

161.13M

+128%

-8,395,914.90

-105%

-26,421,706.19

+215%

-19,370,520.89

-27%

-20,428,820.00

+5%

Investing Activities
Investments In Propert... -19,103,285.56 -17,529,779.26 -14,959,285.48 -8,970,582.31 -17,903,737.22 -10,190,013.44 -8,423,478.14 -11,540,699.59 -13,904,668.99 -83,827,232.57 -16,689,324.21 -28,743,725.29 -13,527,988.90 -6,230,702.94 -583,892.20 -11,612,034.12 -30,459,354.61 -12,882,730.11 -25,213,312.23 -62,249,862.57 -37,462,257.79 -94,656,288.13 -11,835,712.51 -4,712,217.54 -3,516,204.88 -8,955,521.00
Acquisitions Net 19.17M 2.28M 0.00 0.00 0.00 29.32k 616.32k 0.00 0.00 -3,212,323.22 5.20M 7.03M 16.34k 0.00 0.00 0.00 8.05M 500.00k 155.00k -6,177,114.82 0.00 1.47M 2.56M 555.38k -2,200,000.00 1.00
Purchases Of Investments -21,681,880.28 -523,720.00 -15,917,615.07 0.00 0.00 -200,000.00 -100,000.00 0.00 0.00 -40,181,044.72 -25,452,497.59 -2,900,000.00 -1,000,000.00 0.00 0.00 0.00 -8,120,000.00 -2,312.00 0.00 101.16M -54,140,000.00 -59,840,000.00 -13,300,000.00 0.00 0.00 0.00
Sales Maturities Of Inve... 47.78M 6.00M 461.13k 16.15M 36.34M 504.16k 130.00k 156.00k 2.85M 42.48M 23.48M 14.29M 403.85k 13.24M 2.79M 4.77M 35.60M 12.90M 10.71M 7.51M 54.14M -1,472,600.00 12.07M 0.00 0.00 0.00
Other Investing Activities -19,103,285.56 -13,977,238.30 9.08M 940.61k 2.50M -14,695,870.12 371.85k 222.82k 2.61M 998.05k 5.18M 3.02M 5.66M 8.00k -311,906.83 10.16M -30,459,354.61 -12,882,730.11 155.00k -62,249,862.57 17.32M -3,127,400.00 -753,080.22 0.01 -81,781.48 129.11k
Net Cash Used For Inv... 7.06M

+0%

-23,746,642.35

-436%

-21,338,947.70

-10%

8.12M

-138%

20.94M

+158%

-24,552,402.05

-217%

-7,405,302.67

-70%

-11,161,878.85

+51%

-8,449,112.42

-24%

-83,742,135.61

+891%

-8,288,112.15

-90%

-7,307,439.37

-12%

-8,450,157.39

+16%

7.02M

-183%

1.90M

-73%

3.32M

+75%

-25,395,071.93

-865%

-12,370,542.11

-51%

-14,345,888.23

+16%

-22,010,647.39

+53%

-20,147,137.25

-8%

-157,623,688.13

+682%

-11,258,516.73

-93%

-4,156,834.53

-63%

-5,797,986.36

+39%

-8,826,410.00

+52%

Financing Activities
Debt Repayment 14.36M 8.59M 77.50M -12,000,000.00 -37,000,000.00 -16,890,000.00 7.89M 0.00 -15,500,000.00 -8,400,000.00 850.00k 17.65M 16.97M 3.01M 6.51M -20,038,995.00 -7,500,000.00 -7,000,000.00 41.50M -15,500,000.00 -23,100,000.00 -64,269,999.00 0.00 -44,087,144.00 -4,623,398.00 -105,000.00
Common Stock Issued 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Common Stock Repurch... 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Dividends Paid -14,964,029.61 -17,293,370.75 -9,718,790.44 -9,291,406.91 -8,051,126.48 -4,776,560.45 -5,058,059.73 -15,865,737.39 -6,192,475.88 -11,527,176.36 -6,955,973.79 -4,945,735.29 -6,116,001.80 -7,794,039.63 -10,078,582.96 -7,986,730.70 -6,830,283.01 -6,712,714.73 -7,016,011.02 -8,773,719.53 -9,249,790.42 -6,080,532.32 -7,006,062.97 -6,705,169.89 -4,778,697.43 -6,665,159.00
Other Financing Activities 13.75k -82,352.11 6.50M 535.00k 2.00M -151,547.62 -3,610,000.00 8.58M -1,723,451.80 9.04M 3.78M -2,800,000.71 11.40M 0.34 1.96 29.78M 36.59M 5.32M 1.26M 32.55M 27.72M -32,870,000.00 14.52M 85.31M 65.46M 91.60M
Net Cash Used/Provide... -587,215.34

+0%

-8,785,722.86

+1,396%

74.28M

-945%

-20,756,406.91

-128%

-43,051,126.48

+107%

-21,818,108.07

-49%

2.83M

-113%

7.13M

+152%

-23,415,927.68

-428%

-5,041,696.41

-78%

-2,325,973.79

-54%

9.90M

-526%

22.26M

+125%

-4,784,962.29

-121%

-3,564,593.30

-26%

1.76M

-149%

22.26M

+1,165%

-8,397,657.92

-138%

35.74M

-526%

8.28M

-77%

-4,631,457.09

-156%

-70,350,532.32

+1,419%

7.51M

-111%

34.52M

+360%

56.06M

+62%

84.83M

+51%

Effect Of Forex Changes... -31.35 0.00 0.00 -12.11 1.23k 13.22k -6,811.80 -205,689.70 -404,818.91 69.05k -491,212.71 -241,825.09 -495,281.95 0.00 0.00 -85,450.93 0.00 0.00 0.00 0.00 0.00 0.67 0.00 0.00 0.00 0.00
Net Change In Cash 8.83M 16.56M 43.27M -2,122,934.00 -311,144.00 -87,492,243.00 -3,223,397.00 4.25M 23.12M -41,182,114.00 10.08M 9.94M 711.83k -4,261,683.00 -21,491,257.00 17.37M -2,484,922.00 -22,234,166.00 23.00M 10.79M 45.93M -66,846,511.00 -12,144,218.00 3.94M 30.89M 55.57M
Cash At Beginning Of Per... 42.07M 50.90M 67.46M 110.74M 108.61M 108.52M 36.25M 33.03M 37.28M 60.39M 19.21M 29.29M 39.23M 39.94M 35.68M 14.19M 31.56M 29.07M 6.84M 29.84M 40.63M 86.55M 19.71M 7.56M 11.51M 42.39M
Cash At End Of Period 50.90M 67.46M 110.74M 108.61M 108.30M 21.03M 33.03M 37.28M 60.39M 19.21M 29.29M 39.23M 39.94M 35.68M 14.19M 31.56M 29.07M 6.84M 29.84M 40.63M 86.55M 19.71M 7.56M 11.51M 42.39M 97.96M
Additional Metrics:
Operating Cash Flow 2.36M 49.09M -9,668,653.87 10.52M 21.80M -41,134,951.27 1.35M 8.48M 55.39M 47.53M 21.19M 7.58M -12,599,861.12 -6,492,440.25 -19,822,528.51 12.37M 653.79k -1,465,965.66 1.61M 24.52M 70.71M 161.13M -8,395,914.90 -26,421,706.19 -19,370,520.89 -20,428,820.92
Capital Expenditure -19,103,285.56 -17,529,779.26 -14,959,285.48 -8,970,582.31 -17,903,737.22 -10,190,013.44 -8,423,478.14 -11,540,699.59 -13,904,668.99 -83,827,232.57 -16,689,324.21 -28,743,725.29 -13,527,988.90 -6,230,702.94 -583,892.20 -11,612,034.12 -30,459,354.61 -12,882,730.11 -25,213,312.23 -62,249,862.57 -37,462,257.79 -94,656,288.13 -11,835,712.51 -4,712,217.54 -3,516,204.88 -8,955,521.64
Free Cash Flow -16,746,728.56

+0%

31.56M

-288%

-24,627,939.35

-178%

1.55M

-106%

3.90M

+152%

-51,324,964.71

-1,417%

-7,069,218.14

-86%

-3,058,024.59

-57%

41.48M

-1,457%

-36,294,567.57

-187%

4.50M

-112%

-21,160,250.29

-570%

-26,127,850.02

+23%

-12,723,143.19

-51%

-20,406,420.71

+60%

760.80k

-104%

-29,805,564.61

-4,018%

-14,348,695.77

-52%

-23,606,463.23

+65%

-37,729,543.57

+60%

33.24M

-188%

66.47M

+100%

-20,231,627.41

-130%

-31,133,923.73

+54%

-22,886,725.77

-26%

-29,384,342.56

+28%

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