Hangzhou Tigermed Consulting Co Ltd
SZSE:300347

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Hangzhou Tigermed Consulting Co Ltd
SZSE:300347
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Price: 67.6 CNY -0.5%
Market Cap: 50.1B CNY
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Balance Sheet

Balance Sheet Decomposition
Hangzhou Tigermed Consulting Co Ltd

Current Assets 7.6B
Cash & Short-Term Investments 3.2B
Receivables 4.3B
Other Current Assets 150.1m
Non-Current Assets 22.8B
Long-Term Investments 17.7B
PP&E 1.5B
Intangibles 3.1B
Other Non-Current Assets 363.9m
Current Liabilities 5.3B
Accounts Payable 227.1m
Accrued Liabilities 346m
Short-Term Debt 2.8B
Other Current Liabilities 2B
Non-Current Liabilities 4.3B
Long-Term Debt 791.6m
Other Non-Current Liabilities 3.5B

Balance Sheet
Hangzhou Tigermed Consulting Co Ltd

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Balance Sheet
Currency: CNY
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Cash & Cash Equivalents
432
227
364
537
698
2 037
9 960
8 378
7 783
7 400
Cash
0
0
0
0
0
0
0
8 378
7 783
7 400
Cash Equivalents
432
227
364
537
698
2 037
9 960
0
0
0
Short-Term Investments
22
15
175
76
2
69
26
29
25
83
Total Receivables
312
423
519
699
839
1 222
1 435
2 177
3 123
3 734
Accounts Receivables
302
381
447
632
781
1 158
1 316
2 095
3 025
3 625
Other Receivables
10
42
72
67
58
64
119
83
98
109
Inventory
0
0
0
0
1
1
5
6
22
23
Other Current Assets
21
23
36
34
64
41
220
261
154
103
Total Current Assets
787
689
1 095
1 346
1 603
3 370
11 646
10 852
11 107
11 344
PP&E Net
151
194
200
202
255
426
683
1 142
1 340
1 486
PP&E Gross
151
194
200
202
255
426
683
1 142
1 340
1 486
Accumulated Depreciation
93
130
152
167
218
283
401
504
721
937
Intangible Assets
19
14
13
17
28
96
142
251
338
371
Goodwill
339
470
602
1 049
1 033
1 158
1 445
1 779
2 485
2 764
Long-Term Investments
47
194
461
883
1 325
2 360
5 368
9 499
11 795
13 223
Other Long-Term Assets
15
50
17
87
36
122
223
219
381
492
Other Assets
339
470
602
1 049
1 033
1 158
1 445
1 779
2 485
2 764
Total Assets
1 358
N/A
1 610
+19%
2 388
+48%
3 583
+50%
4 280
+19%
7 533
+76%
19 506
+159%
23 741
+22%
27 447
+16%
29 681
+8%
Liabilities
Accounts Payable
17
10
15
24
44
75
101
126
158
249
Accrued Liabilities
22
27
43
55
89
156
183
351
404
462
Short-Term Debt
272
259
175
270
640
893
21
531
1 876
1 994
Current Portion of Long-Term Debt
0
0
0
63
29
33
52
75
137
520
Other Current Liabilities
76
175
203
321
407
634
782
1 330
1 155
914
Total Current Liabilities
387
471
436
733
1 209
1 791
1 139
2 413
3 730
4 139
Long-Term Debt
7
24
33
32
19
154
279
407
734
857
Deferred Income Tax
4
9
17
13
14
46
132
202
214
214
Minority Interest
53
64
213
310
366
1 296
1 740
2 482
3 098
3 427
Other Liabilities
43
40
64
4
4
20
97
115
88
17
Total Liabilities
494
N/A
608
+23%
762
+25%
1 092
+43%
1 611
+48%
3 307
+105%
3 387
+2%
5 618
+66%
7 863
+40%
8 654
+10%
Equity
Common Stock
215
433
475
500
500
750
872
872
872
872
Retained Earnings
277
390
484
723
1 095
1 935
3 476
6 088
7 662
9 211
Additional Paid In Capital
376
183
667
1 269
1 323
1 708
11 998
11 887
11 852
11 709
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
9
9
Treasury Stock
0
0
0
0
248
193
136
568
869
869
Other Equity
5
4
1
1
1
26
92
156
57
95
Total Equity
864
N/A
1 002
+16%
1 627
+62%
2 491
+53%
2 669
+7%
4 225
+58%
16 119
+282%
18 124
+12%
19 583
+8%
21 027
+7%
Total Liabilities & Equity
1 358
N/A
1 610
+19%
2 388
+48%
3 583
+50%
4 280
+19%
7 533
+76%
19 506
+159%
23 741
+22%
27 447
+16%
29 681
+8%
Shares Outstanding
Common Shares Outstanding
645
650
712
750
742
750
872
872
872
872

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