3007

SHZ:300760

Shenzhen Mindray Bio-Medical Electronics Co., Ltd.

  • Stock

CNY

Last Close

228.20

30/08 07:04

Market Cap

341.20B

Beta: 0.05

Volume Today

11.77M

Avg: 2.91M

PE Ratio

30.35

PFCF: 43.39

Dividend Yield

3.09%

Payout:0%

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
1.36B
-
940.50M
30.83%
1.61B
71.42%
2.60B
61.35%
3.73B
43.23%
4.68B
25.74%
6.66B
42.15%
8.00B
20.19%
9.61B
20.07%
11.58B
20.51%
depreciation and amortization
315.59M
-
284.01M
10.01%
297.68M
4.81%
331.42M
11.33%
394.31M
18.98%
472.12M
19.73%
700.41M
48.35%
885.06M
26.36%
1.04B
17.41%
deferred income tax
210.65M
-
1.07M
99.49%
-49.16M
-
-53.63M
9.09%
59.88M
211.67%
-174.94M
392.13%
-642.41M
267.21%
stock based compensation
204.25M
-
133.98M
34.41%
49.16M
-
53.63M
9.09%
-59.88M
211.67%
308.01M
614.33%
change in working capital
392.02M
-
1.01B
156.70%
36.83M
96.34%
31.24M
15.17%
-514.56M
1,746.96%
1.32B
356.92%
387.90M
70.66%
1.35B
247.67%
-1.40B
203.64%
accounts receivables
-312.25M
-
-3.27M
98.95%
-153.44M
4,591.46%
-1.05B
582.34%
-680.91M
34.97%
inventory
-177.60M
-
-208.62M
17.47%
-625.88M
200.00%
-224.04M
64.20%
-706.74M
215.45%
-1.45B
104.89%
-133.63M
90.77%
-523.01M
291.38%
-201.43M
61.49%
accounts payables
553.59M
-
2.83B
410.66%
615.09M
78.24%
3.09B
402.95%
-769.19M
124.86%
other working capital
569.62M
-
1.21B
113.29%
662.71M
45.45%
255.29M
61.48%
-49.16M
119.26%
-53.63M
9.09%
59.88M
211.67%
-174.94M
392.13%
253.87M
245.12%
other non cash items
-1.36B
-
-39.11M
97.12%
1.97M
105.04%
364.66M
18,399.71%
-53.82M
114.76%
157.23M
392.16%
416.35M
164.80%
-93.70M
122.51%
163.70M
274.70%
4.37B
2,567.66%
net cash provided by operating activities
1.74B
-
2.02B
16.22%
3.04B
50.18%
3.30B
8.58%
4.03B
22.25%
4.72B
17.03%
8.87B
87.85%
9.00B
1.45%
12.14B
34.92%
11.22B
7.60%
investments in property plant and equipment
-588.44M
-
-595.41M
1.18%
-413.54M
30.55%
-466.73M
12.86%
-678.28M
45.33%
-776.86M
14.53%
-1.18B
52.24%
-1.40B
18.58%
-1.92B
36.58%
-2.69B
40.36%
acquisitions net
-72.25M
-
-103.94M
43.85%
-646.85M
522.34%
1.34M
100.21%
-12.44M
-
-26.76M
115.14%
-3.52B
13,052.05%
71.49M
102.03%
-802.33M
1,222.35%
purchases of investments
-7.09B
-
-11.63B
64.06%
-15.09B
29.70%
-2.16B
85.68%
-5M
-
-20M
300%
-51.68M
158.40%
-36.50M
29.37%
-1.31B
3,493.39%
sales maturities of investments
7.50B
-
14.34B
91.09%
17.17B
19.79%
2.72B
84.14%
12.44M
-
26.76M
115.14%
51.68M
93.12%
-71.49M
238.32%
other investing activites
5.21M
-
5.54M
6.45%
38.33M
591.35%
-84.03M
319.23%
-14.34M
82.93%
3.90M
127.16%
-3.99B
102,493.32%
110.05M
102.76%
-1.27B
1,251.93%
4B
415.52%
net cash used for investing activites
-244.78M
-
2.01B
920.12%
1.06B
47.19%
13.08M
98.77%
-692.62M
5,393.67%
-777.97M
12.32%
-5.19B
567.27%
-4.81B
7.30%
-3.22B
33.09%
-802.59M
75.07%
debt repayment
-1.32B
-
-59.94M
95.45%
-1.25B
1,991.39%
-2.02B
61.40%
-1.87B
7.79%
-440.73M
-
-103.35M
76.55%
-18.77M
81.84%
common stock issued
-9.33M
-
999.99M
-
152.43M
84.76%
-6.08M
103.99%
common stock repurchased
-999.99M
-
-999.94M
0.00%
dividends paid
-45.45M
-
-3.43B
7,436.29%
-6.52B
90.29%
-611.32M
90.62%
-949.23M
55.28%
-1.22B
28.07%
-1.82B
50%
-3.04B
66.67%
-4.23B
39.27%
-10.67B
152.07%
other financing activites
-788.70M
-
-394.79M
49.94%
5.98B
1,614.44%
181.95M
96.96%
5.71B
3,036.55%
-16.55M
100.29%
-29.59M
78.82%
-1.12B
3,701.78%
-10.54M
99.06%
-4.35M
58.69%
net cash used provided by financing activities
-2.15B
-
-3.88B
80.39%
-1.79B
53.79%
-2.45B
36.79%
2.89B
217.92%
-1.24B
142.93%
-1.85B
49.26%
-4.60B
148.49%
-5.19B
12.80%
-10.82B
108.35%
effect of forex changes on cash
-11.54M
-
41.17M
456.76%
132.89M
222.82%
-155.88M
217.30%
184.14M
218.13%
23.65M
87.16%
-197.47M
934.92%
-171.45M
13.18%
113.82M
166.39%
net change in cash
-665.77M
-
192.37M
128.89%
2.44B
1,168.24%
705.05M
71.10%
6.42B
810.33%
2.73B
57.53%
1.63B
40.26%
-589.78M
136.22%
3.84B
751.24%
-433.72M
111.29%
cash at beginning of period
2.28B
-
1.61B
29.22%
1.81B
11.93%
4.24B
135.14%
4.95B
16.61%
11.37B
129.66%
14.09B
23.98%
15.72B
11.55%
15.13B
3.75%
19.22B
27.02%
cash at end of period
1.61B
-
1.81B
11.93%
4.24B
135.14%
4.95B
16.61%
11.37B
129.66%
14.09B
23.98%
15.72B
11.55%
15.13B
3.75%
18.97B
25.38%
18.79B
0.98%
operating cash flow
1.74B
-
2.02B
16.22%
3.04B
50.18%
3.30B
8.58%
4.03B
22.25%
4.72B
17.03%
8.87B
87.85%
9.00B
1.45%
12.14B
34.92%
11.22B
7.60%
capital expenditure
-588.44M
-
-595.41M
1.18%
-413.54M
30.55%
-466.73M
12.86%
-678.28M
45.33%
-776.86M
14.53%
-1.18B
52.24%
-1.40B
18.58%
-1.92B
36.58%
-2.69B
40.36%
free cash flow
1.15B
-
1.43B
23.89%
2.63B
83.83%
2.83B
7.91%
3.36B
18.45%
3.94B
17.54%
7.69B
94.87%
7.60B
1.19%
10.23B
34.62%
8.53B
16.58%

All numbers in CNY (except ratios and percentages)