سر. البرز (حق تقدم)
والبرح |
Warrant
-
Exchange
دارویی ( داروهای شیمیایی و گیاهی )
Category:
دارویی
Sub Category:
داروهای شیمیایی و گیاهی
Status:
Permitted
Last:
4,100
1.84
Close:
4,101
1.86
Financial Relations
Assembly
Midterm
Forecast
2022-06-20
Fiscal year 2022-03-20
|
2021-06-14
Fiscal year 2021-03-19
|
2020-07-08
Fiscal year 2020-03-19
|
|||||
---|---|---|---|---|---|---|---|
نسبت جاری |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
2.37 | 4.05 | 9.31 | |
نسبت آنی |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
2.37 | 4.01 | 9.13 | |
نسبت نقدینگی |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.16 | 0.62 | 0.63 | |
نسبت کفایت نقد |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
2.55 - | 1.63 - | 0.18 | |
نسبت گردش نقد |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.99 | 1.23 | 0.25 - | |
سرمایه در گردش خالص |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
5.61 Million | 7.13 Million | 5.1 Million | |
نسبت دارایی های جاری |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.35 | 0.43 | 0.41 | |
دوره وصول مطالبات |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
545.83 | 541.00 | 551.16 | |
نسبت کالا به سرمایه در گردش |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
- | 0.01 | 0.02 | |
گردش سرمایه جاری |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
1.08 | 0.75 | 0.68 | |
گردش دارایی های ثابت |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
55.29 | 48.02 | 29.84 | |
گردش مجموع دارایی ها |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.22 | 0.24 | 0.25 | |
نسبت بدهی |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.15 | 0.11 | 0.04 | |
نسبت بدهی به ارزش ویژه |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.17 | 0.12 | 0.05 | |
نسبت بدهی جاری به ارزش ویژه |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.17 | 0.12 | 0.05 | |
نسبت مالکانه |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
85.31 | 89.37 | 95.51 | |
نسبت پوشش بدهی |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
12.61 | 13.91 | 15.69 | |
سود خالص به فروش |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
118.54 | 181.81 | 148.28 | |
سود ناخالص به فروش |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
118.63 | 181.84 | 148.87 | |
حاشیه سود عملیاتی |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
97.49 | 98.27 | 97.56 | |
سود ناویژه به فروش |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
100.00 | 100.00 | 100.00 | |
سود به سود ناویژه |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
118.54 | 181.81 | 148.28 | |
بازده دارایی ها ROA |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
25.70 | 44.04 | 37.02 | |
درصد بازده سرمایه |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
85.24 | 202.64 | 106.78 | |
بازدهی سرمایه ROE |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
30.13 | 49.28 | 38.76 | |
بازده سرمایه در گردش |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
127.58 | 136.34 | 100.51 | |
بازده دارایی ثابت |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
6,553.98 | 8,731.09 | 4,424.49 | |
سنجش سودمندی وام |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
1.17 | 1.12 | 1.05 |
2022-06-20
Fiscal year 2022-03-20
|
2021-06-14
Fiscal year 2021-03-19
|
2020-07-08
Fiscal year 2020-03-19
|
|||||
---|---|---|---|---|---|---|---|
سود خالص به فروش |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
118.54 | 181.81 | 148.28 | |
سود ناخالص به فروش |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
118.63 | 181.84 | 148.87 | |
حاشیه سود عملیاتی |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
97.49 | 98.27 | 97.56 | |
سود ناویژه به فروش |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
100.00 | 100.00 | 100.00 | |
سود به سود ناویژه |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
118.54 | 181.81 | 148.28 | |
بازده دارایی ها ROA |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
25.70 | 44.04 | 37.02 | |
درصد بازده سرمایه |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
85.24 | 202.64 | 106.78 | |
بازدهی سرمایه ROE |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
30.13 | 49.28 | 38.76 | |
بازده سرمایه در گردش |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
127.58 | 136.34 | 100.51 | |
بازده دارایی ثابت |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
6,553.98 | 8,731.09 | 4,424.49 | |
سنجش سودمندی وام |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
1.17 | 1.12 | 1.05 | |
نسبت جاری |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
2.37 | 4.05 | 9.31 | |
نسبت آنی |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
2.37 | 4.01 | 9.13 | |
نسبت نقدینگی |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.16 | 0.62 | 0.63 | |
نسبت کفایت نقد |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
2.55 - | 1.63 - | 0.18 | |
نسبت گردش نقد |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.99 | 1.23 | 0.25 - | |
سرمایه در گردش خالص |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
5.61 Million | 7.13 Million | 5.1 Million | |
نسبت دارایی های جاری |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.35 | 0.43 | 0.41 | |
دوره وصول مطالبات |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
545.83 | 541.00 | 551.16 | |
نسبت کالا به سرمایه در گردش |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
- | 0.01 | 0.02 | |
گردش سرمایه جاری |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
1.08 | 0.75 | 0.68 | |
گردش دارایی های ثابت |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
55.29 | 48.02 | 29.84 | |
گردش مجموع دارایی ها |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.22 | 0.24 | 0.25 | |
نسبت بدهی |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.15 | 0.11 | 0.04 | |
نسبت بدهی به ارزش ویژه |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.17 | 0.12 | 0.05 | |
نسبت بدهی جاری به ارزش ویژه |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
0.17 | 0.12 | 0.05 | |
نسبت مالکانه |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
85.31 | 89.37 | 95.51 | |
نسبت پوشش بدهی |
1401/03/30
Fiscal year 1400/12/29
|
1400/03/24
Fiscal year 1399/12/29
|
1399/04/18
Fiscal year 1398/12/29
|
12.61 | 13.91 | 15.69 |
2016-11-16
Fiscal year 2017-03-19
|
2014-03-09
Fiscal year 2015-03-20
|
2013-11-12
Fiscal year 2014-03-20
|
|||||
---|---|---|---|---|---|---|---|
سود خالص به فروش |
1395/08/26
Fiscal year 1395/12/29
|
1392/12/18
Fiscal year 1393/12/29
|
1392/08/21
Fiscal year 1392/12/29
|
97.68 | 104.49 | 100.93 | |
سود ناخالص به فروش |
1395/08/26
Fiscal year 1395/12/29
|
1392/12/18
Fiscal year 1393/12/29
|
1392/08/21
Fiscal year 1392/12/29
|
97.68 | 104.49 | 100.93 | |
حاشیه سود عملیاتی |
1395/08/26
Fiscal year 1395/12/29
|
1392/12/18
Fiscal year 1393/12/29
|
1392/08/21
Fiscal year 1392/12/29
|
96.01 | 97.47 | 97.68 | |
سود ناویژه به فروش |
1395/08/26
Fiscal year 1395/12/29
|
1392/12/18
Fiscal year 1393/12/29
|
1392/08/21
Fiscal year 1392/12/29
|
100.00 | 100.00 | 100.00 | |
سود به سود ناویژه |
1395/08/26
Fiscal year 1395/12/29
|
1392/12/18
Fiscal year 1393/12/29
|
1392/08/21
Fiscal year 1392/12/29
|
97.68 | 104.49 | 100.93 | |
درصد بازده سرمایه |
1395/08/26
Fiscal year 1395/12/29
|
1392/12/18
Fiscal year 1393/12/29
|
1392/08/21
Fiscal year 1392/12/29
|
73.18 | 89.99 | 69.98 |