Students Name: Faculty of Business and Economics
Students Name: Faculty of Business and Economics
Students Name: Faculty of Business and Economics
Analysis Project
Jerusalem pharmaceutical
students Name
Dana Barghouthi 1151936
Aya salameh 1161271
Karmel Abu Taha
Mahmoud Bani Owda
Rayan Ghoulh
siness and Economics
ysis Project
pharmaceutical
2018/2019
2013
Sales 24026477
Discounts and returns -2008455
Net sales 22018022
Cost of Goods Sold -10055131
depreciation -1448407
gross profit 10514484
expense
Selling and Distribution Expenses -3894060
General and administrative expenses -2567282
Research & Development expenses -644718
Cost of obsolete goods -247638
Allowance of obsolete inventory 0
Allowance of doubtful accounts -100000
Projects Cost -702908
Share of results of Associates 29188
Finance Expenses (losses) -168578
Other revenues (expenses) 96057
Net Income before tax
total operating expenses -8199939
Net Income before tax 2314545
Income tax expense -636884
Net Income after tax 2951429
Appropriation of profits
Basic and diluted earnings (loss) per share 0.098
Change in fair value of available-for-sale-financial assets through other
average: 0.00% 0 0 0
-8546775.28345822 -9339312.43378741
-4944770.78206805 -5403296.29779515
-1257952.79803927 -1374601.97772886
-490836.652953034 -536351.630158696
-334872.338938541 -365924.842417845
-392731.707273505 -429149.473951994
-1517532.59178256 -1658252.4441169
160394.272153823 175267.533140098
-303466.22450919 -331606.458552685
606930.039973191 663210.284670921
-17021614.0668953 -18600017.7406985
5396940.50451715 5897395.4370605
-550259.664761613 -601284.900852155
5,166,336 5,645,407
0 0
326,170 326,170
538,214 538,214
3,769,666 3,769,666
Horizantal
2014 2015
Sales 8.4% 10.1%
Discounts and returns 15.48% 22.85%
Net sales 7.8% 8.9%
Cost of Goods Sold 7.02% 8.94%
depreciation 1.4% -8.7%
gross profit 9.38% 11.07%
-6.7% 9.2%
-12.24% 16.63%
-34.2% 3.1%
-8.73% -65.27%
100.6% 15.8%
24.04% 27.04%
-28.9% 0.3%
-95.29% 286.60%
-19.2% -18.1%
10.22% -2151.88%
-10.0% -0.1%
38.80% 93.98%
74.1% -43.0%
40.29% 86.79%
29.4% 86.8%
-97.42% 13496.66%
-386.8% 639.8%
46.49% 209.05%
Vertical
2013 2014 2015
Sales 100.00% 100.00% 100.00%
Discounts and returns -8.36% -8.90% -9.93%
Net sales 91.64% 91.10% 90.07%
Cost of Goods Sold -41.85% -41.31% -40.87%
depreciation -6.03% -5.64% -4.67%
gross profit 43.76% 44.15% 44.53%
Basic and diluted earnings (loss) per share 0.00% 0.00% 0.00%
-15.69% -13.95%
-9.18% -8.71%
-2.05% -1.72%
-0.96% -0.27%
-0.82% -0.77%
-0.83% -0.86%
-2.64% -2.15%
0.03% 0.08%
-0.60% -0.40%
-0.12% 2.03%
-32.86% -26.72%
11.29% 17.82%
-0.63% -0.29%
11.92% 18.11%
0.00% 0.00%
0.03% 3.54%
1.66% 10.01%
12.36% 31.09%
2013
Assets
Current Assets
Cash and cash Equivalents 2,802,290
Accounts Receivable 17,497,672
Inventory 7,814,096
Held for trading financial asset through loss and profit 19,231
Other current assets 2,105,163
Total current assets 30,238,452
property,plant and equipment 22,523,940
Intangible asset 0
Investment in associates 441,400
property investment 329,523
Available for sale financial asset 273,151
Differed tax assets 62,677
Total fixed assets 23,630,691
Total assets 53,869,143
Shareholder equity
Paid in capital 17,060,000
Additional paid in capital(share premium) 2,779,138
Statutory reserve 3,807,885
Voluntary reserve 1,367,966
Change in fair value of financial assets 3,396,624
Foreign currency translation differences 2,006,362
Retained earnings 5,926,533
Equity attributable to equity holders of the parent 36,344,508
non controlling interest 705,854
Total Owner's equity 37,050,362
Asset
Current Assets
Cash and cash Equivalents 3.1% -42.0% 9.1%
Accounts Receivable -7.9% 0.5% 5.1%
Inventory 20.5% -6.5% 10.8%
Held for trading financial asset through loss and profit -3.1% -31.9% 9.2%
Other current assets 30.2% -11.0% 5.9%
Total current assets 3.1% -6.6% 7.1%
property,plant and equipment -8.3% -0.2% -2.5%
Intangible asset 0.0% 0.0% 0.0%
Investment in associates 13.4% 31.0% 1.1%
property investment -10.8% -0.1% 1.4%
Available for sale financial asset -11.2% 53.3% 2.5%
Differed tax assets 102.7% 2.5% 1.4%
Total fixed assets -7.6% 1.1% -1.3%
Total assets -1.6% -3.4% 3.5%
Shareholder equity
Paid in capital 0.0% 0.0% 5.5%
Additional paid in capital(share premium) 0.0% 0.0% 33.8%
Statutory reserve 7.8% 8.1% 8.5%
Voluntary reserve 0.0% 0.0% 0.0%
Change in fair value of financial assets -0.1% 10.5% 0.2%
Foreign currency translation differences -136.9% 10.1% -66.6%
Retained earnings 4.4% 12.9% 19.5%
Equity attributable to equity holders of the parent -6.0% 4.1% 11.7%
non controlling interest -39.6% 52.0% -18.7%
Total Owner's equity -6.7% 4.7% 11.2%
0.0% 0.0% 0.0%
Total liabilities and shareholder equity -1.6% -3.4% 3.5%
2017 average
Virtical
Asset
Current Asset
88.1% 14.6% Cash and cash Equivalents
3.5% 3.0% Accounts Receivable
31.1% 11.8% Inventory
3.7% -6.3% Held for trading financial asset through loss and profit
9.0% 1.3% Other current assets
17.6% 6.0% Total current assets
12.2% 3.1% property,plant and equipment
137.0% 45.7% Intangible asset
4.5% 12.2% Investment in associates
10.7% 4.0% property investment
97.9% 51.2% Available for sale financial asset
10.7% 4.9% Differed tax assets
14.6% 4.8% Total fixed assets
16.3% 5.5% Total assets
#DIV/0!
#DIV/0! Liabilities and shareholder equity
#DIV/0! Current liabilities
7.8% -8.0% Account payable
-52.4% -27.0% Short term loans
37.5% -27.5% Income tax provision
12.4% -4.4% Other current liabilities
-4.1% -12.6% Total current liabilities
-55.6% -40.8% Long term loans
22.1% 12.8% Provision of employees indemnity
-3.7% -12.5% Total liabilities
#DIV/0!
#DIV/0! Shareholder equity
0.0% 1.8% Paid in capital
0.0% 11.3% Additional paid in capital(share premium)
0.0% 5.5% Statutory reserve
0.0% 0.0% Voluntary reserve
33.1% 14.6% Change in fair value of financial assets
-1186.2% -414.2% Foreign currency translation differences
51.9% 28.1% Retained earnings
22.2% 12.7% Equity attributable to equity holders of the parent
61.6% 31.6% non controlling interest
22.7% 12.9% Total Owner's equity
0.0% 0.0%
16.3% 5.5% Total liabilities and shareholder equity
2013 2014 2015 2016 2017 average
0 -1,237,200 0 0
0 0 1,880,000 0
0 -1,237,200 1,880,000 0
-1,487,522 -2,843,760 -2,493,950 -1,768,031
2,000,000 2,086,778 395,207 0
-274,275 -365,605 -250,904 -146,205
238,203 -3,596,987 1,410,353 -1,914,236
0.198582
0.011902
0.247788
0.011762
4.457503
2.559533
0.418459
28442333
1.69145
182.8725
0.993412
367.4207
1.408588
0.570449
3.137624
0.446497
116.3301
550.2932
0.310857
0.445398
0.174231
0.177328
0.221268
Operating Activities 2018 2019 2020 2021
Net Income Before income Tax 3959540.72 4,326,706 4,727,919 5,166,336
depreciation 1901610.42 2,077,946 2,270,632 2,481,186
gain/loss from hild for trading assets 911.35 854 799 749
Net Cash flow from Financing Activities -284,370 -1,119,039 -2,293,228 -3,864,697
Net change in cash and cash equivalents 3,797,474 2,729,763 1,885,096 622,643