Shenzhen Quanxinhao Co., Ltd.

SZSE:000007.SZ

4.68 (CNY) • At close October 26, 2023
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) CNY.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993199219911990
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 193.152163.68359.01851.16978.9516.678.86558.402218.91374.721225.698225.849105.4037.48129.17196.718182.94422.45119.58673.14382.52994.7789.88132.1250.79898.99962.93811.47515.75534.95564.976.48700
Kortetermijnbeleggingen 90.693.3912.61625.74933.2858.729149.901-29.676-52.041-61.4030000000.30.30.31.2460.58400.1980.1985.19828.96520.72810.13426.734.2891.28100
Liquide middelen en kortetermijnbeleggingen 202.152164.37362.40863.785104.70139.94967.594208.302218.91374.721225.698225.849105.4037.48129.17196.718182.94422.75119.88673.44383.77595.35489.88132.31850.996104.19791.90232.20225.8961.68569.2587.76800
Nettovorderingen 17.55317.037212.567183.982178.842179.703125.47948.96931.02956.931058.119.6670.36256.53510.6939.3859.28319.90363.722170.091288.217082.847022.4946.6828.0866.0893.47422.166000
Voorraad 29.71932.59126.6751.4240.1350.1050.11914.92715.42917.38218.07218.73519.30219.57220.4420.97521.40682.955173.894313.312213.562257.159396.777123.286168.536212.65646.80835.70647.21652.52857.43950.356016.965
Overige vlottende activa 5.46129.181215.7210.084107.88864.6380.1440.09722.644311.356110.083284.2061.4780.7913.12771.63298.74578.74994.1215.82557.05847.762211.581349.196437.773221.686183.943130.438106.44183.17543.45125.467023.992
Totaal vlottende activa 278.872239.49304.803249.275391.566284.395193.337257.476287.987460.391421.77586.889145.84398.205109.272289.325303.094294.851382.884542.086524.486645.288698.239561.782566.223600.811329.335202.449185.636200.747192.29983.591040.957
Niet-vlottende activa:
Materiële vaste activa, netto 57.23551.80856.04246.22160.07866.45771.37569.05372.01376.90982.33385.16988.66292.95399.488104.585173.537445.67398.223429.862499.988482.139376.168346.593421.923319.62298.531244.808114.578109.04259.23631.53606.957
Goodwill 0000009.47466.919.4749.4749.47413.96613.96613.96613.96613.96613.96626.6230000000000000000
Immateriële activa 0.0690.0890.30.1690.2320.290.3260.2080.2510.2940.3370.3970.0430.0710.1040.15510.02110.36210.60611.35918.83219.7112.95514.1383.64215.69418.40716.8324.8964.9820.9350.24800
Goodwill en immateriële activa 0.0690.0890.30.1690.2320.299.867.1179.7259.7689.81114.36314.00914.03614.0714.12123.98710.36210.60611.35918.83219.7112.95514.1383.64215.69418.40716.8324.8964.9820.9350.24800
Langetermijnbeleggingen 5.13714.12716.86710.76919.599112.3468.851-60.28430.89253.25862.623.2170000054.55862.18764.7573.1322.898022.1338.7859.4340000014.83900
Belastingvorderingen 3.2240.0030.0010.0010.4189.4212.9692.6050.7080.8950.5181.4830.2320.2260.2480.4050.2030.224000006.43555.11881.123000001.28100
Overige niet-vlottende activa 53.69248.66954.00357.95961.79971.80696.344178.39979.03979.70580.4698.558113.67127.001140.194202.214236.3620.2130.3890.3631.2460.88214.8110.8120.04723.283145.488136.982215.705141.89461.0690.75875.4841.163
Totaal niet-vlottende activa 119.357114.696127.213115.119142.127260.315249.339256.891192.378220.534235.742202.791216.573234.216254321.325434.089511.027471.405506.334593.198505.628403.935390.107539.509499.154462.426398.622335.179255.918121.2448.66175.4848.12
Totaal activa 398.23354.186432.015364.394533.693544.71442.676514.368480.365680.925657.512789.68362.415332.422363.272610.65737.183805.878854.2881,048.421,117.6841,150.9161,102.174951.8891,105.7331,099.964791.761601.071520.815456.664313.539132.25375.48449.077
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 24.29122.07319.2735.7345.7036.0045.6275.7125.72142.5839.351218.9329.6869.0336.67110.95523.67647.35343.5337.54841.9154.868135.2922.46560.595158.26848.77616.04827.22528.15227.22519.86409.041
Kortlopende schulden 32.4833227.25900000040202.4199.075041.776173.634363.893446.489480.423492.411543.32500.831469.062388.342326.262368.254388.601255.462223.035193.623106.37676.154018.6
Belastingschulden 9.1340.791.0251.2164.4551.0372.04212.26234.84235.70921.9983.7686.93943.6642.4741.27744.33546.5949.02254.90750.31948.92225.24812.1488.72410.225.2885.1242.4830.2033.956-0.15500
Uitgestelde opbrengsten 68.6030.902152.6780.0340.6160.865.061.734096.55970.18847.30344.126280.809203.381249.27221.248209.672162.773141.917178.461180.187224.838201.23194.54494.10886.88332.58916.2513.5939.0641.43709.476
Overige kortlopende verplichtingen 62.17273.433154.259193.57231.62235.11544.29658.7166.96693.52870.51771.11253.473242.989164.234214.903186.633204.32146.106296.597139.338296.108364.495471.796305.35496.3685.72933.85814.1284.0625.9941.8509.746
Totaal kortlopende verplichtingen 129.108128.297203.475197.8741.77942.15551.96576.684107.528311.82304.266492.88570.098337.458387.008631.027701.134778.686731.069932.372732.398868.961913.377812.67742.926653.45395.255278.065237.459138.792113.27475.558037.386
Langlopende verplichtingen:
Langetermijnschulden 9.3143.0645.0243.3970000000003.756.759.7510.06310.06314.71710.709110.70910.7091.1951.2530.514.2424.362.50.28500000
Uitgestelde opbrengsten niet-vlottend 000-3.397000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 3.2236.1546.1546.1546.154000.45100000000000000000000000000
Overige niet-vlottende verplichtingen 118.56114.391103.31592.568272.956308.3280.2840011.13900023.96723.96744.74834.3410010.20110.20110.362000000.585000043.0380
Totaal niet-vlottende verplichtingen 131.098123.609114.49298.722279.11308.3280.2840.451011.13900027.71730.71754.49844.40410.06314.71720.91120.9121.0711.1951.2530.514.2424.363.0850.28500043.0380
Totaal passiva 260.206251.906317.967296.592320.889350.48352.24977.136107.528322.959304.266492.88570.098365.175417.726685.525745.538788.749745.786953.282853.308890.032914.572813.92773.426667.69419.615281.15237.744138.792113.27475.55843.03837.386
Eigen vermogen:
Preferente aandelen 66.66354.56951.12948.00126.03722.3850000000000000000000000000000
Gewone aandelen 346.448346.448346.448346.448346.448346.448346.448230.965230.965230.965230.965230.965230.965184.965184.965184.965184.965184.965143.594143.594143.594143.594143.594143.594143.594143.594143.59473.63873.63873.63843.31625.4823.48610.5
Ingehouden winsten -320.048-355.97-348.613-388.584-265.672-321.759-125.547-142-220.019-309.14-278.946-300.113-308.847-314.549-329.945-356.074-294.848-270.513-178.99-183.582-41.519-67.098-233.03-209.1152.66356.02727.45623.6710.2627.24917.8475.23300
Overige gereserveerde algehele resultaten -66.663-54.569-51.129-48.001-26.037-22.38511.41411.414162.5950.8340.11100000000000000000000000
Overige totale aandeelhoudersvermogen 166.023154.656154.609154.609154.609154.609166.023281.506433.386270.791270.791359.399357.29886.53890.07886.53986.539110.934123.29116.529130.92122.434245.626182.262182.959210.18148.308189.704182.845167.203134.96423.1978.9591.191
Totaal eigen vermogen van aandeelhouders 125.7690.518101.31464.472209.348190.712386.924370.471369.208354.9346.99286.102279.416-43.045-58.441-84.571-23.344-10.50387.89376.541232.995198.93146.22277.489289.583355.072319.358287.013256.743268.09196.12853.9132.44611.691
Totaal eigen vermogen 138.023102.28114.04967.802212.804194.227390.427437.232372.836357.966353.245296.795292.317-32.754-54.454-74.875-8.35517.129108.50295.138264.376260.885187.601137.969332.307432.274372.147319.92283.07317.872200.26556.69432.44611.691
Totaal passiva en aandeelhoudersvermogen 398.23354.186432.015364.394533.693544.71442.676514.368480.365680.925657.512789.68362.415332.422363.272610.65737.183805.878854.2881,048.421,117.6841,150.9161,102.174951.8891,105.7331,099.964791.761601.071520.815456.664313.539132.25375.48449.077