Shenzhen Ecobeauty Co., Ltd.

SZSE:000010.SZ

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 26.44823.16629.32866.59589.19286.676408.406557.1511,264.114388.436461.88514.510.13819.00124.5295.79913.19110.35132.016177.111198.53116.55236.81545.09930.98655.10326.29931.76513.6132.4292.7468.025
Kortetermijnbeleggingen -21.029334.998-28.935-36.495-46.158-138.008-99.0980-763.6310002.8094.67615.46911.4350.6200.0400300000015.3101.46500
Liquide middelen en kortetermijnbeleggingen 26.44823.16629.32866.59589.19286.676408.406557.1511,264.114388.436461.88514.512.94823.67739.99817.23313.81110.35132.056177.111198.53146.55236.81545.09930.98655.10326.29947.07513.6133.8942.7468.025
Nettovorderingen 2,072.2422,427.2933,394.3972,486.2291,821.1111,201.183380.926493.683562.953231.223213.882103.835109.42572.7378.02984.22679.644184.599117.323299.738373.36246.177183.14327.2738.66914.81918.85413.9911.3827.51993.25244.282
Voorraad 96.039113.171175.363204.0321,526.2171,233.7111,887.8761,799.7171,437.506137.263283.86372.53168.93368.66971.23356.93531.01646.13142.267111.45587.82286.31153.92561.82147.23627.85115.23712.212.42311.9668.136.105
Overige vlottende activa 95.518199.10890.66990.762135.83296.979141.737180.505178.985-60.9720.167-4.646-11.6850.155-5.836-4.6420.017-67.83924.0123.896-47.975-77.081125.864146.884114.03376.56777.59175.79862.574-36.334-19.142
Totaal vlottende activa 2,290.2472,762.7383,689.7582,847.6183,572.3522,618.5492,818.9453,031.0563,443.558695.949959.797186.22179.621165.231183.424153.753124.488173.242193.646592.316663.609431.066196.802260.057233.775211.805136.957150.856113.21685.95467.79439.271
Niet-vlottende activa:
Materiële vaste activa, netto 17.58725.16432.88422.82444.09271.0362.79469.7667.91448.1147.17335.83439.10233.9134.0833.66438.88239.22144.486190.042143.669125.54925.64651.45953.29767.304165.534117.19192.79434.63329.38518.066
Goodwill 72.60282.669203.02203.02203.02203.020698.326813.32600000004.207000000000000000
Immateriële activa 1.9592.0712.1831.8658.3749.9811.69712.07212.2355.0877.8687.0787.2575.7215.896.0783.1193.0759.7726.03827.1528.1117.10116.79417.1119.987000000
Goodwill en immateriële activa 74.5684.74205.203204.885211.39421311.697710.398825.5615.0877.8687.0787.2575.7215.896.0787.3263.0759.7726.03827.1528.1117.10116.79417.1119.987000000
Langetermijnbeleggingen 356.0270362.435373.995378.608259.008109.206917.188769.75604.54.52.582-3.765-14.558-10.523106.3920105.5110035.1180000000000
Belastingvorderingen 61.05361.90160.11638.01352.21546.67137.49133.60530.5394.5464.0492.8722.2471.5721.4750.6570.234003.693000000000000
Overige niet-vlottende activa 338.332688.135237.09654.3963365.0265.0291.2824.85550.5274.4043.2767.1019.53221.54518.4768.62828.4810.0450.05432.35330.10164.68523.47253.99473.17236.88115.66412.335.54112.1342.12
Totaal niet-vlottende activa 847.56859.94897.733694.112719.308654.729286.2081,822.2321,718.625108.26967.99353.5658.2946.97148.43148.353161.46170.777159.806269.827203.173218.87997.43291.725124.402150.463202.416132.855105.12440.17441.5220.186
Totaal activa 3,137.8073,622.6784,587.4913,541.734,291.663,273.2783,105.1534,853.2885,162.183804.2181,027.79239.78237.911212.201231.855202.107285.95244.019353.452862.143866.781649.944294.234351.782358.177362.268339.372283.711218.339126.127109.31359.457
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 925.185989.3041,924.1731,229.9971,621.361891.052888.944847.352714.69102.963126.76258.95954.9140.00148.73841.94836.03426.65533.14936.571159.3147.25220.30218.72416.33815.34124.57224.96622.8917.5578.2014.986
Kortlopende schulden 161.007269.26366.534878.517233.494235.719723.1251,050.7951,129.6031.822.314.814.814.35667.105114.175169183.385108.9192.947149.316104.50875.00695.53481.06861.01648.35439.523.06
Belastingschulden 54.81548.09897.15460.7186.8444.0665.75138.28594.2157.99843.77825.81326.15721.21218.16917.76619.41419.09912.6887.9424.351-5.953-10.916-5.8531.389.867-0.367-0.445-11.14-8.2381.1490.017
Uitgestelde opbrengsten 1,561.37387.6471,388.14924.6671,434.00544.06681.796151.989391.2240157.74642.32549.77539.65134.6938.91341.88471.62637.744108.24785.05875.22-8.73316.737101.87347.03220.7922.24613.05-000
Overige kortlopende verplichtingen 193.5081,311.91194.521586.169236.4631,436.546133.522122.31516.67994.58749.56420.77924.20528.55643.60138.524.58551.76394.32796.23623.48135.69524.0592.0083.5623.0263.313.3242.525-3.3712.6489.933
Totaal kortlopende verplichtingen 2,841.0732,658.1243,573.3762,719.353,525.3232,607.3831,827.3872,172.4522,252.193197.55365.872144.363143.689123.008141.378125.361108.504157.149279.395410.054451.235267.076128.575186.785226.281140.405144.205131.60599.48162.5450.3537.98
Langlopende verplichtingen:
Langetermijnschulden 42.72245.408149.49215.76206275456726.29754000000.2540.6130.2740.27430.17531.72732.985000024.924.90000
Uitgestelde opbrengsten niet-vlottend 00-0-15.7620-6210.37500-53.2660000000.427000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 4.3614.7525.1455.53712.60713.0846.8537.0977.4910.3440.1970.04200.2051.584015.575000000000000000
Overige niet-vlottende verplichtingen 0.37317.9691.080.5690625.948.1385.9542.03600.83.565.1135.00927.1410.153075.86338.94639.69622.098-1.950028.45100000
Totaal niet-vlottende verplichtingen 47.45668.129155.7166.10612.60775.08498.168471.235739.68755.0782.2320.0420.83.7656.6975.26343.7560.4270.274106.03870.67272.6822.098-1.950053.35124.90000
Totaal passiva 2,888.5292,726.2533,729.0922,725.4563,537.932,682.4681,925.5552,643.6872,991.881252.628368.105144.405144.489126.773148.075130.624152.259157.575279.668516.092521.907339.757128.575184.835226.281140.405197.555156.50599.48162.5450.3537.98
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000
Gewone aandelen 1,149.6521,058.692819.855819.855819.855819.855819.855819.855819.855588.07588.07147.017147.017147.017147.017147.017147.017147.017147.017147.017147.017147.017147.017147.017147.01773.50958.65158.65152.36732.72922.5184.657
Ingehouden winsten -2,828.211-2,329.327-1,793.537-1,817.667-1,857.507-1,904.484-1,172.984-124.03-163.907-184.878-110.324-119.511-120.581-125.596-124.553-131.945-147.76-106.448-96.652-15.361-0.363-7.394-19.537-18.121-62.36630.99812.2841.8311.7845.0315.6292.4
Overige gereserveerde algehele resultaten 154.014125.248124.482122.939117.221137.574141.051140.847140.4842.4482.072000000000000000000000
Overige totale aandeelhoudersvermogen 1,759.5661,851.0641,366.3911,366.3911,366.3911,366.3911,366.3911,366.3911,366.391140.634140.63428.58125.70624.97524.79223.721111.61523.7218.45423.65723.2223.2223.2225.16937.022117.35656.84154.22851.69425.82630.81714.42
Totaal eigen vermogen van aandeelhouders 235.022705.677517.191491.517445.96419.3351,154.3132,203.0632,162.823546.274620.45156.08852.14346.39747.25738.793110.87264.2958.82155.313169.874162.843150.7154.066121.673221.863127.776114.71105.84563.58758.96421.477
Totaal eigen vermogen 249.278896.425858.398816.274753.73590.8111,179.5982,209.62,170.302551.591659.68595.37593.42285.42883.7871.482133.69186.44473.784346.051344.874310.188165.659166.947131.896221.863141.817127.206118.85863.58758.96421.477
Totaal passiva en aandeelhoudersvermogen 3,137.8073,622.6784,587.4913,541.734,291.663,273.2783,105.1534,853.2885,162.183804.2181,027.79239.78237.911212.201231.855202.107285.95244.019353.452862.143866.781649.944294.234351.782358.177362.268339.372283.711218.339126.127109.31359.457