Shenzhen Universe Group Co., Ltd.

SZSE:000023.SZ

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 145.384217.931309.654479.693547.98483.303425.041221.547173.423178.909202.375257.959195.90295.42475.30363.31652.48174.169125.49887.85558.24542.731176.124165.415126.44655.61638.56137.37763.89529.43126.71213.9990
Kortetermijnbeleggingen -131.508-113.797-152.668-168.122-178.727-33.843-24.9180004300.450.4500.450.790000.010.010.020.020.020.020.020.1880.2540.2811.2070.3010
Liquide middelen en kortetermijnbeleggingen 145.384217.931309.654479.693547.98483.303425.041221.547173.423178.909202.375257.959195.90295.42475.30363.31652.48174.169125.49887.85558.25542.741176.144165.435126.46655.63638.58137.56564.14929.71227.91914.30
Nettovorderingen 645.402836.7411,167.1711,234.4611,209.7051,031.979784.982738.913744.526698.488594.781521.782414.482312.083240.631217.053206.318322.91328.153320.576385.884354.146196.0677.54510.99831.02516.54115.22136.62841.71457.36531.3080
Voorraad 126.304118.674128.944225.226321.119524.399500.52394.18478.242425.987380.018243.89170.312211.02393.639331.15200.176112.399142.93823.4575.1554.397118.891162.454171.225119.37993.68979.18657.25919.78219.32172.4020
Overige vlottende activa 13.8957.04310.64113.30646.01744.12930.36311.1899.6736.5365.79930-12.531-12.526-8.505-8.329-10.889-7.697-9.697-49.843-98.306-97.153-28.048193.057153.67176.138136.45895.38673.36472.75733.16621.7140
Totaal vlottende activa 930.9861,180.3891,616.4091,952.6872,124.822,083.811,740.9071,365.8281,405.8631,309.921,182.9731,053.631768.163606701.068603.19448.086501.781586.891382.045350.988304.131463.054528.491462.359382.178285.269227.357231.401163.965137.771139.7250
Niet-vlottende activa:
Materiële vaste activa, netto 93.77121.181186.849147.124176.193165.582151.095107.666122.176126.312124.559128.567259.854265.885308.744304.881310.989338.214315.539328.07335.481323.455278.106145.409147.199156.284171.137156.328177.596123.18186.3535.3150
Goodwill 00000000001.0531.0531.0531.0531.053000000000000000000
Immateriële activa 11.07111.9191.5622.4833.2344.1295.0157.5218.619.710.7128.8228.8429.5715.4825.8686.2546.38815.6637.724.0748.04923.90924.00715.26315.8415.4192.095013.5890.50.50
Goodwill en immateriële activa 11.07111.9191.5622.4833.2344.1295.0157.5218.619.711.7659.8759.89510.6246.5355.8686.2546.38815.6637.724.0748.04923.90924.00715.26315.8415.4192.095013.5890.50.50
Langetermijnbeleggingen 135.041117.902282.973172.959182.73134.56825.6437.0916.694000.450000000026.87385.92292.298117.458115.913121.4730000000
Belastingvorderingen 53.09639.65552.37140.4420.83118.43824.6722.60920.97919.11915.98915.94640.04740.50440.35535.31324.959000000-82.145-97.828-103.3770000000
Overige niet-vlottende activa 4.48443.24124.64212.38811.59513.9664.293.251.5438.9529.62810.57515.61315.50818.51925.2058.90638.04517.5235.4916.0445.6772.78395.33594.77117.936108.788108.265102.19177.95572.36812.4150
Totaal niet-vlottende activa 297.461333.897548.397375.396394.584236.682210.713148.137160.002164.082161.941165.414325.408332.521374.152371.266351.109382.647348.722371.281372.473423.103397.096300.063275.317308.157295.344266.687279.787214.725159.21848.2397.278
Totaal activa 1,228.4471,514.2862,164.8062,328.0822,519.4042,320.4931,951.6191,513.9651,565.8661,474.0021,344.9131,219.0451,093.571938.5211,075.22974.457799.195884.427935.613753.326723.461727.234860.15828.555737.676690.335580.613494.044511.187378.69296.989188.4397.278
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 636.675771.2371,062.052816.316915.628788.61629.651518.114551.662557.696553.451404.229309.879251.043253.02108.918125.929210.217141.071102.55190.845109.599110.17296.935126.87673.1475.88932.47327.14218.88930.42161.6950
Kortlopende schulden 145.598158.347151.978359.485383.338356.584327.156238.898292.429266.183230.509257.712243.443220.5325.5173.3176.116139.616226.5260301267.8350.673275.252218.783168.68128.13155.007169.11283.33628.0220
Belastingschulden 94.32569.34176.22880.92160.9260.0749.59444.0551.70841.57135.02533.71231.36718.52610.65125.56726.22725.23122.21521.65920.918.19834.73219.74218.47715.18813.4948.178.4936.392.7885.8720
Uitgestelde opbrengsten 283.1542.862257.551442.911220.2360.07201.018125.464172.468130.995110.64691.631105.53193.81394.984125.258170.79397.29895.39997.66388.984114.923171.375142.063102.5198.13569.61452.29561.24126.91228.11828.4470
Overige kortlopende verplichtingen 1.799248.10371.46590.762399.388607.547310.776107.97695.67578.35730.4381.7447.06328.21285.65102.23422.177158.165227.45319.4860.9270.55924.99520.7961.5932.0593.5321.3112.0596.482.59725.8470
Totaal kortlopende verplichtingen 1,067.2261,180.5491,543.0471,709.4741,918.5841,812.8111,468.601990.4521,112.2341,033.232925.044755.317665.915593.569759.154509.71495.015605.297690.423479.7481.756492.881657.215535.045449.763342.014277.165241.086259.554135.5897.136144.0110
Langlopende verplichtingen:
Langetermijnschulden 27.56232.97342.3724.3510.4420.3563.70866.9385.66315.5874.82256.34182.41727.5592.135160.3996.0210.0695.4716.486002.573.316.7930.40.46.0496.1485.2311.235.2460
Uitgestelde opbrengsten niet-vlottend 0.2870.4191.0190.2080.290.3660.5130.9711.4170.62100000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 7.96906.9-24.3510-0.356-3.708-66.938-5.663-15.58700000000000000000000000
Overige niet-vlottende verplichtingen 57.9451.10212.37112.37115.1870.3563.70866.9385.66315.5870-56.3410002.376000000003.2099.5136.6710003.91100
Totaal niet-vlottende verplichtingen 93.75884.49462.6612.57915.9190.7214.2267.9097.0816.2074.82256.34182.41727.5592.135162.7756.0210.0695.4716.486002.573.3110.0029.9137.0716.0496.1485.2315.1415.2460
Totaal passiva 1,160.9841,265.0431,605.7071,722.0541,934.5031,813.5331,472.8211,058.3611,119.3141,049.439929.866811.658748.332621.128761.289672.485501.034615.365695.894486.186481.756492.881659.785538.355459.764351.927284.237247.135265.702140.812102.277149.2560
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000
Gewone aandelen 138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756138.756132.149114.912114.912109.4491.27614.1440
Ingehouden winsten -311.055-151.51119.211172.245181.587139.088119.70597.10894.19875.7566.05455.63758.98350.94246.68537.28733.5912.983-29.175-4.482-15.167-21.293-29.2620.0080.0546.61117.280.037045.82833.2800
Overige gereserveerde algehele resultaten 0.32459.74459.9760.05459.9460.15960.19357.81757.529000000000000000000000000
Overige totale aandeelhoudersvermogen 152.47293.05493.60493.60493.60493.60493.60493.60493.604147.613145.612145.16129.044122.177122.177122.177122.36109.27111.557104.464101.37100.37470.973131.781118.828176.344142.012131.01130.973100.12184.70324.4620
Totaal eigen vermogen van aandeelhouders -19.504140.044411.541464.659473.886431.606412.257387.285384.087362.119350.422339.554326.783311.875307.619298.221294.707251.009221.138238.738224.96217.837180.467270.545257.638315.104274.205245.959240.413237.15193.98338.60716.82
Totaal eigen vermogen 67.463249.243559.099606.029584.901506.96478.799455.604446.552424.563415.047407.387345.239317.394313.932301.972298.161269.062239.718255.297241.706234.354200.365290.2277.912338.408296.376246.91245.486237.878194.71239.17316.82
Totaal passiva en aandeelhoudersvermogen 1,228.4471,514.2862,164.8062,328.0822,519.4042,320.4931,951.6191,513.9651,565.8661,474.0021,344.9131,219.0451,093.571938.5211,075.22974.457799.195884.427935.613753.326723.461727.234860.15828.555737.676690.335580.613494.044511.187378.69296.989188.43114.098