Grandjoy Holdings Group Co., Ltd.

SZSE:000031.SZ

3.44 (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 30,084.61436,529.77324,886.15531,764.00527,597.50612,001.29510,282.55613,622.6959,332.9887,290.5996,925.0595,962.7753,946.3592,500.5061,334.2021,293.3891,599.107216.16177.451104.47288.4381.25129.387157.993197.183203.72224.804172.119153.581109.392177.678104.268.683
Kortetermijnbeleggingen 0-398.9756.8831.1251.903-3,961.737-3,913.115-4,094.1460000000539.536017.885003.1976.3678.29513.8485.2837.6165.6120.2235.1366.1833.1510.8020.798
Liquide middelen en kortetermijnbeleggingen 30,084.61436,529.77324,893.03531,795.12527,649.40912,001.29510,282.55613,622.6959,332.9887,290.5996,925.0595,962.7753,946.3592,500.5061,334.2021,293.3891,599.107216.16177.451104.47291.62887.617137.683171.841202.466211.337230.416172.342158.718115.575180.83105.00269.481
Nettovorderingen 82.564317.416301.477319.111323.17632,997.964179.363213.1413,100.47226.836993.792382.4730759.2551,000.56100402.65218.633015.34002.98762.78374.3271.2941.1540.960.1882.0331.1710
Voorraad 91,941.47595,704.899102,003.37887,457.16175,768.32442,835.07334,630.6630,418.39837,918.28632,673.27129,182.36324,859.31224,490.26412,823.5836,425.6465,010.7921,303.334373.676289.212282.452314.558326.697242.143315.088439.545488.859447.255307.829321.578304.3862.19366.86160.019
Overige vlottende activa 22,867.21825,472.80230,665.99330,011.76130,474.19832,758.5312,021.1181,234.933,096.798519.347866.882942.1241,383.924664.067582.241918.601972.433261.48840.61550.264128.155121.436171.552155.299110.022210.396338.673466.113273.743180.716400.613124.94754.509
Totaal vlottende activa 144,975.872157,707.475157,562.406149,264.047133,779.51380,713.15365,215.51352,333.64649,547.47940,664.30236,974.30432,041.37729,820.54816,649.2238,340.7567,222.7823,874.874806.202407.277437.187535.265535.75551.378606.989761.638968.3751,017.638947.438754.999600.865585.666597.981184.009
Niet-vlottende activa:
Materiële vaste activa, netto 3,695.273,975.6244,286.1634,288.8344,382.81548.564568.454628.512566.877852.438650.207437.305188.38257.371275.944380.561327.461,184.7761,175.1151,139.161907.982773.722772.606510.822615.176595.973577.403505.337443.24401.956351.856157.92941.289
Goodwill 228.737305.214305.214305.214305.214133.719133.719147.634161.184161.18485.53913.84513.8451.0431.0431.0431.0430.21000000000000000
Immateriële activa 1,580.1061,652.3771,722.8011,814.0881,892.79353.32554.35156.95534.54861.76459.8731.65427.89127.83825.38245.40354.87228.97429.80730.6430.09824.65928.04357.604132.23146.71114.583138.764141.664145.008183.95700
Goodwill en immateriële activa 1,808.8431,957.5922,028.0162,119.3022,198.007187.044188.07204.589195.732222.948145.40945.49941.73528.88126.42446.44655.91428.97429.80730.6430.09824.65928.04357.604132.23146.71114.583138.764141.664145.008183.95700
Langetermijnbeleggingen 12,976.00914,582.72114,123.88111,499.87111,327.4688,488.1077,312.7256,175.227605.8671,320.9911,655.1361,318.57200000372.98600215.738222.332244.884230.64146.798139.7630000114.63800
Belastingvorderingen 1,131.6831,599.2141,830.252,382.7232,074.6631,234.0451,068.552690.831560.099425.443387.535122.074123.60738.0471.1860.1468.48324.3360014.04519.50924.968-223.22-139.37519.91500003.15100
Overige niet-vlottende activa 33,473.50634,609.64232,896.38930,316.6129,420.1051.0171,398.1621,244.1453,845.5972,825.351790.125873.7352,428.3223,200.1094,642.9521,397.6711,742.27441.239294.629281.3312.8083.72414.343223.866144.71515.237214.006184.852143.189127.511.178107.23370.674
Totaal niet-vlottende activa 53,085.31156,724.79355,164.69850,607.34149,403.05410,458.77710,535.9628,943.3045,774.1725,647.1713,628.4132,797.1852,782.0453,524.4074,946.5071,824.8242,134.1311,652.3111,499.551,451.1331,170.6711,043.9471,084.844799.713899.544917.599905.991828.953728.093674.464664.781265.161111.963
Totaal activa 198,061.182214,432.268212,727.105199,871.388183,182.56691,171.9375,751.47661,276.9555,321.65146,311.47340,602.71734,838.56232,602.59320,173.6313,287.2639,047.6076,009.0062,458.5131,906.8281,888.321,705.9361,579.6971,636.2221,406.7011,661.1811,885.9751,923.6291,776.3911,483.0921,275.331,250.447863.142295.972
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 15,980.70815,690.17614,721.50617,092.59111,175.21410,824.2814,844.2265,083.7055,250.9463,498.6823,602.0142,890.151,998.483625.057502.57150.594142.51460.10937.44272.75639.26446.4643.33562.098173.435205.739233.6165.167240.929158.428172.323188.5930.37
Kortlopende schulden 96015,785.10617,397.4418,018.06616,833.9246,273.49312,405.1717,376.1225,7459,203.39,4806,037.3754,9444,6732,7903,5571,06069141645125519022980158171.091154.131179.067120.70457.5028.494
Belastingschulden 4,108.4963,975.0416,628.0187,412.1136,177.3853,519.0773,905.073,314.441781.422886.706701.171369.135429.186409.899220.368245.646128.4715.9324.4117.5445.1946.5796.2922.0197.7119.018.05229.62527.74514.72520.84627.39716.396
Uitgestelde opbrengsten 030,830.8767,518.17858,866.5427,323.1353,519.07712,161.1215,201.3472,506.3462,549.9064,708.1385,670.1345,540.9652,298.014625.027707.663417.104195.228116.952121.664112.505124.701115.38797.747101.306122.29296.68148.845183.44973.678052.27244.475
Overige kortlopende verplichtingen 74,735.50637,336.55364,555.57355,464.91651,196.67452,755.70927,265.52616,025.74516,264.60210,072.26410,862.61411,292.69811,858.2583,434.06726.146516.54977.525362.935112.73114.346148.018161.028199.68121.42192.128141.126136.594294.786179.121117.398214.458259.481196.611
Totaal kortlopende verplichtingen 95,784.711103,617.746103,302.53697,963.66784,836.79545,279.69948,419.99231,800.01426,490.40423,660.95224,645.79920,589.35819,229.9269,142.0244,164.1124,369.7891,825.615944.4570.583645.646447.476404.066478.307363.284531.273531.977532.377668.646568.5348.051407.627503.96217.377
Langlopende verplichtingen:
Langetermijnschulden 51,099.56159,287.11951,381.90453,008.25753,017.38229,446.99214,145.81716,803.39716,691.47411,614.6926,783.3576,523.666,027.1864,492.641,935.8591,364.65443085.11138.98655.71474.32793.316112.57492.528100.006107.373114.42922.5950.2043.43.6752.40
Uitgestelde opbrengsten niet-vlottend 1,110.8091,139.2981,165.3261,205.0441,289.2861,304.0991,311.2981,255.001912.8912.130.3241.9313.034.1295.2286.32814.0110.271000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 745.45704.259628.777657.672678.954121.185127.971131.009140.979368.663199.387168.195221.408399.536714.2624.7880.87425.111000000000.089000000
Overige niet-vlottende verplichtingen 3,225.6062,179.5284,157.3841,705.6822,624.58922,047.4571.8090003.45424.6913.2174.0734.795.372.4427.5962.5291.8691.4990.0290.0410.0530.065-0.127-0.2040.0331.870.259001.5
Totaal niet-vlottende verplichtingen 56,181.42663,310.20457,333.3956,261.45555,804.73132,132.44515,586.89418,189.40717,745.34411,985.4846,986.5226,674.0926,254.8414,900.3792,660.1381,401.131527.32587.86741.51557.58375.82593.345112.61592.581100.071107.246114.31422.6292.0743.6593.6752.41.5
Totaal passiva 151,966.137166,927.95160,635.927154,225.123140,641.52677,412.14564,006.88749,989.42144,235.74935,646.43531,632.32127,263.44925,484.76714,042.4026,824.255,770.9212,352.941,032.267612.098703.229523.301497.411590.922455.865631.345639.223646.69691.274570.574351.71411.302506.36218.877
Eigen vermogen:
Preferente aandelen 01,601.5534,485.25505,544.7034,447.4733,603.9122,760.2210000000000000000000000000
Gewone aandelen 4,286.3134,286.3134,286.3134,286.3134,286.3131,813.7321,813.7321,813.7321,813.7321,813.7321,813.7321,813.7321,813.7321,813.7321,813.7321,813.732906.866699.454466.302466.302466.302466.302466.302466.302466.302466.302466.30233026422020086.6345.283
Ingehouden winsten 136.081,601.5534,485.2554,383.0436,381.8524,853.8283,603.9122,760.2212,957.3752,557.742,162.151,908.3161,530.2781,260.786838.846544.69819.087337.115234.05139.066151.15982.542-242.248-295.162-214.4871.61435.88292.393.466128.313115.37613.55823.576
Overige gereserveerde algehele resultaten 0876.8891,339.5191,128.2551,013.28235,705.64211,744.58911,287.5291,047.65579.126547.7720000000000000000000000
Overige totale aandeelhoudersvermogen 9,420.3379,908.26910,066.7458,553.4619,702.9179,190.816-3,603.912-2,684.678325.6841,034.226884.0651,246.3851,118.83803,283.032815.9391,715.643671.373510.731485.312464.791470.892723.399719.976818.842816.475720.33615.01594.386527.166472.154207.5273.236
Totaal eigen vermogen van aandeelhouders 13,842.73115,402.38518,838.31318,351.07319,410.9777,860.7036,630.4865,892.1285,978.5695,984.8235,407.7194,763.8054,462.8484,678.4985,935.6093,174.363,441.5961,337.8361,211.0831,090.681,082.252991.758947.453888.905969.581,184.7831,222.5151,037.4861.852875.479787.531307.71572.095
Totaal eigen vermogen 46,095.04547,504.31852,091.17845,646.26542,541.0413,759.78511,744.58911,287.52911,085.90210,665.0388,970.3967,575.1137,117.8266,131.2286,463.0133,276.6863,656.0661,426.2461,294.731,185.0911,182.6351,082.2861,045.3950.8371,029.8371,246.7521,276.9391,085.116912.518923.62839.145317.70672.095
Totaal passiva en aandeelhoudersvermogen 198,061.182214,432.268212,727.105199,871.388183,182.56691,171.9375,751.47661,276.9555,321.65146,311.47340,602.71734,838.56232,602.59320,173.6313,287.2639,047.6076,009.0062,458.5131,906.8281,888.321,705.9361,579.6971,636.2221,406.7011,661.1811,885.9751,923.6291,776.3911,483.0921,275.331,250.447824.067290.972