Shenzhen Nanshan Power Co., Ltd.

SZSE:000037.SZ

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 316.189675.496689.605764.601773.21925.829438.3161,415.551,026.626578.584543.055526.852695.095601.387379.162429.508419.172622.736307.527581.651494.178570.956307.774189.046126.80462.288157.084194.771156.417164.99352.075
Kortetermijnbeleggingen 226440.014632.874965.295-3.575-2.606-2.802-2.999-3.195-3.544-3.987-4.475-4.968-5.582-14.8920-2.763-5.352000000000002.1120
Liquide middelen en kortetermijnbeleggingen 542.1891,115.511,322.479764.601773.21925.829438.3161,415.551,026.626578.584543.055526.852695.095601.387379.162429.508419.172622.736307.527581.651494.178570.956307.774189.046126.80462.288157.084194.771156.417167.10552.075
Nettovorderingen 158.166199.813164.907153.095280.478226.219277.894606.877437.531539.156929.561953.4281,215.416553.072368.626441.886722.65778.841507.136450.706364.036201.197226.88776.4932.992.79616.42326.94333.5827.91762.602
Voorraad 86.15885.27988.501100.246124.686124.75877.83580.684672.6831,284.7121,288.8141,220.4871,258.1961,352.3721,344.7051,292.493367.972379.643430.329249.408150.31586.90969.58694.11391.05538.19968.61547.62467.98355.01866.442
Overige vlottende activa 232.866188.249331.869917.288445.237390.109452.185548.543604.426613.645565.589606.662-124.64.242-12.135-16.178-33.724-65.328-110.175-75.962-66.753-12.5445.791222.25200.307365.465178.939145.796107.9682.0836.77
Totaal vlottende activa 1,019.3791,588.8511,907.7551,935.231,623.6111,666.9161,246.232,651.6542,741.2673,016.0973,327.0193,307.4293,044.1072,511.0742,080.3582,147.7091,476.071,715.8921,134.8171,205.803941.776846.517610.038581.902421.156468.748421.061415.133365.939332.121217.889
Niet-vlottende activa:
Materiële vaste activa, netto 577.199603.859649.345968.5281,448.1511,487.9981,471.5791,552.5711,675.9671,872.5661,941.0092,087.2772,273.9712,365.9562,495.672,570.6832,877.162,932.3652,940.3162,437.1041,538.4331,083.385828.795632.88475.752368.872410.992443.615513.055644.461740.671
Goodwill 0000000000000000000000000000000
Immateriële activa 19.28619.79920.46621.12643.60245.98748.47151.08153.80156.52458.92562.47263.80864.23758.18884.3121,067.35336.84641.88851.46615.94624.97439.29449.57359.85236.05340.48945.41437.7548.1350
Goodwill en immateriële activa 19.28619.79920.46621.12643.60245.98748.47151.08153.80156.52458.92562.47263.80864.23758.18884.3121,067.35336.84641.88851.46615.94624.97439.29449.57359.85236.05340.48945.41437.7548.1350
Langetermijnbeleggingen 164.616-55.902-425.273-874.78778.8179.2781.67282.61983.0385.45687.66853.7942.283311.79277.6460115.84877.2370000000000000
Belastingvorderingen 1.1721.1721.1092.2062.2062.0712.9222.8972.9062.892.7892.7833.7144.62420.6119.02716.48410.2438.9369.2800000000000
Overige niet-vlottende activa 267.714448.437636.6968.52822.88224.90632.93122.88222.88222.88222.88222.31724.86521.273-5.876164.208-0.001-0.049104.5397.76375.81774.28578.61877.05348.208119.109143.845110.44741.05751.56967.298
Totaal niet-vlottende activa 1,029.9871,017.366882.2481,085.6011,595.6511,640.2331,637.5751,712.051,838.5872,040.3192,113.2732,228.6392,408.642,767.8812,846.2392,838.234,076.8443,056.6423,095.672,595.6131,630.1951,182.645946.707759.506583.812524.035595.326599.476591.863744.165807.969
Totaal activa 2,049.3652,606.2162,790.0033,020.8313,219.2623,307.1482,883.8044,363.7044,579.8545,056.4165,440.2915,536.0685,452.7475,278.9544,926.5964,985.945,552.9144,772.5344,230.4863,801.4162,571.9712,029.1621,556.7451,341.4081,004.968992.7831,016.3871,014.609957.8021,076.2861,025.858
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4.342142.527141.72939.77419.87118.06666.534298.605378.015399.165128.171100.64258.56961.11589.156173.756419.181508.696705.57596.9868.71534.9243.08933.38511.6848.3419.61337.58428.63630.8050
Kortlopende schulden 345.164885.972858.444675.529881.0751,000548.251,259.842,385.32,617.892,998.9623,210.3623,315.8253,162.42,619.122,561.8442,590.7352,130.7811,358.5761,252.733622.328335295430265295.058303.755315.594248.486216.6570
Belastingschulden 3.0895.1084.1467.62621.7691615.438234.53413.4447.34522.6822.961-521.901-501.193-400.141-339.865-176.592-96.114-42.0148.69581.587124.53371.74338.46719.54240.14434.04321.28612.2719.1260
Uitgestelde opbrengsten 0000016117.597364.47496.0347.345428.653427.653-55.149-107.6441.98930.659500.096.11450.431111.36981.587124.533000000000
Overige kortlopende verplichtingen 63.30257.424108.357104.074120.669108.00432.4-900.059429.6860.51214.58614.58639.2740.5892.1990.6980.60.437.123121.284345.037282.28172.892134.236106.446126.05796.32171.61859.816443.639
Totaal kortlopende verplichtingen 412.8081,085.9221,108.531819.3771,021.6161,142.07764.7811,832.9153,259.4083,454.0863,556.2983,753.2413,533.8313,155.1462,710.8552,768.4583,510.7042,646.1912,114.9811,498.211833.913839.494580.37536.277410.92409.843449.425449.499348.74307.279443.639
Langlopende verplichtingen:
Langetermijnschulden 58.82930.28200025.9425.94343.969615061626186156281176331.291417.234429.5241300010000012.44769.039112.3730
Uitgestelde opbrengsten niet-vlottend 67.86982.14688.0893.781108.50875.61241.94845.81948.43547.082000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0000000000000000000000000000000
Overige niet-vlottende verplichtingen 119.04515.04815.0519.93126.64626.72626.789117.127.127.178.21444.0155.1055.353.850.6000-0000-12.410000025.465273.682
Totaal niet-vlottende verplichtingen 245.744127.475103.13113.712135.154128.27894.677506.819771.535224.18284.21460.01531.105191.35159.85281.6176331.291417.234429.5241300087.5900012.44769.039137.838273.682
Totaal passiva 658.5521,213.3971,211.661933.0881,156.7691,270.349859.4582,339.7344,030.9433,678.2693,640.5123,813.2563,564.9363,346.4962,870.7053,050.0583,686.7042,977.4822,532.2161,927.735963.913839.494580.37623.866410.92409.843449.425461.946417.778445.116717.32
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 602.763602.763602.763602.763602.763602.763602.763602.763602.763602.763602.763602.763602.763602.763602.763602.763547.966547.966547.966547.966547.966547.966547.966356.4356.4356.4356.419819818090.254
Ingehouden winsten 163.347159.188319.351758.8706.831679.43660.176644.272-662.423-27.799302.714249.615454.071436.542547.987473.871481.996275.771223.534507.963450.75766.6540.45102.7870.2856.3010.2920.8311.92387.767135.24
Overige gereserveerde algehele resultaten 460.144460.144460.144693.179460.144462.644462.644462.644462.632129.635000000000000000000000
Overige totale aandeelhoudersvermogen 233.035233.035233.0350233.035233.035233.035233.035233.035565.944695.579696.542696.538696.538696.538696.538695.057763.42753.873715.719589.495429.679360.036258.354237.363220.239210.27353.831340.101363.40383.043
Totaal eigen vermogen van aandeelhouders 1,459.2891,455.131,615.2932,054.7422,002.7731,977.8721,958.6181,942.714636.0071,270.5421,601.0561,548.9191,753.3721,735.8421,847.2881,773.1721,725.0191,587.1571,525.3731,771.6481,588.2181,044.299908.452717.542594.048582.94566.962552.663540.024631.169308.538
Totaal eigen vermogen 1,390.8131,392.8191,578.3422,087.7432,062.4922,036.7992,024.3472,023.969548.9111,378.1471,799.781,722.8111,887.8111,932.4582,055.8921,935.8821,866.211,795.0521,698.2711,873.6811,608.0581,189.668976.375717.542594.048582.94566.962552.663540.024631.169308.538
Totaal passiva en aandeelhoudersvermogen 2,049.3652,606.2162,790.0033,020.8313,219.2623,307.1482,883.8044,363.7044,579.8545,056.4165,440.2915,536.0685,452.7475,278.9544,926.5964,985.945,552.9144,772.5344,230.4863,801.4162,571.9712,029.1621,556.7451,341.4081,004.968992.7831,016.3871,014.609957.8021,076.2861,025.858