Shenzhen Huakong Seg Co., Ltd.

SZSE:000068.SZ

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 567.165240.162295.146480.665607.479548.342642.853542.738214.87847.2917.64935.62147.24433.67545.556181.32239.42310.77458.4772.361442.964145.287318.421250.184283.572437.37721.602159.225208.997102.654
Kortetermijnbeleggingen 0-98.061-3.936-696.81-209.636-1.345-3.207-27.736-47.65600000000000049.7800000000
Liquide middelen en kortetermijnbeleggingen 567.165240.162295.146480.665607.479548.342642.853542.738214.87847.2917.64935.62147.24433.67545.556181.32239.42310.77458.4772.361442.964195.067318.421250.184283.572437.37721.602159.225208.997102.654
Nettovorderingen 1,040.7511,143.383740.716228.917258.835268.29294.953177.833147.654147.821332.66297.1334.9712.37455.565479.43589.416416.659616.121,132.392903.3141,881.9742,053.671522.044363.853138.618130.433237.33618.47519.128
Voorraad 33.5779.29578.02930.84129.69121.20713.0569.7185.0852.350.0160.0160.290.36814.943203.54151.902182.72229.975275.857129.425127.571194.31181.12154.317309.446192.839238.879167.886219.611
Overige vlottende activa 56.612137.787178.308344.962260.163306.355166.89436.61528.007-38.73-3.021-1.086-0.884-0.436-8.054-14.897-21.00332.539-7.617-101.119-200.972-584.282-705.365959.761727.391595.53680.244190.768203.45478.839
Totaal vlottende activa 1,698.0981,600.6271,292.21,085.3851,156.1681,144.1941,117.755766.903395.624158.732337.306131.68351.62135.981108.01849.394759.738642.693896.9471,379.4911,274.731,620.331,861.0371,913.1091,529.1321,480.9651,725.118826.207598.813420.232
Niet-vlottende activa:
Materiële vaste activa, netto 104.108240.129243.6331,768.9862,223.6142,060.6241,520.267403.529195.536205.211214.617253.884299.452358.701549.7042,176.7342,511.1472,864.973,229.0433,477.1982,084.857680.068791.011,008.2431,190.5131,072.814907.7961,010.6071,130.0151,232.008
Goodwill 001.0883.11519.28418.48528.73628.73628.7365.6600000000000000000000
Immateriële activa 88.90992.61895.97499.77103.17235.63738.58740.77142.84942.50739.67640.69141.70542.7243.73554.13465.82130.72941.51752.20862.89973.5985.0797.25677.12918.76620.3187.7600
Goodwill en immateriële activa 88.90992.61897.062102.885122.45654.12267.32469.50771.58548.16739.67640.69141.70542.7243.73554.13465.82130.72941.51752.20862.89973.5985.0797.25677.12918.76620.3187.7600
Langetermijnbeleggingen 2,254.527102.00813.656707.328238.64191.59552.58271.61860.8427.92800000000000000000000
Belastingvorderingen 53.18615.7346.4750.9120.8480.5411.3011.3510.5270.697000002.051.4123.536000000000000
Overige niet-vlottende activa 46.9742,258.112,374.64548.32644.56492.61144.4690.81533.76400-294.57500074.372100.893107.632101.68973.93425.7941.63947.28555.58672.11578.73920.13523.10222.39825.31
Totaal niet-vlottende activa 2,547.7032,708.5972,735.4712,628.4382,630.1242,299.4931,685.943546.821362.254262.003254.293294.575341.157401.421593.4392,307.292,679.2733,006.8673,372.2493,603.342,173.546795.296923.3641,161.0841,339.7581,170.319948.2491,041.4691,152.4131,257.317
Totaal activa 4,245.8024,309.2244,027.673,713.8233,786.2913,443.6872,803.6981,313.724757.878420.735591.598426.258392.778437.402701.453,156.6843,439.0113,649.5594,269.1964,982.8313,448.2762,415.6262,784.4023,074.1922,868.892,651.2842,673.3661,867.6761,751.2261,677.549
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 687.714733.075606.481532.035562.932829.799702.269155.58242.8456.17166.24727.4991.9482.5514.049210.756231.381226.549403.566571.015168.242125.841177.231224.38199.205117.108100.61132.86853.26783.05
Kortlopende schulden 598.796691.723140.628145.512922.686817.68042800.5270.465310.568560100200302.45376.3261.05680.335382.207357.495258.988404.172327.276445.493426.689248.789256.714100100
Belastingschulden 4.3318.9334.524.0853.4275.10423.26430.01910.8284.0192.9483.5071.3023.5221.444-7.64511.67720.26928.02254.85219.12816.8395.95515.5336.15-3.3831.0540.73814.678-12.89
Uitgestelde opbrengsten 19.048.185753.516131.17753.6435.10498.8867.61149.877-270.465-310.56877.353060.88876.236141.908147.905124.003133.738-27.211-119.954-82.851-176.386-9.392-315.445-316.905-140.084-110.0760352.137
Overige kortlopende verplichtingen 694.9361,214.36827.2788.66712.42851.82412.4415.9840.893297.67329.08931.943159.9540.0198.820.2792.8651.42611.978182.207167.495168.988244.172137.276345.493326.689148.789119.714192.28210.668
Totaal kortlopende verplichtingen 2,000.4862,647.3511,527.904817.3911,551.6891,704.3281,617.59509.17794.114303.841395.337192.795161.902163.457299.105655.392758.452613.0291,229.6191,108.218573.278470.966649.189679.541674.747553.581358.103399.222345.549545.855
Langlopende verplichtingen:
Langetermijnschulden 788.317959.4931,565.4921,849.6741,042.099636.52760000000200600800951.7811,001.6831,802.981,083.417347.502657.706891.494774.521652.975772.789894.241,032.587986.117
Uitgestelde opbrengsten niet-vlottend 3.8134.3694.8996.1674.3053.1623.9241.210.586000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 98.084000.0110.0570.1030.1930.2560.327000000000000000000000
Overige niet-vlottende verplichtingen 11.97274.335271.389262.314230.699163.21913.3872.1740.4560.4560.4560.4564.0316.23526.0250000000-00000000
Totaal niet-vlottende verplichtingen 902.1831,238.1971,841.782,118.1661,277.161803.00493.5043.641.3690.4560.4560.4564.0316.235226.025600800951.7811,001.6831,802.981,083.417347.502657.706891.494774.521652.975772.789894.241,032.587986.117
Totaal passiva 2,902.6693,885.5483,369.6842,935.5572,828.852,507.3321,711.093512.81795.483304.297395.793193.251165.933169.692525.131,255.3921,558.4521,564.812,231.3022,911.1981,656.695818.4681,306.8951,571.0351,449.2681,206.5561,130.8931,293.4611,378.1371,531.973
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 1,006.6711,006.6711,006.6711,006.6711,006.6711,006.6711,006.6711,006.6711,006.671896.671896.671896.671896.671896.671896.671896.671785.971785.971785.971785.971785.971785.971785.971785.971785.971785.971523.98373.239139.772139.772
Ingehouden winsten -1,658.136-2,311.973-2,094.316-1,994.814-1,828.707-1,834.706-1,701.82-1,734.424-1,744.399-1,751.404-1,643.053-1,605.851-1,609.018-1,568.153-1,603.544322.827304.168508.712466.542510.749273.463121.64842.32984.88723.31444.631142.3780233.3175.804
Overige gereserveerde algehele resultaten 661.868661.868661.813711.964661.869661.867661.868661.869661.8680-00000000000000000000
Overige totale aandeelhoudersvermogen 689.01689.01689.01638.811689.01689.01690.113690.113690.113942.187942.187942.187939.191939.191883.191681.793790.421790.068785.382774.914732.147689.54649.207632.3610.338614.125876.115200.97500
Totaal eigen vermogen van aandeelhouders 699.41345.576263.178362.632528.843522.843656.833624.23614.25487.454195.806233.007226.845267.71176.3191,901.2911,880.5592,084.752,037.8952,071.6331,791.5811,597.1581,477.5071,503.1571,419.6221,444.7271,542.474574.214373.089145.576
Totaal eigen vermogen 1,059.49423.676657.986778.265957.442936.3561,092.605800.907662.395116.437195.806233.007226.845267.71176.3191,901.2911,880.5592,084.752,037.8952,071.6331,791.5811,597.1581,477.5071,503.1571,419.6221,444.7271,542.474574.214373.089145.576
Totaal passiva en aandeelhoudersvermogen 4,245.8024,309.2244,027.673,713.8233,786.2913,443.6872,803.6981,313.724757.878420.735591.598426.258392.778437.402701.453,156.6843,439.0113,649.5594,269.1964,982.8313,448.2762,415.6262,784.4023,074.1922,868.892,651.2842,673.3661,867.6761,751.2261,677.549