Changsha Tongcheng Holdings Co.Ltd

SZSE:000419.SZ

5.27 (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 1,073.176970.5591,218.431,131.461930.7911,122.4961,071.3531,082.1771,052.0991,038.5661,095.36974.251914.916599.69510.53339.33446.446277.308229.537247.315132.13298.51398.533290.60973.55349.72899.35755.9068.046.31911.892
Kortetermijnbeleggingen 000-106.386-127.542-150.054-143.422-147.0170-144.916-148.6210109.718023.620.630.100000000000000
Liquide middelen en kortetermijnbeleggingen 1,073.176970.5591,218.431,131.461930.7911,122.4961,071.3531,082.1771,052.0991,038.5661,095.36974.251914.916599.69510.53339.33446.446277.308229.537247.315132.13298.51398.533290.60973.55349.72899.35755.9068.046.31911.892
Nettovorderingen 161.08392.91119.784156.834295.472136.74855.32762.27214.28112.71317.95128.008168.032119.9723.07414.74117.44132.60916.80328.04500010.680.67521.0361.3085.2132.5892.2630
Voorraad 173.51173.089168.778214.442313.892318.231297.501328.416346.714431.676405.411294.051333.239264.829243.191211.037168.547173.506169.435169.232139.411146.054130.527139.358142.665157.07469.27663.49556.35238.49515.123
Overige vlottende activa 1,045.7971,072.703980.3721,056.709814.278712.148827.708532.154634.616555.504456.077552.232232.995228.998162.002117.412118.16647.92514.65727.19388.45927.23623.02818.53422.07323.60576.45465.76426.76317.96512.269
Totaal vlottende activa 2,444.162,301.292,478.4992,550.3172,340.1162,263.962,244.1811,969.4892,033.2382,019.2261,984.4391,857.5871,617.8311,183.109938.797686.653744.856531.348430.788463.824360.003271.804252.088454.115238.967237.811246.395190.37893.74465.04239.283
Niet-vlottende activa:
Materiële vaste activa, netto 1,164.4031,378.5011,675.7531,000.4841,051.0461,103.8971,174.4791,255.2341,122.5361,139.9821,218.6661,316.8661,392.0351,455.2721,452.4891,385.7821,046.0611,028.3591,065.5981,046.105833.674732.4720.929566.186574.795569.7529.77932.32835.06233.57619.005
Goodwill 0000000000000000000000000000000
Immateriële activa 209.395235.652245.376256.408267.569278.158289.776301.679308.757271.863280.928290.272299.495307.549372.251178.91262.6230.68830.47531.3469.810.20510.63210.28110.5710.81511.10311.3911.513.4163.416
Goodwill en immateriële activa 209.395235.652245.376256.408267.569278.158289.776301.679308.757271.863280.928290.272299.495307.549372.251178.91262.6230.68830.47531.3469.810.20510.63210.28110.5710.81511.10311.3911.513.4163.416
Langetermijnbeleggingen 1,336.691,211.371,238.3471,497.4731,418.1791,262.751431.963435.559240.541324.524258.339109.7180000000000000000000
Belastingvorderingen 70.73866.6166.68527.58522.29518.5714.09612.41810.6499.0277.4397.6926.7435.1833.9733.7123.59400000000000000
Overige niet-vlottende activa 155.34838.04690.0790.0832.7340.1671.9173.21127.2711565.134125.255253.369236.25294.54452.94260.53183.62524.844122.055118.327114.689105.63979.2771.75472.60549.38948.21123.7499.8745.389
Totaal niet-vlottende activa 2,936.5732,930.1783,316.2392,782.0342,761.8232,663.5441,912.2312,008.0991,809.7541,760.3971,830.5051,849.8031,951.6432,004.2561,923.2581,621.3481,172.8051,242.6711,120.9181,199.506961.801857.294837.201655.738657.118653.1790.27191.9370.32146.86627.81
Totaal activa 5,380.7335,231.4685,794.7385,332.355,101.9394,927.5034,156.4123,977.5893,842.9923,779.6233,814.9453,707.393,569.4753,187.3642,862.0552,308.0021,917.6611,774.0191,551.7061,663.3311,321.8041,129.0981,089.2891,109.853896.085890.981336.665282.307164.065111.90867.093
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 67.466647.11256.2810.832953.4521,059.1261,174.2261,130.0781,148.9581,270.8041,311.9881,122.4791,023.891,063.162948.21712.954507.205446.427347.726399.912265.302219.756227.788205.874185.192220.6187.73882.59169.40739.30814.366
Kortlopende schulden 200110198200148.235-187.19494.76665.63623210022030114060965523310712614024524682149.3162.1260.5236.8548816.5819.420.57
Belastingschulden 6.95615.56225.8720.96522.41918.33921.59820.87219.49968.85550.65568.023117.21451.35632.28925.89948.52635.53324.1536.585.3367.0014.5232.3645.30310.3357.643-2.7452.4520.3942.359
Uitgestelde opbrengsten 079.887294.054429.243366.23718.339406.052373.831276.808266.836224.098210.304244.611157.995197.01471.826106.21362.11355.535159.75328.24833.16141.61843.67326.76236.05922.94915.412.07514.086.559
Overige kortlopende verplichtingen 890.384374.7731,063.992404.025353.007340.652384.453352.959407.892344.485373.91448.436473.955224.891245.779106.27579.21639.63641.846164.76434.24136.78640.75889.70760.61369.02917.15420.34213.88413.8954.424
Totaal kortlopende verplichtingen 1,164.8061,147.4471,344.0621,449.3861,619.5551,668.9721,884.851,822.0071,808.351,784.1431,956.5531,939.9381,755.0591,948.4091,881.2791,078.128741.948647.597552.306816.256550.878345.543424.294460.045511.609536.827120.535108.187102.32272.99741.718
Langlopende verplichtingen:
Langetermijnschulden 460.433500.166873.3911,046.24900000000117315145300315360290160114.3154.3404080001.255.035.17
Uitgestelde opbrengsten niet-vlottend 02.4632.52130.58936.11441.05842.24539.20535.14631.40300-117-315-145-300-31500000000000000
Uitgestelde belastingverplichtingen niet-vlottend 258.236229.075240.399278.585254.35233.43228.19828.19828.19828.19828.19828.19828.19828.19828.19828.19828.19800000000000000
Overige niet-vlottende verplichtingen 3.1551.650-915.66001.0030.50025.04300000000000000000000
Totaal niet-vlottende verplichtingen 721.824733.3531,116.312409.174290.465274.4971.44667.90363.34459.60128.19828.198145.198343.198173.198328.198343.198360290160114.3154.3404080001.255.035.17
Totaal passiva 1,886.631,880.82,460.3741,858.561,910.021,943.4621,956.2961,889.9091,871.6941,843.7451,984.7511,968.1361,900.2572,291.6072,054.4771,406.3261,085.1461,007.597842.306976.256665.178499.843464.294500.045519.609536.827120.535108.187103.57278.02746.888
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 543.583543.583543.583543.583543.583543.583543.583543.583543.583543.583543.583543.583452.986351.016351.016351.016175.508175.508175.508175.508175.508175.508175.508175.508159.65159.65153.15102.136.0522.97712.832
Ingehouden winsten 1,325.4771,286.451,244.6031,287.1271,117.7471,039.959903.805848.391754.711719.101644.846562.792512.626314.536255.902245.987225.93164.293120.14109.54491.6673.39655.45976.55165.74353.66913.98529.3274.49200
Overige gereserveerde algehele resultaten 690.114808.185825.228930.027842.953771.834152.191144.903136.3350-000000000000000000000
Overige totale aandeelhoudersvermogen 623.904614.862409.307409.307576.4381,181.141409.307554.21409.307599.469584.93569.608645.626110.494161.495153.645322.814346.318340.489333.726328.247323.579317.783310.268113.886128.00948.99542.69319.9510.9057.373
Totaal eigen vermogen van aandeelhouders 3,183.0783,047.5253,022.7223,170.0442,913.592,764.6832,008.8851,946.1841,843.9361,862.1531,773.3581,675.9821,611.238837.29768.413750.649724.252686.12635.998618.777595.415572.483548.75566.27338.959322.776216.13174.1260.49233.88120.205
Totaal eigen vermogen 3,494.1033,350.6673,334.3643,473.7913,191.9192,984.0412,200.1162,087.681,971.2981,935.8781,830.1941,739.2541,669.217895.757807.578901.676832.515766.423709.399687.075656.625629.255624.994609.808376.476354.154216.13174.1260.49233.88120.205
Totaal passiva en aandeelhoudersvermogen 5,380.7335,231.4685,794.7385,332.355,101.9394,927.5034,156.4123,977.5893,842.9923,779.6233,814.9453,707.393,569.4753,187.3642,862.0552,308.0021,917.6611,774.0191,551.7061,663.3311,321.8041,129.0981,089.2891,109.853896.085890.981336.665282.307164.065111.90867.093