Dong-E-E-Jiao Co.,Ltd.

SZSE:000423.SZ

45.48 (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 5,825.5075,370.0343,248.371,452.2951,922.1412,135.941,725.3221,414.6751,658.5612,549.8252,213.8482,687.6041,502.5671,133.0971,973.604539.815569.118481.806290.537337.754192.652222.673332.358379.88986.80562.89514.997.2459.71400
Kortetermijnbeleggingen 2,511.2641,860.7752,466.8121,435.82633.788-197.317-68.464-78.514-58.869-15.291-12.702643.205159.049423.197120.335281.981112.34100000019.54901000000
Liquide middelen en kortetermijnbeleggingen 8,336.7717,230.8095,715.1832,888.1152,555.9292,135.941,725.3221,414.6751,658.5612,549.8252,213.8482,687.6041,502.5671,133.0971,973.604539.815569.118481.806290.537337.754192.652222.673332.358399.43886.80572.89514.997.2459.71400
Nettovorderingen 1,082.90201,186.1612,277.0182,027.4262,406.8381,056.558453.046610.9343.489256.335352.068135.29205.689152.577375.45280.687278.881296.862166.4080003.6690004.2993.95800
Voorraad 1,012.4581,238.5921,645.8532,477.6213,521.673,366.8873,606.9273,014.1591,725.4761,464.3551.009400.83311.109193.76202.703190.92150.367127.948114.06106.53398.859115.0694.08976.93274.86674.751083.75643.81800
Overige vlottende activa 104.7581,314.33274.332130.375219.1292,858.4563,034.2832,415.615792.544626.728350.196367.0431,332.115969.026118.17450.52963.7742.12293.293111.557218.75170.893144.47897.26153.317102.564168.38891.16455.10681.21595.279
Totaal vlottende activa 10,536.8899,783.7348,621.5287,773.1298,194.20110,768.1219,640.3397,582.8336,433.0215,426.6544,082.534,169.3433,280.5082,501.5722,445.0931,161.2641,063.942929.757767.386688.1510.261508.626570.926573.969314.988250.21183.378186.464112.59681.21595.279
Niet-vlottende activa:
Materiële vaste activa, netto 1,885.9872,021.9072,129.8942,251.7642,253.8851,989.4621,927.0061,722.2021,539.1041,462.6871,203.857808.983581.645484.16388.003347.707331.776288.734277.736278.724320.518288.102217.591194.002158.041144.236139.02109.79888.08600
Goodwill 0.9150.9150.9150.9150.9150.9150.9150.9150.9150.9940.9940.750.750.750.750.750.7500000000000000
Immateriële activa 322.504332.055409.015442.012433.128429.663334.336189.234203.682233.472184.425151.662146.323127.973124.87580.85584.88586.13993.80372.22274.10273.176.67176.90246.03448.0512.46112.83513.49500
Goodwill en immateriële activa 323.419332.97409.93442.927434.043430.578335.251190.149204.597234.466185.419152.412147.073128.723125.62581.60585.63586.13993.80372.22274.10273.176.67176.90246.03448.0512.46112.83513.49500
Langetermijnbeleggingen -2,425.568-1,735.428-2,335.039-1,269.112-387.749444.667226.193203.092202.946160.339134.343118.84000000000006.601010.1500000
Belastingvorderingen 275.48266.948189.752148.976243.962144.647139.373112.83699.59167.56445.57662.65650.70654.24534.04517.0729.499000000001000000
Overige niet-vlottende activa 2,710.0981,961.2532,611.9661,602.341915.33292.484107.868138.453129.758108.21532813.422166.418429.02123.962285.531116.048113.365112.775114.133114.535112.453120.72519.54916.150.0938.085.0460.27273.74860.005
Totaal niet-vlottende activa 2,769.4172,847.6493,006.5043,176.8963,459.4733,101.8382,735.6912,366.7322,175.9962,033.2711,897.1951,156.312945.8421,096.147671.635731.915542.958488.237484.314465.08509.155473.655414.987297.054220.225212.53159.561127.679101.85473.74860.005
Totaal activa 13,306.30712,631.38211,628.03210,950.02511,653.67513,869.95912,376.039,949.5658,609.0167,459.9255,979.7255,325.6564,226.3493,597.7193,116.7281,893.181,606.8991,417.9951,251.71,153.181,019.415982.28985.913871.023535.213462.74342.939314.144214.45233.281155.284
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 275.146238.113258.276191.631608.951476.663860.326392.564168.011235.25488.625170.938111.976193.59168.596102.36980.35564.63462.24159.38737.41531.31522.2259.5569.13434.42110.95224.88212.66600
Kortlopende schulden 00000000800000001.01840000542.513.859.7811.9236.4215.3538.0400
Belastingschulden 113.36168.121191.69348.79149.917770.599370.688158.29597.94385.70747.255168.635126.168102.126121.20269.26864.37953.19836.81821.43811.71515.9372.55715.43316.76214.418.9524.6455.11500
Uitgestelde opbrengsten 0595.8091,131.228298.86393.711464.915437.952174.444817.764000000238.372202.1630000143.957108.115114.9590014.5645.025.35800
Overige kortlopende verplichtingen 2,018.2571,098.684664.391502.421915.228753.743772.513765.2371,109.0551,035.883662.472593.151446.985423.047332.623261.992195.59177.724103.52850.60472.675136.687115.329105.18958.94227.39441.03242.51527.60344.29547.495
Totaal kortlopende verplichtingen 2,406.7632,100.7271,433.1661,041.7041,574.0962,465.922,441.4781,490.541,455.0091,356.844798.352932.723685.129718.764612.908434.646344.324295.557202.586131.43121.805188.938182.611143.978144.61888.14597.35787.39283.42444.29547.495
Langlopende verplichtingen:
Langetermijnschulden 31.02342.44447.58-000000000000000000034.9014.3257.68619.0434.2922.5900
Uitgestelde opbrengsten niet-vlottend 65.74175.83889.61367.66756.07475.03363.04572.22469.65375.462000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 4.873.6290.0650.4080.4422.97500.6721.3380004.1080.23900000000000000000
Overige niet-vlottende verplichtingen 57.34757.95462.23726.12500000097.08981.72762.00761.34344.6958.700000000-0.97504.8824.8820-44.295-47.495
Totaal niet-vlottende verplichtingen 158.981179.865199.495131.3156.51575.03363.04572.89670.99175.46297.08981.72766.11561.58244.6958.700000034.9013.357.68623.92239.17222.59-44.295-47.495
Totaal passiva 2,565.7452,280.5921,632.6611,173.0141,630.6112,540.9542,504.5231,563.4361,5261,432.306895.4411,014.45751.244780.345657.604443.346344.324295.557202.586131.43121.805188.938217.511143.978157.96895.831121.279126.564106.014154.963155.284
Eigen vermogen:
Preferente aandelen 0000000002.4730.25700000000000000000000
Gewone aandelen 643.977654.022654.022654.022654.022654.022654.022654.022654.022654.022654.022654.022654.022654.022654.022523.764523.764408.712408.712408.712272.474272.474272.474209.596139.731139.731121.01781.09451.4800
Ingehouden winsten 9,208.5668,816.3528,461.4688,219.2748,391.9449,473.9457,977.6986,521.9655,192.7094,090.8993,183.1662,438.1031,699.7111,124.059826.212574.686423.396305.228248.401250.449206.473124.058118.20792.17177.64473.04140.93633.60413.7800
Overige gereserveerde algehele resultaten 0510.911509.601510.154509.682527.295532.061536.381513.387-2.473-0.25700000000000000000000
Overige totale aandeelhoudersvermogen 866.472391.806391.806392.153538.585646.798646.7981,156.834697.4961,177.5251,165.4571,154.4371,070.073965.278909.29306.82275.348375.742360.43353.772403.431389.031376.191422.977159.822153.07459.70772.88243.17778.31870.319
Totaal eigen vermogen van aandeelhouders 10,719.01510,329.2439,973.0499,731.4089,974.92611,302.0599,844.3018,359.1657,013.8275,922.4465,002.3884,246.5623,423.8052,743.3592,389.5241,405.2681,222.5071,089.6811,017.5421,000.514882.379785.563766.872727.045377.196366.86221.66187.58108.43678.31870.319
Totaal eigen vermogen 10,740.56210,350.799,995.3719,777.01110,023.06311,329.0059,871.5078,386.1297,083.0166,027.6195,084.2844,311.2063,475.1062,817.3742,459.1241,449.8331,262.5761,122.4381,049.1141,021.75897.61793.342768.401727.045377.245366.909221.66187.58108.43678.31870.319
Totaal passiva en aandeelhoudersvermogen 13,306.30712,631.38211,628.03210,950.02511,653.67513,869.95912,376.039,949.5658,609.0167,459.9255,979.7255,325.6564,226.3493,597.7193,116.7281,893.181,606.8991,417.9951,251.71,153.181,019.415982.28985.913871.023535.213462.74342.939314.144214.45233.281155.284