Hainan Jingliang Holdings Co., Ltd.

SZSE:000505.SZ

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,543.386561.013507.145335.466557.169924.871,014.439246.504205.76297.40462.36265.76352.508136.377291.78736.656110.93325.35727.7916.75858.69215.24331.58466.90233.8328.1758.6675.422102.82187.49672.93838.905
Kortetermijnbeleggingen 292.23211.00640.37763.478161.3-68.066333.699444.099-20.89100000000000000000021.63726.399000
Liquide middelen en kortetermijnbeleggingen 1,445.642572.019547.522398.944718.469924.871,014.439246.504205.76297.40462.36265.76352.508136.377291.78736.656110.93325.35727.7916.75858.69215.24331.58466.90233.8328.1758.6697.059129.2287.49672.93838.905
Nettovorderingen 118.28377.05782.69492.70280.74497.776210.29983.5217.16212.37813.1439.8890262.254192.246.51268.63791.412105.1390174.8630003.9835.7211.8700.0111.0420.0622.269
Voorraad 2,041.862,073.9451,903.3731,225.0841,412.7561,224.1871,393.959297.868531.145386.636118.547109.749118.088154.866539454.983286.796330.041458.057323.363261.728233.93273.832299.978310.025344.384469.247510.782461.63389.67421.691115.124
Overige vlottende activa 874.944449.156450.261862.372413.491275.221,089.9988.954000463.3776.804316.05244.54659.95154.292106.215122.42127.51100.884143.62115.546105.131229.619305.922308.579296.057432.135431.606135.40562.198
Totaal vlottende activa 4,460.194,143.563,882.7893,386.433,018.6582,745.3533,865.695990.611,118.603863.656572.956648.227559.808607.2951,067.573558.102520.658459.282608.268427.51421.305392.792420.962472.011580.002689.827838.355903.8981,022.996909.814630.095216.234
Niet-vlottende activa:
Materiële vaste activa, netto 1,097.8751,077.1151,140.0251,159.6021,228.3271,309.1731,346.148298.58489.124494.301463.543369.836343.968339.851267.932281.272285.474195.946161.23687.91490.13590.33961.78388.91494.666112.5121.099289.787201.48145.58537.7296.144
Goodwill 191.394191.394191.394191.394191.394191.394191.394191.394000000000000000000000000
Immateriële activa 412.677325.045339.97354.139368.17383.383398.8443.69229.51930.66131.18631.63732.55933.49332.61732.92632.2730.5290.53632.7066.9460.6483.7330.8190.9040.364000000
Goodwill en immateriële activa 604.071516.439531.365545.534559.565574.777590.2383.69229.51930.66131.18631.63732.55933.49332.61732.92632.2730.5290.53632.7066.9460.6483.7330.8190.9040.364000000
Langetermijnbeleggingen 285.313252.548210.422174.28457.001270.893262.84686.0267.587220.121125.137324.37500000000000000000000
Belastingvorderingen 8.79914.1913.5713.3472.60315.33114.1794.985-67.587-220.121-125.137-324.37500000000000000000000
Overige niet-vlottende activa 40.535101.292268.429426.307365.1131.6223.2781.58277.198256.819170.029375.064375.615468.247665.573102.823100.76283.96580.827116.149181.454180.059230.152242.271223.67257.061180.152105.19582.28757.33761.47912.1
Totaal niet-vlottende activa 2,036.5931,961.5842,163.8122,309.0752,212.6092,171.7962,216.689394.859595.841781.781664.758776.537752.141841.591966.122417.021418.509280.441242.599236.77278.534271.046295.668332.003319.241169.924301.251394.982283.767202.92299.20818.244
Totaal activa 6,496.7836,105.1446,046.65,695.5045,231.2674,917.1496,082.3841,385.471,714.4441,645.4371,237.7141,424.7641,311.951,448.8862,033.695975.123939.167739.723850.867664.28699.839663.838716.629804.014899.243859.7511,139.6061,298.8811,306.7631,112.736729.303234.478
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 82.475114.243186.74975.384130.568140.565400.693425.41824.31358.57934.75920.50322.62537.58970.79332.92464.70445.93113.1278.35619.84240.83630.31628.07433.75639.76717.19322.266.3163.5055.0120.078
Kortlopende schulden 1,316.6791,260.5431,521.671,497.4141,329.2391,437.7152,007.17162.6810268.4722282104502762942.9112.07269.65596.22106.55138.015239.135219.582198.202154.562254.475293.551309.011203.578057
Belastingschulden 4.64366.629104.34850.88447.84335.78436.85584.405-5.2564.6038.6012.2063.58130.81-16.9482.5037.99412.761-2.862-2.807-1.889-2.089-2.298-3.327-2.660.46210.03114.08322.47749.00227.1448.67
Uitgestelde opbrengsten 412.109286.479811.587874.616169.20735.784609.017728.13751.02920.267679.631507.024462.7410389.701482.835501.423175.658222.787198.627142.19965.33242.25985.443209.248154.257113.584152.953149.681175.45851.02223.556
Overige kortlopende verplichtingen 218.241583.397-78.774-40.322602.483263.417874.5011,639.4361,537.61823.969694.87444.828710.717462.686793.561623.289496.387175.299357.924203.318318.18780.15449.83794.422272.433234.858220.513273.567167.705128.35680.63947.027
Totaal kortlopende verplichtingen 2,034.1472,024.8132,545.5792,456.8212,110.1331,913.2653,319.2211,250.2141,556.6751,275.89966.234784.561781.923531.0841,123.406687.717611.984346.06637.844305.086442.691256.916316.99338.751501.73411.216502.212603.461505.509384.433192.795112.776
Langlopende verplichtingen:
Langetermijnschulden 772.042500.98972.6951.4600073.667390.333327.30412934181325110157117153.122135194.6470152.7620001054.553.896303000
Uitgestelde opbrengsten niet-vlottend 62.50364.55165.24468.71771.51874.95378.962-73.667-390.333-327.304-129-341-81-325-11000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 47.08246.40545.25165.11652.78949.61956.1860.5980.62923.18814.51247.60149.34874.285134.41300000000000000000
Overige niet-vlottende verplichtingen 5.6775.6775.67769.3335.73140.245106.555164.12500000000000000001.18356.161.25355.7431.2361.22900
Totaal niet-vlottende verplichtingen 887.304617.622188.867139.51130.038164.818162.7474.265390.963350.491143.512388.601130.348399.285244.413157117153.122135194.6476.457152.76201.1861.18366.1655.753109.63931.23631.22900
Totaal passiva 2,921.4522,642.4342,734.4462,596.3312,240.1712,078.0833,481.9611,324.4781,947.6381,626.3821,109.7461,173.162912.27930.371,367.82844.717728.984499.183772.844499.732442.691409.678316.99339.937502.913477.375557.965713.101536.745415.661192.795112.776
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000
Gewone aandelen 726.95726.95726.95726.95685.79685.79685.79426.745426.745426.745426.745426.745426.745426.745426.745426.745426.745426.745377.651377.651377.651377.651377.651377.651377.651377.651377.651377.651377.651278.392139.19681.88
Ingehouden winsten 627.556532.905391.494187.0342.187-131.155-299.112-1,014.76-1,088.06-980.486-807.064-820.553-693.679-648.892-676.623-756.097-679.493-634.334-690.115-610.157-506.942-508.772-369.416-295.091-360.155-379.436-179.821-183.9395.171169.316168.06737.96
Overige gereserveerde algehele resultaten 0478.919474.471473.7474.33474.063470.893443.363218.787234.428387.545000000000000000000000
Overige totale aandeelhoudersvermogen 1,812.9981,801.8071,322.8881,796.9511,718.0621,717.8351,714.6641,503.459334.878569.305224.96631.433224.96719.442224.96448.438448.438448.438384.389430.679380.187382.47383.501417.256381.002390.604384.819382.524376.697238.867224.2461.863
Totaal eigen vermogen van aandeelhouders 3,167.5043,061.6612,915.8022,710.5722,406.0392,272.472,101.34365.088-217.13715.564116.714237.626373.005497.295653.104119.087195.69226.8971.925157.388250.896251.348390.483463.705396.16381.757580.976576.235759.518686.575531.508121.703
Totaal eigen vermogen 3,575.3313,462.713,312.1543,099.1742,991.0962,839.0662,600.42260.991-233.19419.055127.968251.602399.679518.516665.876130.406210.183240.5478.023164.547257.148254.161399.64464.077396.33382.376581.642585.78770.018697.075536.508121.703
Totaal passiva en aandeelhoudersvermogen 6,496.7836,105.1446,046.65,695.5045,231.2674,917.1496,082.3841,385.471,714.4441,645.4371,237.7141,424.7641,311.951,448.8862,033.695975.123939.167739.723850.867664.28699.839663.838716.629804.014899.243859.7511,139.6061,298.8811,306.7631,112.736729.303234.478