Zhongrun Resources Investment Corporation

SZSE:000506.SZ

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5.2267.82110.169124.568101.08350.29104.669122.959141.29439.591159.10791.667195.2421,199.352316.00195.5770.0280.0284.49224.42742.51229.46742.04940.5573.6972.99450.6236.7347.928.04315.05134.5510
Kortetermijnbeleggingen 2.0746.013-633.96231.524-694.633-214.897-163.278-167.075000000000000.151.310000.1610.1610.4831.2774.8265.4432.4620
Liquide middelen en kortetermijnbeleggingen 5.2267.82110.169124.568101.08350.29104.669122.959141.29439.591159.10791.667195.2421,199.352316.00195.5770.0280.0284.49224.57743.81230.46742.04940.5573.6973.15550.7847.2179.19712.86920.49437.0130
Nettovorderingen 121.321147.733146.38369.832479.904904.117840.5521,160.0971,169.109744.2311,065.8321,319.2241,476.887781.672193.162275.23300343.818359.688332.477224.189200.99928.7670.0734.8382.0464.7086.1345.1193.4246.780
Voorraad 83.287188.249180.454577.668393.364424.592517.306811.382994.5751,438.5221,223.4362,643.1783,331.022,838.5752,420.1552,411.2240017.82652.21637.02841.81351.01933.34815.32231.78336.98222.43126.2128.14619.87227.3550
Overige vlottende activa 19.56842.34835.92193.13739.19325.98729.52959.05279.00292.85458.135118.372130.236110.13342.71542.007-1.894-0.186-114.573-104.256-106.914-75.427-73.151149.366160.91419.513337.371291.616263.691255.338196.974142.8950
Totaal vlottende activa 229.402386.152372.927865.2051,013.5441,404.9851,492.0562,153.492,383.982,315.1982,506.5094,172.4415,133.3854,929.7322,972.0342,824.0411.9220.215251.562332.225306.403221.042220.917252.038180.003459.288427.184325.973305.231301.471240.766214.0430
Niet-vlottende activa:
Materiële vaste activa, netto 579.344561.258525.889554.611591.383602.318579.322470.54387.527340.232302.86270.591120.83554.10112.24612.2130.0210.008416.891493.45469.399255.156276.854295.05305.862316.905323.824350.159353.582346.915256.095251.6630
Goodwill 000000000000000000000000000000000
Immateriële activa 1,353.33361.9568.396149.258209.216224.831250.186353.498324.732340.429379.589221.028194.21200000118.736121.40791.523108.637133.59895.10495.27369.17469.94170.29669.39670.4670.74900
Goodwill en immateriële activa 1,353.33361.9568.396149.258209.216224.831250.186353.498324.732340.429379.589221.028194.21200000118.736121.40791.523108.637133.59895.10495.27369.17469.94170.29669.39670.4670.74900
Langetermijnbeleggingen 55.98449.896679.84148.016763.623252.331176.15183.2687.37316.61837.699189.35100000000096.72600048.269079.92800107.66500
Belastingvorderingen -55.98435.34431.11941.74443.62546.09546.13831.00536.08952.99550.29862.77665.29157.21128.74329.9110000000001.54800.48300000
Overige niet-vlottende activa 180.286623.19.852664.2970.4942.23.52537.108100.645104.017107.39431.654482.175458.194493.845356.846001.2421.2421.2421.42663.7584.84130.06173.7663.848117.74121.2295.44333.1090
Totaal niet-vlottende activa 2,112.9631,331.5481,315.0981,457.9261,608.341,127.7751,055.3211,075.419856.367854.291877.837975.399862.514569.506534.834398.970.0210.008536.868616.098562.164461.944474.201474.996404.135435.956467.531504.713540.718538.605439.952284.772380.526
Totaal activa 2,342.3651,717.71,688.0252,323.1312,621.8852,532.7612,547.3773,228.9093,240.3463,169.4893,384.3465,147.8415,995.8995,499.2383,506.8673,223.0111.9430.223788.43948.323868.566682.986695.118727.034584.138895.244894.715830.686845.95840.076680.718498.815380.526
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 70.54124.149149.15134.137182.779259.049212.022187.349216.485313.501368.951368.386529.359496.619646.68778.8340043.15286.59663.8731.06954.47755.99432.1745.39253.90750.97646.29241.68735.97221.8530
Kortlopende schulden 166.664346.713544.218536.311116.011365.395533.072329.95846.4511.077111.46595.942472.39268.31448.108291.20836.108102.553312.427253.032234.653252.679244.606226.88944.394316.434330.769344.182111.193160.84771.12744.4680
Belastingschulden 2.8832.871.9493.153.0392.6024.3916.8517.59310.0314.595107.104227.02302.357241.564200.5921.5991.57229.35926.78926.63611.8184.7134.22812.41145.46238.99329.40573.28321.62511.5419.0930
Uitgestelde opbrengsten 30.37773.729557.9661,009.301595.0382.602438.585517.707657.907153.499165.002551.583986.364972.467704.663693.20800138.095148.978174.3884.47456.582159.447101.843255.494252.323202.479324.32467.18234.634130.880
Overige kortlopende verplichtingen 639.411371.0641.62943.667179.071675.981196.727447.306558.5851,054.363818.3841,686.4851,883.8851,675.751728.444756.886107.15192.94211.75826.0557.8046.0584.545.3280.1022.37210.84321.1522.8680.6520.066-85.7450
Totaal kortlopende verplichtingen 906.992915.6551,252.9621,723.4161,072.8991,303.0271,380.4061,482.321,479.4281,522.441,463.8032,702.3963,872.0013,213.1472,527.8962,520.137143.26195.496505.433514.661480.708374.28360.205447.657178.509619.692647.843618.79484.677270.367141.799111.4560
Langlopende verplichtingen:
Langetermijnschulden 10.13610.7143.30710.91225040196.72797.363145.268450844.725831.1591,294.598263214.800000000154.9821.1560.3071.14.609172.567164.396167.2780
Uitgestelde opbrengsten niet-vlottend 82.91773.7291.352527.1351.0670.8691,468.8941.3670.8880.700000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend -82.9172.4362.7193.0023.6414.2195.6814.6310.3683.8323.8333.8392.9343.1644.8714.53800000000.032000000000
Overige niet-vlottende verplichtingen 80.45243.02526.151-514.973200.33870.085-1,582.81465.89362.93560.3557.23811.3511.3511.3517.1517.1517.1517.150000000.6-0.0160.09200-0000
Totaal niet-vlottende verplichtingen 90.588129.90433.52826.077455.046115.17388.489169.252219.459109.88261.071859.914845.4421,309.112285.02246.48817.1517.15000000.032155.5821.140.3981.14.609172.567164.396167.2780
Totaal passiva 997.581,045.5581,286.491,749.4931,527.9461,418.21,468.8941,651.5731,698.8861,632.3221,524.8743,562.3094,717.4434,522.2592,812.9152,766.624160.41195.496505.433514.661480.708374.28360.205447.689334.091620.832648.241619.89489.286442.935306.195278.7340
Eigen vermogen:
Preferente aandelen 0000000404.739021.8418.9460000000000000000000000
Gewone aandelen 929.018929.018929.018929.018929.018929.018929.018929.018929.018929.018929.018774.181774.181774.181774.181774.181249.102249.102249.102249.102249.102249.102249.102249.102249.102249.102249.102249.102249.102197.348176.887137.9980
Ingehouden winsten -365.908-389.368-642.365-513.258-20.41-2.205-44.395404.739417.283395.548635.341655.631360.364155.941-127.086-364.651-492.467-536.84-125.723-9.8942.062-56.546-17.128-43.632-69.608-87.813-115.584-145.91-71.45228.72229.37700
Overige gereserveerde algehele resultaten 4.52551.39736.71167.64587.9681,114.561,078.4831,577.33688.941-21.841-8.9460000000000000000000000
Overige totale aandeelhoudersvermogen 129.15951.2651.2651.2651.26-988.907-909.191-1,839.171087.17599.73386.68565.31746.85646.85646.85684.89892.46592.46592.46360.624112.11872.31571.21870.553109.47109.47104.652176.104167.99168.25982.0830
Totaal eigen vermogen van aandeelhouders 696.793642.307374.624534.6641,047.8361,052.4671,009.521,476.6611,435.2421,411.7411,664.0921,516.4981,199.863976.979693.952456.387-158.467-195.273215.844331.67311.787304.673304.289276.688250.047270.759242.987207.844353.754394.061374.523220.081126.085
Totaal eigen vermogen 1,344.784672.142401.535573.6381,093.9391,114.561,078.4831,577.3361,541.461,537.1671,859.4721,585.5311,278.456976.979693.952456.387-158.467-195.273282.997433.662387.859308.706334.913279.344250.047274.412246.474210.796356.663397.142374.523220.081126.085
Totaal passiva en aandeelhoudersvermogen 2,342.3651,717.71,688.0252,323.1312,621.8852,532.7612,547.3773,228.9093,240.3463,169.4893,384.3465,147.8415,995.8995,499.2383,506.8673,223.0111.9430.223788.43948.323868.566682.986695.118727.034584.138895.244894.715830.686845.95840.076680.718498.815506.611