Bohai Water Industry Co.,Ltd

SZSE:000605.SZ

6 (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 421.09486.684422.263639.222978.945627.513469.57460.395307.945258.815313.04510.9463.8123.5251.0761.1182.6591.2432.28790.708152.14840.76625.1960.3550.4395.76.71924.0090.83400
Kortetermijnbeleggingen 0-757.746-756.247-137.136-223.891-246.754-288.549-199.235-364.69400000000000000000.12315000
Liquide middelen en kortetermijnbeleggingen 421.09486.684422.263639.222978.945627.513469.57460.395307.945258.815313.04510.9463.8123.5251.0761.1182.6591.2432.28790.708152.14840.76625.1960.3550.4395.829.71939.0090.83400
Nettovorderingen 1,523.8321,625.5251,620.8581,892.979591.613623.753748.075209.148130.34986.1812.26300003.93300135.39570.4440001.84811.01624.9992.84902.75500
Voorraad 89.235151.929157.372127.2311,091.318863.849395.76212.41336.44832.14914.62119.73419.05912.22111.3898.5918.4118.8619.7248.4018.3874.1141.99552.68943.55662.89314.56918.94318.69700
Overige vlottende activa 431.051488.911454.036693.534448.452240.931338.85532.32723.69918.21249.4132.9543.0531.9182.3583.35113.377124.21911.7924.70436.32634.352101.019135.014162.946152.637158.79486.69368.83180.16944.309
Totaal vlottende activa 2,366.8152,608.8522,535.4543,243.5443,028.0012,335.4871,894.534712.133496.628392.576342.78443.89634.59327.43624.46822.799124.447134.323159.198174.705196.86279.231128.21189.904209.791266.474185.93144.64591.11880.16944.309
Niet-vlottende activa:
Materiële vaste activa, netto 2,851.0372,889.352,905.1792,312.1712,268.0231,200.2771,165.1061,208.0071,197.1421,200.55786.65248.56850.74154.26960.1754.118105.922107.886111.736159.473119.7481.97539.74742.85346.79357.15257.9547.41223.91417.80416.374
Goodwill 151.666151.666151.666525.872526.642527.412511.236000000000000000000000000
Immateriële activa 633.989481.345440.7452,237.4932,187.7851,896.3031,623.081320.994310.482197.86944.37945.41146.67548.07949.32450.44445.27968.58872.38632.45139.13452.54939.543.7581.8661.9711.0620.967000
Goodwill en immateriële activa 785.656633.011592.4112,763.3652,714.4272,423.7162,134.317320.994310.482197.86944.37945.41146.67548.07949.32450.44445.27968.58872.38632.45139.13452.54939.543.7581.8661.9711.0620.967000
Langetermijnbeleggingen 980.1081,748.4521,669.745263.442339.911366.135382.888655.802424.21763.54580.0575.56600000000000007.71400000
Belastingvorderingen 122.23883.59778.84580.9850.51916.77316.1665.525.4414.2574.4931,081.46300000000000000.69200000
Overige niet-vlottende activa 880.203114.53213.68219.15253.3252.32259.51562.2388.52522.556-84.543-1,157.0290.50.50.50.525.525.31525.50825.8511.3436.6873.07924.42324.2130.3560.3050.3110.2024.9270.035
Totaal niet-vlottende activa 5,619.2425,468.9435,259.8625,439.115,426.2064,009.2223,757.9872,752.5611,945.8021,988.783131.0393.97997.915102.848109.994105.061176.701201.789209.629217.774170.218141.21282.326111.03472.87167.88659.31748.69124.11622.73116.409
Totaal activa 7,986.0578,077.7957,795.3168,682.6548,454.2076,344.7095,652.5213,464.6942,442.432,381.359473.815137.875132.508130.283134.463127.861301.11336.112368.828392.479367.079220.443210.536300.939282.662334.36245.247193.336115.233102.960.718
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 439.3651,183.7271,097.702727.0861,223.813571.293784.897408.787357.906579.469642.267.51711.8067.96510.1398.27612.8959.1477.7947.7913.152.9570.80967.53454.55844.18736.96421.12220.41300
Kortlopende schulden 1,320.8811,502.5241,498.4471,608.2041,033.5121,089.803979.37257813506500000151.795210.095210.6188.795166.666.592.18249.2869.7564.431.8511.8713.9400
Belastingschulden 37.51528.82634.73449.00247.03544.94844.66229.72611.16911.1238.0117.9287.057.0196.7786.9496.6316.5246.8418.1487.2018.5616.772-0.160.1383.7563.8057.4294.66300
Uitgestelde opbrengsten 621.158305.962701.098574.377331.15944.948283.789967.079110.842048.2660000056.76240.87625.4318.48617.95924.53413.64836.56628.47432.627031.99129.67500
Overige kortlopende verplichtingen 1,077.5771,018.557723.191,115.6721,178.9091,203.227435.264948.723291.10297.571-589.31156.90953.45553.26648.85544.9652.59135.70918.78910.36410.84716.3189.50971.79639.89540.81227.54934.30534.5471.70837.473
Totaal kortlopende verplichtingen 3,170.5573,733.6343,690.6373,777.6663,483.272,447.7132,244.1951,965.237795.176688.163125.96172.35472.31168.2565.77160.185223.912278.557244.023215.097197.79894.336107.621186.555164.34153.155100.05774.72673.55571.70837.473
Langlopende verplichtingen:
Langetermijnschulden 1,186.705763.124531.6431,017.9491,404.533509.4700.59295306.26422.4517.8000000003030001014.3214.3214.322.42.700
Uitgestelde opbrengsten niet-vlottend 579.769612.595626.571655.593633.869217.9388.68380.79362.26246.4449.2300000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 21.4521.1991.3041.5061.8422.3913.7545-166.26-282.4-1,080.8300000000000000000000
Overige niet-vlottende verplichtingen 379.203369.828540.705421.051140.268548.132140175.793202.262186.44189.234443.8953.058173.1583300002.3462.1382.7542.8252.1241.9784.5613.184
Totaal niet-vlottende verplichtingen 2,167.131,718.8871,504.3782,096.0992,180.5121,277.853933.025315.793508.522608.8444443.8953.058173.1583330300012.34616.45817.07417.1454.5244.6784.5613.184
Totaal passiva 5,337.6875,452.5225,195.0165,873.7655,663.7823,725.5663,177.222,281.0291,303.6981,297.002129.96176.35476.31172.2569.66663.243397.07281.557247.023245.097227.79894.336107.621198.901180.798170.229117.20279.2578.23376.26940.657
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 352.659352.659352.659352.659352.659352.659251.899194.991194.991194.991123.23193.22593.22593.22593.22593.22593.22593.22582.582.582.582.582.582.582.582.582.5508.90300
Ingehouden winsten 603.948593.751587.905502.962493.547468.395424.49316.374279.326239.594-243.244-231.09-236.309-234.476-227.936-228.271-202.928-53.13313.13838.30432.01618.5677.063-20.805-21.2427.2353.7057.8416.27300
Overige gereserveerde algehele resultaten 169.226165.676162.927160.785157.06151.881148.501143.478137.981-0000000000000000000000
Overige totale aandeelhoudersvermogen 989.4671,156.9111,153.4841,000.4611,000.4611,313.8851,212.263535.065529.567523.942788.975194.878194.878194.878194.878194.8789.535163.55220.2620.2618.88915.84713.35146.96941.2852.98641.93456.24611.82526.63120.061
Totaal eigen vermogen van aandeelhouders 2,115.32,102.6422,094.0472,016.8662,003.7262,084.4382,037.1531,046.431,003.884958.527339.41657.01351.79453.62760.16759.832-100.16749.627115.898141.064133.405116.914102.915102.038101.863132.198128.045114.0863726.63120.061
Totaal eigen vermogen 2,648.372,625.2732,600.32,808.8892,790.4252,619.1432,475.31,183.6651,138.7321,084.357343.85461.52156.19758.03364.79764.457-95.9654.555121.804147.382139.281126.106102.915102.038101.863164.131128.045114.0863726.63120.061
Totaal passiva en aandeelhoudersvermogen 7,986.0578,077.7957,795.3168,682.6548,454.2076,344.7095,652.5213,464.6942,442.432,381.359473.815137.875132.508130.283134.463127.7301.11336.112368.828392.479367.079220.443210.536300.939282.662334.36245.247193.336115.233102.960.718