Shandong Jinling Mining Co., Ltd.

SZSE:000655.SZ

7.1 (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 2,127.8231,770.9921,393.48988.885758.684365.558115.96369.1880.81880.995253.305321.064907.117586.528548.228438.19121.0157.33246.7675.555285.171427.598242.73671.26623.04621.75417.28110.4473.25900
Kortetermijnbeleggingen 0-0.33-0.525-0.548-2.108-5.67-4.963-31.441-48.108-50.708-45.805-52.929100000000000019.9990000000
Liquide middelen en kortetermijnbeleggingen 2,127.8231,770.9921,393.48988.885758.684365.558115.96369.1880.81880.995253.305321.064907.117586.528548.228438.19121.0157.33246.7675.555285.171427.598242.73691.26623.04621.75417.28110.4473.25900
Nettovorderingen 84.854202.56370.688538.273460.927570.011683.975699.96674.06845.720686.893849.679717.724494.565314.096479.775168.918478.448163.759471.9385.02400.15012.3810.1411.072000
Voorraad 63.05859.63760.16165.85681.525111.597150.732124.645200.947200.271187.29594.53790.74171.81358.06439.69935.25728.829313.714330.632397.311334.247251.8239.389198.878145.437120.465102.20986.1900
Overige vlottende activa 20.01231.13520.4110.98322.52635.84544.2633.10724.981849.0412.56562.97-6.51521.907-2.466.04611.912.778134.076550.089473.316370.404336.099466.753413.017231.064214.157139.19892.745103.36670.043
Totaal vlottende activa 2,295.7482,052.8471,839.331,603.9961,317.2441,069.612979.053915.838976.6011,130.3061,359.6131,155.0611,841.0221,397.9721,098.397798.033547.957207.856900.058956.2761,155.7981,132.249830.636797.557634.941410.636352.045252.307182.194103.36670.043
Niet-vlottende activa:
Materiële vaste activa, netto 316.468282.47279.78274.446288.841296.873306.522517.609671.475669.972651.403580.516496.041424.407386.645273.735260.774256.341367.79406.998456.894467.794416.793343.302233.309153.925107.09697.57386.11270.31147.552
Goodwill 0000000014.80414.80414.80414.80414.8049.2189.2180000000000000000
Immateriële activa 238.063246.338254.789266.612276.78281.639289.751411.198490.359510.51353.178375.252400.829397.042413.264302.054309.091317.00421.89222.55819.50710.69711.29715.10316.39114.40815.05214.04713.58500
Goodwill en immateriële activa 238.063246.338254.789266.612276.78281.639289.751411.198505.163525.314367.982390.056415.632406.26422.482302.054309.091317.00421.89222.55819.50710.69711.29715.10316.39114.40815.05214.04713.58500
Langetermijnbeleggingen 887.589917.267988.054936.064976.2921,031.6891,019.1361,078.681,224.531,291.8021,132.7541,157.990000000000012.0410000000
Belastingvorderingen 19.34929.91725.12724.08728.04233.44563.56979.41240.21542.45254.18241.92131.07121.0810.6591.7270.35948.2030000021.440000000
Overige niet-vlottende activa 2.9770.1610.6170.4581.472.4960.3710.00312.0827.36628.90410.465149.857189.693000-48.2032.5342.26136.21336.116342.3616.2925.0882.1642.4542.0615.8167.625
Totaal niet-vlottende activa 1,464.4461,476.1521,548.3671,501.6671,571.4251,646.1421,679.352,086.9022,453.4652,536.9072,235.2242,180.9481,092.6021,041.439819.786577.516570.225573.344392.216431.817512.614514.607462.09394.247255.992173.421124.312114.074101.75786.12755.177
Totaal activa 3,760.1943,528.9993,387.6973,105.6642,888.6692,715.7542,658.4033,002.7393,430.0663,667.2133,594.8373,336.0092,933.6242,439.4111,918.1831,375.5491,118.182781.21,292.2741,388.0941,668.4121,646.8561,292.7251,191.804890.933584.056476.357366.381283.951189.493125.22
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 82.51359.52461.64287.64689.168145.56797.183154.471111.6031.943147.35876.81687.72456.81838.85549.64116.6976.89282.566123.227274.016277.475246.557220.135172.55992.25766.92181.91849.65600
Kortlopende schulden 0000001001505503910000020179.216135.738621.212548.503462.533322.49181.118160.938115.61756.8740.31772.96242.45400
Belastingschulden 7.8639.01115.0836.97812.9515.7477.21210.392.73199.495245.152173.039143.018134.02671.59834.8934.8896.48255.91152.13849.01441.04136.4140.66448.07417.95312.95210.6037.32600
Uitgestelde opbrengsten 016.61149.08749.4146.30648.72959.21960.21356.773150.956293.139223.569173.9190050.91846.83645.897211.555126.038112.428100.807132.95141.82137.76954.50270.3441.37640.80200
Overige kortlopende verplichtingen 157.587122.657155.151156.684161.671113.52690.42860.03365.672281.695119.292110.85866.45370.017119.25925.11624.02341.958217.075132.464123.014105.557167.551213.951126.441121.39682.14230.95845.34368.533.609
Totaal kortlopende verplichtingen 247.963207.802231.876251.308263.79264.84294.824374.894235.006383.132550.803460.713297.195260.86229.712129.647254.825191.07976.764856.331908.577755.064631.635635.688462.69288.477202.333196.441144.77868.533.609
Langlopende verplichtingen:
Langetermijnschulden 00000000089.888048.76191.6171.6171.6171.617038107211338.283256.964140.509134.30867.93893.8427.4215.6400
Uitgestelde opbrengsten niet-vlottend 1.4551.6171.7791.9412.1032.2651.92003.85000-00000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 4.5876.7765.2200000.3530.3621.6675.5659.46213.3611.3312.930000000000000000
Overige niet-vlottende verplichtingen 198.3210.621227.82728.41932.1841.35755.14100003.853.853.850.8530000000.979.9241.2265.2353.8153.8355.9275.93618.0714.545
Totaal niet-vlottende verplichtingen 204.342219.013234.82530.3634.28343.62157.0412.3530.36291.5559.41562.07236.2116.79715.3991.6178.565038107211339.253266.889141.736139.54371.75397.67533.34721.57618.0714.545
Totaal passiva 452.304426.816466.701281.667298.073308.461351.865377.247235.368474.687560.217522.785333.406277.657245.112131.264263.39191.071,014.764963.3311,119.5771,094.316898.524777.424602.233360.229300.008229.789166.35486.5748.153
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 595.34595.34595.34595.34595.34595.34595.34595.34595.34595.34595.34595.34595.34595.34595.34321.254321.254321.254259.254259.254259.254162.034125.908125.908116.38893.13293.13251.7451.7451.7451.74
Ingehouden winsten 1,838.2661,632.7831,459.4371,391.0111,160.559995.869904.8931,221.1861,783.751,777.8011,652.0841,475.3251,285.345897.575467.653458.547108.003-144.659-201.516-101.30845.51277.16289.69494.26194.42972.60534.90336.96522.11511.6121.94
Overige gereserveerde algehele resultaten 0375.854373.138358.46358.019340.614330.33329.038328.70510.3137.92600000000000000000000
Overige totale aandeelhoudersvermogen 833.396839.716463.863463.863463.863463.863463.863463.863792.568791.145463.863734.442711.06660.042610.078464.484427.792461.737197.59233.042234.317301.297163.99165.95256.48750.01231.84933.65831.40628.7814.785
Totaal eigen vermogen van aandeelhouders 3,267.0033,067.842,891.7782,808.6742,577.7822,395.6862,294.4262,609.4273,171.6583,164.2863,012.2862,805.1072,591.7452,152.9571,673.0711,244.285854.791590.13243.524390.988539.083537.953379.592380.579267.304207.011159.884122.363105.26192.13268.465
Totaal eigen vermogen 3,306.4353,102.1842,920.9962,823.9962,590.5962,407.2932,306.5382,625.4923,194.6973,192.5253,034.622,813.2242,600.2192,161.7541,673.0711,244.285854.791590.13277.511424.763548.835552.54394.202414.38288.7223.827176.349136.592117.597102.92377.067
Totaal passiva en aandeelhoudersvermogen 3,760.1943,528.9993,387.6973,105.6642,888.6692,715.7542,658.4033,002.7393,430.0663,667.2133,594.8373,336.0092,933.6242,439.4111,918.1831,375.5491,118.182781.21,292.2741,388.0941,668.4121,646.8561,292.7251,191.804890.933584.056476.357366.381283.951189.493125.22