Ligeance Aerospace Technology Co.,Ltd.

SZSE:000697.SZ

4.75 (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 719.49675.779137.589144.16178.838314.741940.542353.327553.335386.052201.55850.671245.76350.372301.624182.213233.22282.018258.298251.379228.603190.31576.333248.601290.11971.04520.21622.37523.60318.53330.465
Kortetermijnbeleggingen 0.6090-35.272-42.045-49.325-39.031-22.127217.5141.6946200000000018.4200000000000
Liquide middelen en kortetermijnbeleggingen 719.49675.779137.589144.16178.838314.741940.542353.327553.335386.052201.55850.671245.76350.372301.624182.213233.22282.018258.298269.779248.603190.31576.333248.601290.11971.04520.21622.37523.60318.53330.465
Nettovorderingen 483.498305.356320.577219.203455.495441.856357.119113.609181.605176.729112.619141.084131.54125.664199.979194.325271.133350.187389.621518.706562.915405.453445.299154.32196.032104.79785.98256.91219.47115.5622.176
Voorraad 472.103372.524286.564282.52298.657287.265180.03916.43820.0846.33933.03539.08946.66947.18760.93198.115148.727162.585167.516185.824143.643137.985135.846187.028131.01769.1822.7658.83142.80240.34729.961
Overige vlottende activa 31.60316.17468.47358.03276.91677.29567.146238.62152.889462-3.793-0.756-4.784-4.047-9.721-4.226-6.0632.6392.94-93.171-104.4310.9724.104373.663348.961538.882308.701144.888141.475107.74846.794
Totaal vlottende activa 1,706.7769.833813.203703.916909.9071,121.1571,544.846721.994907.9121,031.12343.418230.088419.186519.175552.813470.427647.017797.429818.375881.138850.73734.724661.582963.613866.128783.906417.659283.006227.352182.19109.396
Niet-vlottende activa:
Materiële vaste activa, netto 1,186.5961,130.9091,142.5741,040.1541,045.281,277.3451,103.274819.508691.716471.194337.095343.867146.822162.948206.365250.086280.84289.934315.699394.245376.822270.314248.536238.798158.30494.188103.83772.90537.34939.24931.555
Goodwill 592.094593.429860.541,120.9681,327.492,433.5662,177.272000000000000000000000000
Immateriële activa 136.452153.151192.149208.219116.793151.15257.96566.56756.00837.26938.71718.22520.1420.75323.20926.82827.34129.42831.89935.29875.09330.50632.16822.1447.1946.7872.8813.1432.1532.1982.243
Goodwill en immateriële activa 728.546746.581,052.6891,329.1861,444.2832,584.7172,435.23766.56756.00837.26938.71718.22520.1420.75323.20926.82827.34129.42831.89935.29875.09330.50632.16822.1447.1946.7872.8813.1432.1532.1982.243
Langetermijnbeleggingen 36.94337.902150.176158.785138.271110.32451.34129.48729.78930000000000-11.911-14.1650000000000
Belastingvorderingen 102.95552.40277.986110.72185.79493.02549.8170.3231.5760.4220.7981.087000000018.83620.3530000000000
Overige niet-vlottende activa 40.78149.6319.21621.89712.58220.71136.2470.5080.4453.0855.6436.31731.96133.17628.73437.57141.09817.0952.4850.4030.47114.703113.2052.0681.4315.7950.8440.0160.0140.0120.011
Totaal niet-vlottende activa 2,095.822,017.4242,432.6412,660.7432,726.214,086.1213,675.916916.393779.534541.97382.254369.496198.923216.876258.308314.485349.28336.457350.084436.871458.572415.524393.91263.009166.929106.77107.56176.06439.51641.45933.809
Totaal activa 3,802.522,787.2573,245.8443,364.6593,636.1175,207.2795,220.7621,638.3871,687.4461,573.09725.672599.584618.109736.052811.121784.912996.2971,133.8861,168.4591,318.0091,309.3021,150.2481,055.4911,226.6221,033.057890.676525.22359.07266.868223.649143.205
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 226.964224.446196.591161.665260.414253.478208.853100.956100.55294.71995.80878.817222.406240.887271.746311.899487.047545.947529.089463.842403.724229.128142.64212.66152.019139.43972.01771.39425.73811.0486.601
Kortlopende schulden 1,950.7631,532.0421,265.773977.6951,356.0711,191.8893,046.0156.38252025582.894136.1699.84524.2760011.248.268120.356119.51138.027102.073161.26665.17969.88987.28173.6346.75
Belastingschulden 0.28468.65170.03270.29159.091111.10541.7615.36720.74424.22917.53811.13-7.104-10.148-9.575-4.968-8.405-1.761-4.808-12.18-11.747-8.966-3.331.482-6.86739.29738.75624.74916.4717.9522.464
Uitgestelde opbrengsten 4.4322.056795.573671.337199.463111.105246.7450.01320.74433.10532.37111.1328.15220.86519.53824.4550047.31937.09131.04828.86835.38965.10827.997105.4858.1960042.80
Overige kortlopende verplichtingen 187.9691,100.40217.73140.84822.546206.6857.63320.422.0260.2141.3737.5753.5515.9775.4587.38225.61451.9325.6952.0066.3483.8750.52913.98810.5490.24412.63946.74950.49610.10514.704
Totaal kortlopende verplichtingen 2,370.1292,858.9462,275.6661,851.5451,838.4941,763.1573,509.246127.749168.321148.038154.551102.522337.003403.888396.587368.012512.661597.879593.303551.139509.121382.227298.068429.783292.638406.429208.031188.032163.515137.58368.055
Langlopende verplichtingen:
Langetermijnschulden 40.846194.475497.269343.09182.497238.80346.554000005.4955.4955.4955.4955.4955.4955.4955.4955.6954.148002.114.400000
Uitgestelde opbrengsten niet-vlottend 4.94535.28538.19435.22722.88623.83426.24827.0364.67900000000.500000000000000
Uitgestelde belastingverplichtingen niet-vlottend 24.09106.689106.15564.44155.00551.309000000001.0471.38700000000000000
Overige niet-vlottende verplichtingen 912.91299.5858.23612.16612.4554.21233.007000000.50.50.50.51.70.50.50.50.3000000.3690.7471.121.4940
Totaal niet-vlottende verplichtingen 982.794329.345550.388496.639282.273371.855157.11927.0364.6790005.9955.9955.9957.0419.0815.9955.9955.9955.9954.148002.114.40.3690.7471.121.4940
Totaal passiva 3,352.9233,188.2912,826.0552,348.1832,120.7672,135.0123,666.364154.785173148.038154.551102.522342.998409.883402.581375.054521.742603.873599.298557.133515.115386.374298.068429.783294.738420.829208.4188.778164.636139.07768.055
Eigen vermogen:
Preferente aandelen 0197.199179.556133.721115.804119.72399.76117.297117.2970143.59500000000000000000000
Gewone aandelen 873.101671.616671.616671.616671.616671.616559.68559.68559.68559.68481.095481.095186.613186.613186.613186.613186.613186.613217.462217.462217.462217.462217.462217.462217.462200.59133.72763707070
Ingehouden winsten -3,311.323-3,051.429-2,249.315-1,694.646-1,215.091333.358318.552260.659307.092264.294199.677142.19-159.617-112.142-84.766-94.977-36.123109.2844.288207.079196.013188.186183.354194.364173.952126.63638.20145.30121.1798.9233.858
Overige gereserveerde algehele resultaten -195.935-197.199-179.556-133.721-115.804-119.723-99.76-117.297-117.2970-143.59500000000000000000000
Overige totale aandeelhoudersvermogen 3,062.171,988.5862,006.2292,052.0652,069.9822,066.063621.627604.091604.09598.302-121.588-127.96286.689286.689286.689292.181294.107237.726301.435312.504321.166348.166343.81352.429328.219125.897144.89361.9911.0535.651.292
Totaal eigen vermogen van aandeelhouders 428.013-391.227428.531,029.0361,526.5073,071.0371,499.861,424.431,470.8631,422.276559.183495.325313.685361.16388.536383.817444.597533.618563.185737.044734.641753.814744.626764.255719.633453.122316.82170.291102.23284.57275.15
Totaal eigen vermogen 417.483-401.034419.7891,016.4761,515.3493,072.2671,554.3981,483.6021,514.4451,425.053571.121497.063275.111326.169408.54409.859474.554530.013569.161760.876794.187763.873757.423796.839738.318469.847316.82170.291102.23284.57275.15
Totaal passiva en aandeelhoudersvermogen 3,802.522,787.2573,245.8443,364.6593,636.1175,207.2795,220.7621,638.3871,687.4461,573.09725.672599.584618.109736.052811.121784.912996.2971,133.8861,168.4591,318.0091,309.3021,150.2481,055.4911,226.6221,033.057890.676525.22359.07266.868223.649143.205