Zhejiang Zhenyuan Share Co., Ltd.

SZSE:000705.SZ

8.36 (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 458.889453.484413.63510.211291.149215.622235.515245.522226.266374.064408.958547.293142.113127.4195.223132.062123.32106.09494.45577.65477.64874.514143.039225.901100.14442.087116.56412.231000
Kortetermijnbeleggingen 0-8.491220150250-17.674-23.581-26.984-43.059-47.787-44.043-46.8346.53751.51244.9138.05343.141000000401040280000
Liquide middelen en kortetermijnbeleggingen 458.889453.484633.63660.211541.149215.622235.515245.522226.266374.064408.958547.293142.113127.4195.223132.062123.32106.09494.45577.65477.64874.514143.039265.901110.14482.087144.56412.231000
Nettovorderingen 673.998925.181685.65579.248576.229559.469524.561498.525489.304462.82491.203395.214385.297328.891307.548220.839198.747215.585167.318168.837169.348164.561175.9075.21810.3411.09119.0478.581000
Voorraad 679.416723.789613.626510.63522.312437.288359.279343.257371.724313.085269.27289.145300.521264.229174.572162.639158.447160.051170.611123.086126.67484.81789.2357.62969.3687.38977.92341.645000
Overige vlottende activa 59.1177.2294.01115.94221.99623.44413.20315.09828.0396.1257.1563.1822.4141.1820.4240.910.481-17.991-4.994-4.423-18.893-6.109-13.712158.061177.669185.044120.28163.07117.498104.202106.577
Totaal vlottende activa 1,871.422,109.6831,936.9161,766.0311,661.6861,235.8241,132.5581,102.4011,115.3321,156.0941,176.5871,234.835830.345721.713577.767516.449480.995463.739427.39365.155354.777317.782394.465486.808367.513365.611361.816125.527117.498104.202106.577
Niet-vlottende activa:
Materiële vaste activa, netto 663.859556.667566.721481.666507.985551.668553.087532.795514.107437.309372.376262.333243.762230.211241.454253.315274.402361.347367.458378.751377.912353.812207.745162.934140.504137.621148.44737.36931.87825.1550
Goodwill 0000000000000000000000000000000
Immateriële activa 113.341115.22954.00654.52255.54582.16179.21649.27936.77138.2437.41138.6739.30339.79747.59548.78349.97119.90421.87922.40524.36838.89141.28742.38236.99531.78832.0118.4753.713.7893.868
Goodwill en immateriële activa 113.341115.22954.00654.52255.54582.16179.21649.27936.77138.2437.41138.6739.30339.79747.59548.78349.97119.90421.87922.40524.36838.89141.28742.38236.99531.78832.0118.4753.713.7893.868
Langetermijnbeleggingen 183.727384.188128.502180.76651.013120.008148.506123.499147.446128.812121.81299.24200000000000-16.4791.375-22.883-10.4120000
Belastingvorderingen 92.87135.93231.55932.03529.8728.88529.47230.81428.47724.45121.47614.31112.89510.27.5975.8364.63700000017.2810-000000
Overige niet-vlottende activa 58.97527.107268.691186.26282.454101.759108.289178.35296.0617.65414.0632.86294.356101.81478.10672.07976.17115.5616.00717.56919.94122.20324.0723.40210.96540.192281.3221.9882.30713.022
Totaal niet-vlottende activa 1,112.7731,119.1221,049.48935.248926.868884.481918.57914.739822.86646.465567.137417.418390.316382.021374.751380.014405.182396.811405.344418.726422.221414.906273.103229.52189.84186.717198.04647.16637.57631.25116.89
Totaal activa 2,984.1933,228.8052,986.3972,701.2792,588.5542,120.3042,051.1282,017.141,938.1921,802.561,743.7241,652.2531,220.6611,103.734952.518896.463886.177860.551832.734783.88776.998732.687667.568716.328557.353552.328559.862172.693155.074135.452123.466
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 532.598829.353630.994559.197572.824492.152477.738505.469534.229472.791447.033447.324412.91403.533278.949213.692208.303195.633177.802144.586132.6496.46287.13991.06799.2177.68976.82749.499000
Kortlopende schulden 83.16928.08334.9850.04797.601303060.50.54.52512.5184.792.787.7130.7130.7141.7142.047112.08569.0713769118148.9159.9173.846.754000
Belastingschulden 8.1530.45771.77682.27761.33620.91815.4916.54311.3355.16514.9349.1223.5481.983.8530.9762.4161.995-0.688-4.8973.4922.4594.14914.60315.5719.8632.085-1.223000
Uitgestelde opbrengsten 28.02832.409256.29217.33523.65220.918113.158107.25992.76976.170.79766.90363.08848.68841.94537.15236.31336.71331.52922.97529.80855.55133.92548.73333.04743.43139.48325.04000
Overige kortlopende verplichtingen -405.212-654.702-693.33-637.173-570.06-399.589-479.44-512.52-536.854-469.547-455.082-447.823-409.696-401.606-270.527-212.19-208.927-196.869-176.182-139.178-135.099-98.409-89.791-103.006-114.416-86.078-78.582-48.168106.70786.22185.527
Totaal kortlopende verplichtingen 779.331,094.952931.703830.879758.176656.552634.683682.72636.208561.8549.715535.351667.46548.829420.869384.022377.109374.806352.311280.155232.551189.526191.562260.465281.522282.494290.44121.4106.70786.22185.527
Langlopende verplichtingen:
Langetermijnschulden 54.96153.08147.90775.997000000-7.10000000030.05180.13410048.036231.3749.37417.374-0.639000
Uitgestelde opbrengsten niet-vlottend 64.69779.13982.73476.76181.0384.795.66.417.1537.8637.100000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 75.87555.70452.15631.64637.58615.67921.32714.22516.19310.3529.0386.6495.186.4243.992.283.56400000000000000
Overige niet-vlottende verplichtingen -000-75.9970-0-0-0007.100000000000.180.67-6.416-6.152-4.5882.82401.4815.4183.593
Totaal niet-vlottende verplichtingen 195.534187.925182.796108.407118.62420.46926.92720.63523.34618.21516.1386.6495.186.4243.992.283.5640030.05180.134100.1848.70616.584-4.7784.78520.198-0.6391.4815.4183.593
Totaal passiva 974.8641,282.8761,114.499939.287876.8677.022661.61703.355659.554580.015565.853542672.64555.253424.858386.303380.673374.806352.311310.206312.685289.706240.268277.049276.745287.28310.637120.762108.18791.6489.12
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 334.123334.123334.123334.123334.123334.123334.123334.123334.123334.123167.062167.062125.329125.329125.329125.329125.329125.329125.329125.329125.329125.329125.329125.32999.4599.4599.4530.2530.2530.2530.25
Ingehouden winsten 937.446820.243764.747718.039651.898453.568385.385334.098305.288271.469233.757180.626134.647104.23593.01382.4275.39159.70565.24360.7354.90644.26830.63930.81330.18122.19419.89412.513000
Overige gereserveerde algehele resultaten 176.843237.773224.452155.726170.079155.731115.55491.22591.73131.75327.81200000000000000000000
Overige totale aandeelhoudersvermogen 527.519530.332530.332533.567533.863479.444533.863533.863534.208574.256739.951755.54280.123290.615282.234276.165279.813276.743265.33264.548263.473258.355257.834255.49471.30166.00761.5949.16816.63713.5634.096
Totaal eigen vermogen van aandeelhouders 1,975.9321,922.4711,853.6541,741.4551,689.9641,422.8671,368.9251,293.311,265.351,211.6031,168.5821,103.227540.099520.179500.577483.914480.534461.777455.903450.607443.708427.953413.803411.636200.932187.65180.93851.93246.88743.81334.346
Totaal eigen vermogen 1,998.7861,945.9291,871.8981,761.9921,711.7541,443.2831,389.5181,313.7851,278.6381,222.5441,177.8711,110.252548.021548.481527.66510.16505.504485.745480.423473.674464.313442.981427.3439.279280.608265.048249.22551.93246.88743.81334.346
Totaal passiva en aandeelhoudersvermogen 2,984.1933,228.8052,986.3972,701.2792,588.5542,120.3042,051.1282,017.141,938.1921,802.561,743.7241,652.2531,220.6611,103.734952.518896.463886.177860.551832.734783.88776.998732.687667.568716.328557.353552.328559.862172.693155.074135.452123.466