Citic Pacific Special Steel Group Co., Ltd.

SZSE:000708.SZ

15.34 (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 8,478.0248,927.8827,625.2589,247.1777,838.1811,938.2261,178.4051,185.421519.289530.58682.21172.731418.766278.101142.62382.021175.214259.8172.949327.59409.489222.822201.149146.05165.9848094.7443.053000
Kortetermijnbeleggingen 0-33.658-1,656.638-191.979-176.37680.240000000000003300000000000
Liquide middelen en kortetermijnbeleggingen 8,478.0248,927.8827,625.2589,247.1777,838.1811,938.2261,178.4051,185.421519.289530.58682.21172.731418.766278.101142.62382.021175.214259.8175.949330.59409.489222.822201.149146.05165.9848094.7443.053000
Nettovorderingen 22,894.85715,254.94513,777.19511,801.73612,618.96701,744.5821,079.5681,079.601860.316822.525611.042602.512653.4770437.527368.546229.425-0-00108.40117.6838.27203.32855.71397.267000
Voorraad 17,213.78810,767.9939,125.5548,616.7167,976.29902.441,026.505714.978713.251,003.023936.395874.0911,009.1311,138.414836.346573.5631,039.738713.027712.235852.548484.978434.792615.349609.315611.307764.535728.39638.162000
Overige vlottende activa 2,360.9412,697.9422,534.5972,097.5513,639.5290.507-2.029-2.07317.54362.863043.493658.238782.504199.42536.693475.795321.857537.8271,148.779678.2711,415.4831,597.2761,759.841,341.7661,051.932843.701656.4251,331.351,001.754822.783
Totaal vlottende activa 51,249.04437,648.76233,062.60531,756.99629,4545,200.6433,947.4632,977.8942,329.6832,456.7881,929.6781,561.4772,086.1352,199.0181,865.3861,492.2781,690.7471,253.221,426.0112,331.9171,572.7391,372.3842,413.7752,632.8872,057.3271,971.4031,722.5441,434.9061,331.351,001.754822.783
Niet-vlottende activa:
Materiële vaste activa, netto 54,216.03244,502.41243,294.63838,748.76736,480.1972,313.7582,521.0032,793.8462,585.8842,429.92,519.6622,636.5932,331.0582,059.0751,875.6391,854.6611,719.221,673.9871,714.9651,697.7981,665.0811,387.5251,286.4381,126.4981,140.9221,196.8531,187.994775.571630.59618.168656.357
Goodwill 18.33118.33118.33118.33118.33118.3310000000000000000000000000
Immateriële activa 7,811.2924,272.1744,331.3284,121.0834,409.53914.60419.35220.16820.98421.822.61623.43226.75527.65528.55529.45530.35531.25532.15533.05533.95534.80935.66336.51737.37238.22635.56736.35237.13637.92138.706
Goodwill en immateriële activa 7,829.6234,290.5054,349.6594,139.4144,427.8714.60419.35220.16820.98421.822.61623.43226.75527.65528.55529.45530.35531.25532.15533.05533.95534.80935.66336.51737.37238.22635.56736.35237.13637.92138.706
Langetermijnbeleggingen 721.6321,955.9872,404.119779.153260.788-0000-0000000000000000000000
Belastingvorderingen 1,740.8521,303.9781,425.3561,207.931,573.91291.76655.70146.76731.56929.44822.01512.56325.69314.85813.92521.959000000000000000
Overige niet-vlottende activa 749.4221,072.973339.919808.695388.24557.13335.2218.458169.43889.5667.76420.112231.75236.4480000000014.20228.15787.35398.917122.24375.804123.608101.014101.281
Totaal niet-vlottende activa 65,257.56253,125.85651,813.69145,683.95943,131.0132,477.2622,631.2772,869.242,807.8752,570.7142,572.0572,692.72,615.2572,338.0361,918.1191,906.0751,749.5751,705.2421,747.121,730.8531,699.0361,422.3341,336.3041,191.1721,265.6471,333.9961,345.804887.727791.334757.102796.343
Totaal activa 116,506.60690,774.61784,876.29677,440.95672,585.0137,677.9056,578.745,847.1335,137.5585,027.5024,501.7354,254.1784,701.3914,537.0543,783.5053,398.3523,440.3222,958.4623,173.1314,062.773,271.7752,794.7183,750.0793,824.0583,322.9743,305.3993,068.3482,322.6332,122.6841,758.8571,619.126
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 22,730.55317,958.0816,949.05519,160.58721,483.01213,881.8341,683.51,040.261958.3771,112.45675.616735.2821,240.7021,349.8961,108.192893.9531,024.161798.346930.1791,291.9891,257.971787.16871.83821.268440.838364.089282.487262.812000
Kortlopende schulden 8,670.1035,272.7014,607.2464,042.7242,566.3085,876.2370200194.13926520222.181187.9057.905187.905137.9057.905109.574555.8551,104.8487553.284893.208816.47899.51786.81769.44861.43000
Belastingschulden 280.511729.1641,321.061954.866562.77145.06536.90637.59413.9477.13437.758-13.679-1.1864.52940.76130.66817.82232.0369.8862.38881.23957.46426.42917.942.4037.6723.3942.253000
Uitgestelde opbrengsten 03,521.16116,022.74813,407.75910,935.20745.065268.277309.18283.5596.86125.67953.827151.578213.663186.374199.318196.093221.428242.162235.351314.69222.001144.874177.922102.25101.2221.161196.692000
Overige kortlopende verplichtingen 17,859.07510,026.245-187.54813,420.80413,253.82817,432.599754.627471.939134.271310.164474.378295.3328.168406.669362.489294.873365.227316.481248.737316.104342.647311.246271.185369.328177.667145.092346.251271.2671,162.968990.027939.077
Totaal kortlopende verplichtingen 49,540.24337,507.3538,712.56237,578.98237,865.9193,139.3322,475.0331,749.7951,300.7341,694.7471,207.7511,199.2051,755.591,7691,699.3471,357.41,415.1151,256.431,804.6522,775.2812,168.8561,627.0342,062.6512,025.0061,520.4191,303.6631,401.5731,397.7631,162.968990.027939.077
Langlopende verplichtingen:
Langetermijnschulden 21,799.812,438.87810,440.9819,098.48,3857,969029729901359301800250345380400409.991330.342366.835124.581230.06220.826273.871148.751160.015000
Uitgestelde opbrengsten niet-vlottend 1,435.7151,267.9131,054.502831.13734.15131.10571.59573.245300000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 464.805199.052214.075222.286297.578287.6540000000000000000000000000
Overige niet-vlottende verplichtingen 3,067.2652,924.0811,486.5331,324.99759.934322.1183.8113.8119.81115.25419.65824.30846.59449.07539.6534.29434.5480000012.37814.75516.96419.41522.00613.117319.116225.666167.922
Totaal niet-vlottende verplichtingen 25,331.8716,829.92313,196.09111,476.8059,442.512134.91675.406374.057338.81115.254154.658117.30846.594229.07539.65284.294379.548380400409.991330.342366.835136.959244.815237.791293.285170.757173.133319.116225.667167.922
Totaal passiva 74,872.11354,337.27451,908.65349,055.78747,308.433,274.2472,550.4392,123.8511,639.5451,710.0011,362.4081,316.5131,802.1841,998.0741,738.9971,641.6941,794.6631,636.432,204.6523,185.2722,499.1981,993.872,199.612,269.8211,758.211,596.9491,572.331,570.8951,482.0841,215.6941,106.999
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 5,047.1565,047.1545,047.1435,047.1432,968.908449.408449.408449.408449.408449.408449.408449.408449.408449.408449.408449.408449.408449.408449.408449.408449.408449.408449.408449.408449.408449.408418.842209.228209.228209.228209.228
Ingehouden winsten 21,348.44319,642.39817,029.79413,001.32110,324.4873,242.4812,867.1252,562.1062,336.8372,156.3251,978.151,776.4891,738.0311,377.804939.52684.949594.038302.77416.881-722.847-749.861-707.14242.91950.64859.653174.601124.11989.104000
Overige gereserveerde algehele resultaten 3,261.2142,635.381,775.1981,315.124887.856477.682446.859446.859446.8590000000000000000000000
Overige totale aandeelhoudersvermogen 8,952.3138,952.2658,952.00810,300.76911,951.736-2,185.473711.768711.768711.768711.768711.768711.768264.909264.909264.909622.3602.212569.85502.191,150.9361,073.031,854.2091,058.1421,067.7181,075.6411,221.44953.057453.406431.372333.935302.9
Totaal eigen vermogen van aandeelhouders 38,609.12636,277.19732,804.14328,350.11925,245.1314,403.6574,028.3013,723.2823,498.0133,317.5023,139.3262,937.6652,899.2072,538.982,044.5081,756.6581,645.6591,322.032968.479877.498772.577800.8481,550.4691,554.2381,564.7641,708.451,496.018751.737640.6543.163512.128
Totaal eigen vermogen 41,634.49336,437.34432,967.64428,385.16925,276.5828,996.7674,028.3013,723.2823,498.0133,317.5023,139.3262,937.6652,899.2072,538.982,044.5081,756.6581,645.6591,322.032968.479877.498772.577800.8481,550.4691,554.2381,564.7641,708.451,496.018751.737640.6543.163512.128
Totaal passiva en aandeelhoudersvermogen 116,506.60690,774.61784,876.29677,440.95672,585.0137,677.9056,578.745,847.1335,137.5585,027.5024,501.7354,254.1784,701.3914,537.0543,783.5053,398.3523,440.3222,958.4623,173.1314,062.773,271.7752,794.7183,750.0793,824.0583,322.9743,305.3993,068.3482,322.6332,122.6841,758.8561,619.126