Hefei Fengle Seed Co., Ltd

SZSE:000713.SZ

7.98 (CNY) • At close October 26, 2023
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) CNY.

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 299.069144.782173.876128.847100.997172.126194.73390.508172.562245.867312.474352.508361.124404.241612.137210.039176.787174.911117.733111.90579.97386.46478.78880.5482.75188.7740.825136.30121.4237.0113.5181.874
Kortetermijnbeleggingen 6.05230.827184.8588.46195.28-8.031-8.923-5.199-4.568-2.782-3.541-12.1420000004.0461.7691.99933.56735.9140610000000.1
Liquide middelen en kortetermijnbeleggingen 299.069375.608358.726217.307296.277172.126194.73390.508172.562245.867312.474352.508361.124404.241612.137210.039176.787174.911121.779113.67481.972120.032114.70280.54143.75188.7740.825136.30121.4237.0113.5181.974
Nettovorderingen 274.759279.636285.915237.046246.321237.089211.489179.656154.89459.15289.964103.075147.8133.2270042.94939.9948.371037.6770211.373101.59820.2288.6113.8231.5100.2640.5940.46
Voorraad 989.204715.544700.849780.939736.601798.207751.286777.407680.077517.818501.316595.774687.673669.068545.44605.693483.333383.077419.523404.366338.727225.488255.451221.074162.8495.056127.98460.63725.23827.52620.67310.932
Overige vlottende activa 236.704192.773207.41272.404326.278387.728271.543206.389210.405135.436124.469228.05498.104195.57460.10656.61176.25396.004105.569181.265120.64141.755180.186217.495281.098205.753171.8489.22137.37347.59337.5960.889
Totaal vlottende activa 1,799.7361,539.0021,552.9011,507.6961,605.4771,574.5871,429.0521,253.961,217.937997.2221,028.2231,279.4111,251.5211,265.7911,337.883963.522779.322693.982683.913699.306573.938487.275550.339529.554587.345391.201342.619287.66984.03382.39562.37673.892
Niet-vlottende activa:
Materiële vaste activa, netto 877.629764.716670.302640.437624.884600.79557.294470.254371.38368.558370.718410.422426.96411.962380.201325.713308.929296.422386.292375.184401.386239.621220.905246.198253.69270.273304.939168.51925.11128.9219.9996.646
Goodwill 220.919220.919220.919123.011123.011123.011123.0114.8994.89900000000000000000000000
Immateriële activa 313.422327.058345.194277.093276.283279.171266.525217.173155.936166.502161.686154.529133.276130.052131.452113.75113.507120.17640.67337.22543.42326.7526.13934.61148.88121.64821.78621.3597.26000
Goodwill en immateriële activa 534.341547.977566.113400.104399.294402.182389.536222.072160.835166.502161.686154.529133.276130.052131.452113.75113.507120.17640.67337.22543.42326.7526.13934.61148.88121.64821.78621.3597.26000
Langetermijnbeleggingen 0-223.199-175.55-77.634-184.45418.85758.74986.075164.176172.082168.527138.86516.4280000024.04833.81852.61265.32564.243042.3780000000
Belastingvorderingen 14.67412.95710.0016.0224.5334.0123.3082.4692.3312.2963.6113.5022.672.7074.1443.2891.710.083000036.705061.1020000000
Overige niet-vlottende activa 39.392311.583300.22236.944206.8684.0264.562158.08156.207156.207156.20711.71412.76629.73428.7429.74730.733.07716.616.50823.37136.4380.519109.2130.49658.96914.34119.7980.0260.0220.0220.022
Totaal niet-vlottende activa 1,466.0361,414.0331,371.0861,205.8731,051.1251,029.8671,013.449938.95854.928865.645860.748719.032592.1574.454544.538472.499454.845449.758467.613462.736520.791368.134348.511390.022406.547350.89341.066209.67632.39728.94310.0216.668
Totaal activa 3,265.7722,953.0362,923.9872,713.5682,656.6022,604.4542,442.5012,192.912,072.8661,862.8671,888.9721,998.4431,843.6211,840.2451,882.4211,436.0211,234.1671,143.741,151.5261,162.0411,094.729855.408898.85919.576993.892742.091683.685497.345116.43111.33872.39780.56
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 423.747250.216247.008179.15283.517213.183140.899212.119245.473163.609140.605147.791149.952122.061110.0257.59371.5568.784.278117.39246.8783.301178.25169.878121.76256.24570.17830.9613.28944.45927.68950.062
Kortlopende schulden 40.0415.00476.089139.305172.834188.879146.054216.93983.97714.519112.861284.482297.243319.543304.572233.797283.73322.404368.795276.378291.209237.95146.39144.33131.832.1580.53000.049.52
Belastingschulden 12.1688.71414.3213.98317.52315.79320.83212.36621.4436.84211.3054.9355.4573.3448.14227.9323.67322.896.9653.916-0.547-0.1232.127-0.011.2710.656-0.0990.551001.7613.048
Uitgestelde opbrengsten 00284.963355.586413.22199.01920.83296.146132.175125.363138.747135.48591.02889.296.959125.96682.27185.08572.844131.64677.3350.1998.71322.60589.0558.21676.284004.42614.5920.433
Overige kortlopende verplichtingen 479.89458.179171.15344.966584.108408.466435.785254.218166.949282.864260.51991.834152.588234.546328.765578.039298.763186.519176.826250.916246.26988.532138.392124.11196.63692.774105.43327.4866.2284.45713.04617.435
Totaal kortlopende verplichtingen 955.846722.113793.534732.993856.6795.962764.401791.788650.018467.834517.128664.526605.241673.176745.272847.359677.717600.514636.865648.602583.801409.66465.159260.134351.499145.661256.04258.99719.51748.95651.99672.545
Langlopende verplichtingen:
Langetermijnschulden 172.806151.68177.56911.74814.83236.2380001.6672.5043.3384.154.985.8716.677.4713.28117.91411.4119.2849.3494.7633.25100.670.50.0150.0390.0150.306
Uitgestelde opbrengsten niet-vlottend 39.16629.90227.70126.16524.8721.51116.46522.61122.89924.99216.17624.68800000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.4730.990.9470.650.8351.032-3809.8827.9727.3697.46600000000000000000000
Overige niet-vlottende verplichtingen 000024.870000018.004022.1810.12415.3447.928.7657.4210.3895.2924.3923.2990.7710.1770.45200.077001.4070.2420
Totaal niet-vlottende verplichtingen 212.445182.573106.21738.56425.70558.74454.46522.61132.78132.96427.0434.65825.51914.27420.32413.79115.43514.8923.6723.20615.80312.58310.124.9393.70300.7470.50.0151.4470.2570.306
Totaal passiva 1,168.291904.686899.751771.556882.305854.705818.867814.399682.799500.798544.168699.184630.759687.45765.596861.15693.152615.404660.536671.807599.605422.243475.279265.074355.201145.661256.78959.49719.53250.40252.25372.851
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000
Gewone aandelen 614.015614.015614.015614.015438.582438.582329.133298.876298.876298.876298.876298.876298.876298.876298.8762252252252252252252252252252251251081086319.96311.9555.955
Ingehouden winsten 838.56783.089757.013714.963557.194528.466477.961425.304419.624408.897389.998340.851307.952256.121225.228152.70199.95878.58352.28235.03827.76212.067-189.53928.82829.27420.81215.40339.2170000
Overige gereserveerde algehele resultaten 0112.922110.754106.821100.142108.62112.428114.536171.252156.02462.64759.61700000000000000000000
Overige totale aandeelhoudersvermogen 557.779442.143442.143442.143617.576601.057768.942498.271498.271498.271498.271650.045597.268587.026581.834146.177193.947190.097187.729179.398170.214167.851354.273398.843365.79449.104302.022290.63233.89940.9738.1881.754
Totaal eigen vermogen van aandeelhouders 2,010.3541,952.1681,923.9251,877.9421,713.4931,695.8171,576.0361,336.9881,388.0231,362.0691,344.8031,289.7711,204.0961,142.0231,105.938563.869516.045493.68465.012439.437422.976404.918389.734616.683615.932594.175424.326437.84996.89960.93620.1447.709
Totaal eigen vermogen 2,097.4812,048.3492,024.2361,942.0121,774.2971,749.7491,623.6341,378.5111,390.0671,362.0691,344.8031,299.2591,212.8621,152.7951,116.825574.871541.015528.336490.99490.234495.125433.165423.571654.502638.691596.43426.896437.84996.89960.93620.1447.709
Totaal passiva en aandeelhoudersvermogen 3,265.7722,953.0362,923.9872,713.5682,656.6022,604.4542,442.5012,192.912,072.8661,862.8671,888.9721,998.4431,843.6211,840.2451,882.4211,436.0211,234.1671,143.741,151.5261,162.0411,094.729855.408898.85919.576993.892742.091683.685497.345116.43111.33872.39780.56