Hunan Development Group Co.,Ltd

SZSE:000722.SZ

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 704.049611.948431.99759.3371,000.503713.625649.374474.986249.085276.281219.557251.933194.668.662146.149182.73146.728201.55127.546253.036182.124285.992160.632107.294182.2667.6229.81718.9515.57911.558
Kortetermijnbeleggingen 7.83537.542404.7377296-46.811-46.166-9.496-4.648110.1075400012.398.21500.3020.30224.78928.2886.48502.83413.41005.1088.2994.607
Liquide middelen en kortetermijnbeleggingen 711.884649.491836.691,136.3371,296.503713.625649.374474.986249.085276.281219.557251.933194.668.662158.54190.944146.728201.852127.848277.825210.411292.478160.632110.128195.6767.6229.81724.05913.87816.165
Nettovorderingen 17.185227.28971.82219.06311.42948.06124.289053.66318.13117.73713.59523.24207.173186.4785.12675.187141.736169.3030004.352154.32732.5620.8870.7931.2551.892
Voorraad 7.8733.8954.07865.06864.96965.3977.65758.26417.24110.3542.0292.0651.276079.219122.863116.098189.311204.283239.932403.188162.958120.699101.18180.11764.71616.19525.60423.85917.845
Overige vlottende activa 837.87753.175466.287352.2723.47853.24622.962346.85610.219125.14395.156151.1110.04922.84489.05629.29425.54749.98929.01897.105217.786193.559260.687324.858195.946123.253135.5454.94847.7943.91
Totaal vlottende activa 1,574.8121,179.8511,378.8761,572.741,376.3791,102.869940.37880.105565.208428.709334.479418.464219.16891.507326.348527.645370.328515.939512.214784.164831.386648.995542.017540.519474.28227.475182.44105.40486.78279.758
Niet-vlottende activa:
Materiële vaste activa, netto 1,567.7081,426.8551,340.781,403.8851,468.2731,566.0011,629.7761,667.7631,711.7051,765.2111,821.0941,498.2731,551.0261,602.857900.2711,007.461,020.95962.891,036.5661,453.4271,133.5391,111.29905.5899.686619.431112.327109.52367.89851.14949.853
Goodwill 0000020.84820.84820.84820.848000000000000000000000
Immateriële activa 35.48535.49312.63913.03813.35513.57613.76414.07314.36614.66815.02915.38915.64115.90823.82925.35524.10821.554108.171121.27955.28240.54418.7511.99210.1748.7795.5635.6855.8065.928
Goodwill en immateriële activa 35.48535.49312.63913.03813.35534.42434.61234.92135.21414.66815.02915.38915.64115.90823.82925.35524.10821.554108.171121.27955.28240.54418.7511.99210.1748.7795.5635.6855.8065.928
Langetermijnbeleggingen 153.903432.07113.943-51.44931.423495.988533.422473.002583.954360.482193.506200.059006.001477.3440747.2371,013.426155.86992.626118.3120107.40954.20100000
Belastingvorderingen 0.1680.2480.160.1390.1170.350.1730.1130.274-360.482-193.506-200.059001.2233.93.6520027.77830.5638.61906.68117.94800000
Overige niet-vlottende activa 290.686277.947598.388386.585306.0960.5151.0970.5132.836842.982693.506200.059180.191170.82258.93861.772644.5832.9722.8770.05827.64425.604134.65820.22923.78930.9528.67412.96210.4023.886
Totaal niet-vlottende activa 2,047.952,172.6141,965.911,752.1981,819.2642,097.2792,199.082,176.3112,333.9822,622.8612,529.6291,713.7211,746.8581,789.587990.2621,575.8311,693.2931,734.6532,161.041,758.4121,339.6531,304.3691,058.9081,045.997725.543152.056143.7686.54567.35759.667
Totaal activa 3,622.7623,352.4653,344.7863,324.9373,195.6433,200.1483,139.453,056.4162,899.193,051.572,864.1082,132.1861,966.0261,881.0931,316.612,103.4762,063.6212,250.5922,673.2542,542.5762,171.0391,953.3641,600.9261,586.5151,199.824379.531326.199191.949154.139139.424
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 48.05783.857.4925.6748.53619.22426.2615.7158.7094.5258.2540.5190.0363.76860.70972.82280.02159.05744.6249.09573.97485.01492.66199.74799.74721.0988.04420.36912.87415.3
Kortlopende schulden 0028.17050443153381000289.862464.91319.708310.5272.5601.53579.16408.683317.6228.2228.272.27873.9586.38546.63439.055
Belastingschulden 12.7054.5094.6485.6636.47220.8221.0911.5393.6746.5925.0046.4621.4310.7657.8436.92911.62511.495.9424.6545.959-2.11312.25611.1952.596-0.945-2.151-0.377-1.243-2.09
Uitgestelde opbrengsten 042.29690.45198.53442.1420.82245.3146.59244.14349.91750.047000136.874140.857235.045201.744355.89171.06657.65765.14490.082123.45725.68511.550-6.91416.5990
Overige kortlopende verplichtingen 89.27589.02991.80778.93935.90530.13444.21947.04640.509-3.592-4.00425.58721.27516.113133.775139.05237.481309.773397.319213.067111.53173.429104.237153.471162.0713.97526.18511.46317.84221.388
Totaal kortlopende verplichtingen 150.037167.433132.117138.4855.91391.00277.59268.355.892210.442440.332.56922.74120.646492.19683.711648.834644.74720.385828.346770.624565.014504.716492.614230.828106.406106.028117.84176.10773.652
Langlopende verplichtingen:
Langetermijnschulden 00.1470.55598126131135139143344147000553492609514279626.481225.131218.636219.483186.083158.48326.51.51.5187.606
Uitgestelde opbrengsten niet-vlottend 1.793.3732.7433.4683.3372.8722.4432.2022.2612.3200000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 007098-126-131-135-139-143-34400000.018000000000000000
Overige niet-vlottende verplichtingen 0003.46800000002.4372.4962.55523.17947.70950.250120.701132.3281.80983.80943.80958.81513.1760.180000
Totaal niet-vlottende verplichtingen 1.793.51373.298101.468129.337133.872137.443141.202145.261346.32149.3782.4372.4962.555576.197539.709659.2564399.701758.801306.94302.445263.292244.898171.65926.681.51.5187.606
Totaal passiva 151.827170.946205.416239.949185.25224.874215.035209.502201.153556.762589.67935.00625.23723.2011,068.3861,223.421,308.0341,208.741,120.0861,587.1471,077.565867.459768.008737.512402.487133.086107.528119.34194.10781.258
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 464.158464.158464.158464.158464.158464.158464.158464.158464.158464.158464.158464.158464.158464.158268.131268.131268.131268.131226.775226.775226.775226.775194.8194.8162.333104104545454
Ingehouden winsten 503.233460.019444.553379.637313.575211.335150.16194.525-33.633-162.276-356.147-514.253-670.645-753.54-899.343-407.624-346.514-138.262-9.067-88.22660.9760.47257.06688.30563.2453.6231.53911.3850.3510.387
Overige gereserveerde algehele resultaten 160.23173.657164.895156.496147.885134.978124.745114.581102.2480-00000000000000000000
Overige totale aandeelhoudersvermogen 2,041.9042,215.5612,041.9042,041.9042,041.9042,176.8822,169.7752,045.032,147.2782,147.2782,035.4932,147.2752,045.032,045.03565.736665.481602.7660.873685.242759.431753.857750.58554.883584.8572.97114.25881.4885.6823.7352.026
Totaal eigen vermogen van aandeelhouders 3,169.5263,139.7383,115.5113,042.1952,967.5232,852.3762,784.0952,718.2942,577.8032,449.162,255.2852,097.181,940.7881,857.89329.401525.988524.317775.297902.95897.981,041.6021,036.776785.095798.543747.045244.516217.02771.06758.08556.413
Totaal eigen vermogen 3,470.9343,181.5193,139.373,084.9893,010.3932,975.2742,924.4152,846.9142,698.0372,494.8082,274.4292,097.181,940.7881,857.893248.224880.056755.5871,041.8521,553.168955.4291,093.4751,085.905832.917849.003797.337246.445218.67172.60860.03158.166
Totaal passiva en aandeelhoudersvermogen 3,622.7623,352.4653,344.7863,324.9373,195.6433,200.1483,139.453,056.4162,899.193,051.572,864.1082,132.1861,966.0261,881.0931,316.612,103.4762,063.6212,250.5922,673.2542,542.5762,171.0391,953.3641,600.9261,586.5151,199.824379.531326.199191.949154.139139.424