CCCG Real Estate Corporation Limited

SZSE:000736.SZ

10.87 (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 12,009.55310,481.712,369.92711,533.8667,889.6256,197.2735,012.6393,367.936661.506549.424637.083699.135385.497222.308302.03735.2611.4221.3351.37940.488432.839281.977302.437212.03469.1214.90533.9996.54611.924.679
Kortetermijnbeleggingen 0-2,328.326-3,278.782-672.725-658.087928.319330.384-493.07-55.200.3880.3880.3880.3880.3880.3880.3880.3880.3880.4431.6441.6442.26300.03811.33125.6168.0642.0412.69
Liquide middelen en kortetermijnbeleggingen 12,009.55310,481.712,369.92711,533.8667,889.6256,197.2735,012.6393,367.936661.506549.424637.471699.523385.885222.696302.42535.6491.8111.7231.76740.931434.482283.621304.7212.03469.15826.23759.61514.6113.967.369
Nettovorderingen 119.6896,206.50251.1416,334.7852289.2351,112.26129.018-0.1113.93513.50611.8016.60786.83220.6250.29500.03281.6720000.18415.8851.440.0520.5170.4110
Voorraad 93,256.401106,943.087108,894.09272,034.96429,507.99124,582.98923,622.97818,646.9666,181.9855,255.1363,191.3341,856.5091,712.3021,501.2571,111.6031,405.28200049.569105.94181.93358.4581.2788.9038.64111.03910.5157.4050.077
Overige vlottende activa 10,093.6726,353.59711,480.00211,677.2338,007.0012,343.7561,664.9991,041.8911,065.37389.996483.55847.08627.68820.408252.697147.259116.7318.9811.96240.958309.804174.77582.96355.99258.48946.8934.62321.53819.2630.338
Totaal vlottende activa 115,479.315128,547.954131,425.23695,246.06344,575.78637,421.34530,153.05623,068.497,908.8645,894.5954,325.8692,614.9182,125.8751,744.3621,666.7241,587.3325.08710.70313.729213.13850.227540.33446.122269.488137.7684.28105.32947.1840.80637.785
Niet-vlottende activa:
Materiële vaste activa, netto 146.155164.706174.314105.93162.93757.52256.80855.79342.83743.48711.51412.93113.67314.73514.68316.7323.15818.54619.20378.187222.634144.366.96930.613171.987160.81945.54246.61539.94622.501
Goodwill 000000000000000000000000000000
Immateriële activa 14.06111.8166.9589.0546.3926.2514.8553.0882.5651.0230.1370.1460.014000.0060005.47419.03542.87327.73815.843104.98214.19915.15911.1839.4032.469
Goodwill en immateriële activa 14.06111.8166.9589.0546.3926.2514.8553.0882.5651.0230.1370.1460.014000.0060005.47419.03542.87327.73815.843104.98214.19915.15911.1839.4032.469
Langetermijnbeleggingen 6,127.7957,603.4548,401.3332,995.281,936.75702,556.689562.22893.54638.524225.237139.786314.349290.518207.432157.722157.292125.505103.6670.695100.6383.16861.05200.686-3.621-25.264000
Belastingvorderingen 468.286442.597554.6483.986372.831238.541137.595231.67354.70124.39127.1947.6545.8062.514.3317.227000001.8682.51300.32111.59125.616000
Overige niet-vlottende activa 408.254536.6861,400.032663.013537.6822,506.126-186.33927.54724.42586.09855.47159.48664.82271.873.27396.30315.090.3880.3880.4431.644-48.866-40.2651.854-167.1620.42311.6659.20710.8886.261
Totaal niet-vlottende activa 7,164.5528,759.25910,537.2364,257.2632,916.5992,808.442,569.609880.329218.074193.524319.554220.003398.664379.564299.717287.99175.539144.439123.25784.798343.943223.342118.01298.31110.815183.41172.71967.00560.23731.231
Totaal activa 122,643.867137,307.213141,962.47299,503.32647,492.38540,229.78632,722.66523,948.8198,126.9386,088.1194,645.4232,834.9222,524.5382,123.9261,966.4421,875.321180.626155.142136.986297.9281,194.171763.673564.133365.318398.62267.69178.048114.185101.04369.015
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 15,296.14918,057.06610,233.1058,961.2835,986.8613,411.1682,102.7134,356.119872.869419.1884.381131.98328.43546.1825.19839.00617.7720033.713119.13754.52833.5231.7045.8721.8792.7282.5971.830.137
Kortlopende schulden 1,468.3222,025.90617,554.3922,429.0344,470.65902,610.423287.520418.80120.52153.0447.5200296.967386.59150337327513985.318.312.555.73.10
Belastingschulden 837.7491,389.8721,433.9921,273.511,145.997782.005555.186196.19916.11732.50328.95224.4216.56610.40963.03486.1820.7610.5920.4184.34413.8729.9924.6665.8697.2752.1453.4721.1250.3071.429
Uitgestelde opbrengsten 027,786.51146,052.29925,582.0255,976.604782.0055,670.481,393.737129.83280.976224.72887.569313.05878.905253.623450.307000181.52111.32843.89614.976099.77953.56513.09810.35614.5280
Overige kortlopende verplichtingen 42,482.69551,660.056,014.8099,227.50716,686.3721,164.65114,062.8567,977.831,052.562355.782809.807660.022525.518228.802408.859538.371259.728276.867520.426493.566103.55936.40611.6236.769111.35860.78510.42911.32316.56412.252
Totaal kortlopende verplichtingen 60,084.91573,132.89477,268.28243,773.97128,289.88726,139.82819,331.15612,553.1482,229.0481,092.442941.939816.425691.038438.434524.591665.56278.261277.459817.812918.214739.568473.926324.812153.342209.80683.6929.1820.74521.80113.818
Langlopende verplichtingen:
Langetermijnschulden 25,391.12923,609.84832,797.40630,843.52812,836.817,668.7628,554.3656,017.171,766.0171,124267.4207.2161.8206.2235.21250000200009.59.51910.5100.5
Uitgestelde opbrengsten niet-vlottend 40.36710.0232.5672.6612.9673.2273.6544.1974.197000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 420.337471.677319.872193.47325.34440.12319.45937.095-609.839000000000000000.048000000
Overige niet-vlottende verplichtingen 19,032.06221,051.54813,628.37811,797.2454,177.2322,149.215791.7871,154.8051,160.375922.02627.672117.826121.2730000000.20.50.50.5-0.048-9.540.539-0.907-1.13800
Totaal niet-vlottende verplichtingen 44,883.89545,133.07346,748.22342,836.90612,941.4449,859.5039,649.5857,209.072,926.3922,046.02895.072325.026283.073206.2235.212500314.6360.220.50.50.50.04840.54350.03918.0939.362100.5
Totaal passiva 104,968.81118,265.968124,016.50586,610.87741,231.33135,999.33128,980.74119,762.2185,155.443,138.4611,837.0111,141.451974.111644.634759.791790.56278.261277.459817.812918.414760.068474.426325.312153.389250.349133.72947.27330.10731.80114.318
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 695.434695.434695.434695.434534.949445.791297.194297.194297.194297.194297.194297.194297.194297.194297.194297.1946666666666666666606060505050
Ingehouden winsten 690.9812,371.0352,366.342,166.2541,926.8651,517.1521,237.1241,185.323859.401833.365765.622714.108592.915522.169400.203268.84-877.343-892.442-881.021-872.21455.802-3.0972.1487.57.629.23626.85415.8297.4150
Overige gereserveerde algehele resultaten 0107.44466.3469.19551.474100.9195.26345.044549.459-02.0460000000000000000000
Overige totale aandeelhoudersvermogen 229.191226.417130.558199.753225.323120.2231,381.1221,067.3082.966555.981553.094544.341543.353542.086509.254452.222-465.154715.123145.302155.738156.825196.033131.878125.01631.10839.76639.13915.5819.8194.698
Totaal eigen vermogen van aandeelhouders 1,615.6063,292.8863,258.6713,061.442,734.612,284.9872,095.4942,594.8691,709.021,686.541,615.911,555.6421,433.4621,361.451,206.6511,018.256-97.634-122.316-680.825-650.476278.627210.07200.026198.516110.902109.456125.99381.40967.23354.698
Totaal eigen vermogen 17,675.05719,041.24517,945.96712,892.4496,261.0534,230.4553,741.9244,186.6012,971.4982,949.6572,808.4121,693.471,550.4271,479.2921,206.6511,084.762-97.634-122.316-680.825-620.485434.103289.246238.821211.929148.27133.961130.77584.07869.24154.698
Totaal passiva en aandeelhoudersvermogen 122,643.867137,307.213141,962.47299,503.32647,492.38540,229.78632,722.66523,948.8198,126.9386,088.1194,645.4232,834.9222,524.5382,123.9261,966.4421,875.321180.626155.142136.986297.9281,194.171763.673564.133365.318398.62267.69178.048114.185101.04369.015