Bengang Steel Plates Co., Ltd.

SZSE:000761.SZ

3.73 (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 2,194.6541,461.1468,831.09613,126.66718,415.84416,567.47217,037.71312,931.9125,140.4819,792.944,574.5333,620.9753,242.9561,475.0452,842.9612,220.8362,242.8672,184.2011,897.5131,404.2131,003.195896.66883.284262.329125.29838.809244.93315.8290.0630.644
Kortetermijnbeleggingen 000000-0244005300000000000000000000
Liquide middelen en kortetermijnbeleggingen 2,194.6541,461.1468,831.09613,126.66718,415.84416,567.47217,037.71312,931.9125,140.4819,792.944,574.5333,620.9753,242.9561,475.0452,842.9612,220.8362,242.8672,184.2011,897.5131,404.2131,003.195896.66883.284262.329125.29838.809244.93315.8290.0630.644
Nettovorderingen 2,588.9152,838.9074,488.3766,685.3414,129.0935,743.936,164.5463,270.5053,663.3134,077.844,033.2754,097.5123,957.0623,161.8113,580.6823,047.7475,312.8463,878.0721,544.9571,206.2162,090.6131,590.553825.661,004.909507.95324.361135.4922.7082.0672.879
Voorraad 7,708.3738,463.72810,190.1669,040.0657,700.39810,677.74711,209.8989,782.1748,601.73411,008.41411,607.0489,793.7212,835.21310,297.6018,075.6747,859.7434,605.0433,801.49990.6281,627.268841.007732.496824.427458.304571.588621.013624.491488.371392.666349.516
Overige vlottende activa 157.79395.441754.9485,523.647312.905292.12809.322513.399431.361457.505863.068182.212182.212182.212182.212191.776-110.954-142.692-13.65-42.342-22.802-6.216-29.682134.156163.02501.568458.418329.975586.474365.928
Totaal vlottende activa 13,643.39913,159.22224,264.58634,375.7230,558.2433,281.26835,221.4826,497.9917,836.88825,336.69821,077.92417,694.41820,217.44415,116.66914,681.52913,320.10312,049.8029,721.074,419.4484,195.3553,912.0143,213.5021,703.6891,859.6981,367.861,185.7511,463.333836.884981.27718.968
Niet-vlottende activa:
Materiële vaste activa, netto 30,656.21329,374.74329,355.22128,124.50227,957.22924,761.09926,248.2126,906.92625,697.03223,360.67921,655.23320,425.94120,585.79220,491.48419,926.6418,996.4717,108.55917,190.5243,255.5443,670.4333,206.6353,523.0583,568.6612,850.5332,795.9992,464.5871,768.7321,106.46815.659883.394
Goodwill 000000000000000000000000000000
Immateriële activa 256.02262.785297.922264.933271.5278.062253.885259.837265.521271.46112.092109.17245.46846.3950000000000000000
Goodwill en immateriële activa 256.02262.785297.922264.933271.5278.062253.885259.837265.521271.46112.092109.17245.46846.3950000000000000000
Langetermijnbeleggingen 1,021.3731,071.4491,045.0071,044.7671,044.4681,044.2816.6155.85720.27120.27120.27115.915000000000000000000
Belastingvorderingen 467.041136.388153.757201.709191.486191.453200.618476.101641.931181.494184.78780.928194.896201.403211.674405.761197.9380000000000000
Overige niet-vlottende activa 137.934110.06630.631995.84708.50376.3421,067.3359000015.79115.7911.8440000000018.622216.785212.246210.227201.9312.7080
Totaal niet-vlottende activa 32,538.58130,955.43130,882.53730,631.7530,173.18526,351.23627,776.66427,657.72126,624.75523,833.90521,972.38320,631.95520,841.94720,755.07320,140.15719,402.23117,306.49717,190.5243,255.5443,670.4333,206.6353,523.0583,568.6612,869.1553,012.7842,676.8331,978.961,308.391818.367883.394
Totaal activa 46,181.9844,114.65255,147.12365,007.47160,731.42559,632.50562,998.14454,155.71144,461.64349,170.60343,050.30738,326.37441,059.39135,871.74234,821.68632,722.33329,356.29926,911.5947,674.9927,865.7887,118.6496,736.565,272.3494,728.8534,380.6443,862.5843,442.2932,145.2751,799.6371,602.361
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 13,174.4298,085.7579,987.35615,728.37816,356.02815,535.23515,392.25812,052.4197,126.4139,603.537,593.5045,725.34710,871.2719,253.56810,499.0848,739.413,875.5283,716.822390.763447.762305.603124.71915.9626.0246.94525.97936.11210.4254.9380.703
Kortlopende schulden 1,013.8822,635.4514,363.86911,375.76113,385.95312,289.45625,810.64419,200.14219,573.8918,779.68615,406.42511,075.3157,424.6613,308.53,805.8913,336.1053,514.3452,853.27144.856262.492613.383678.119357.355257.07197243.518543.485678.917560.216
Belastingschulden 55.40344.393114.26855.302284.826515.75287.80745.77245.19532.32329.24128.464-177.17-704.77-117.251-251.596-123.081-109.374-24.05-80.983-20.10339.081-89.1332.344-13.7242.0040000
Uitgestelde opbrengsten 5,018.9723,794.1166,322.5775,249.172971.226515.752792.659604.96597.343563.958624.461803.421602.124201.085977.752767.974506.699364.056121.621111.73365.56894.39204.855138.60497.941144.29974.732-151.944-193.549-195.406
Overige kortlopende verplichtingen 392.1221,795.396612.064579.6274,429.8224,245.8323,336.5473,679.4771,815.4433,144.4182,665.4682,916.412,849.4783,118.7812,538.5662,018.4062,527.5111,975.9541,516.9541,829.2281,411.1361,039.874342.187424.57608.43383.642186.073208.485229.527222.016
Totaal kortlopende verplichtingen 19,599.40516,310.7221,285.86632,932.93835,143.02832,586.27545,332.10835,536.99829,113.08932,091.59226,289.85820,520.49321,747.53415,881.93417,821.29214,861.89510,424.0838,910.1042,074.1942,651.2152,395.6911,937.101920.36826.268910.317797.43304.916610.451719.832587.529
Langlopende verplichtingen:
Langetermijnschulden 8,517.5368,387.78910,701.7419,255.1644,849.6767,083.642,444.1864,943.7582,496.273814.627745.6672,250.8623,660.7984,824.0242,869.0362,018.5591,935.211,452.69291.879311.862325.688928.597866.043464177.07104.56217.07587.34327.009208.43
Uitgestelde opbrengsten niet-vlottend 136.08542.37793.106154.452208.955289.499372.785410.399413.188427.52400000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 329.9140.02700-4,332.737-7,069.953-2,444.186-4,943.758-2,496.273-814.62700000000000000000000
Overige niet-vlottende verplichtingen 0001,114.2324,849.6767,083.642,444.1864,943.7582,496.273814.627336.216239.45791.664120.4696.71515.245256.243511.0980-0-0000000000
Totaal niet-vlottende verplichtingen 8,983.5358,430.19310,794.84710,523.8485,575.5717,386.8262,816.9715,354.1572,909.4611,242.1511,081.8832,490.3193,752.4624,944.4942,875.7512,033.8042,191.4531,963.789291.879311.862325.688928.597866.043464177.07104.56217.07587.34327.009208.43
Totaal passiva 28,582.9424,740.91332,080.71343,456.78640,718.59839,973.148,149.07940,891.15432,022.5533,333.74427,371.74123,010.81225,499.99620,826.42720,697.04416,895.712,615.53610,873.8922,366.0742,963.0772,721.3782,865.6981,786.4031,290.2681,087.387901.99521.9861,197.7921,046.841795.958
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 4,108.2194,108.2124,108.1913,875.3723,875.3723,875.3723,1363,1363,1363,1363,1363,1363,1363,1363,1363,1363,1363,1361,1361,1361,1361,1361,1361,1361,1361,1361,136616616616
Ingehouden winsten -2,463.134-720.562,977.3062,692.0182,307.7661,945.8871,103.163-496.969-1,278.2442,172.182,100.5872,387.6282,644.6162,162.3911,331.1043,033.0953,985.4623,444.5512,186.0151,875.8311,480.7771,034.762707.584694.711601.856319.092324.116000
Overige gereserveerde algehele resultaten 14,169.7682,245.2112,259.2552,223.6141,077.2361,077.7071,077.4981,077.3961,077.416116.3480.2110000000000000000000
Overige totale aandeelhoudersvermogen 1,195.11713,156.28813,156.21712,227.29212,227.29212,227.2928,998.9288,998.9288,998.9289,960.03410,071.549,757.1779,744.0999,711.9699,657.5399,657.5399,619.39,457.1511,986.9041,890.881,780.4931,700.11,642.3631,607.8731,555.4021,505.5021,460.19331.483136.796190.403
Totaal eigen vermogen van aandeelhouders 17,009.96918,789.15122,500.96921,018.29619,487.66519,126.25814,315.58912,715.35511,934.115,384.56215,308.33815,280.80615,524.71515,010.35914,124.64315,826.63416,740.76316,037.7025,308.9184,902.7114,397.2713,870.8623,485.9463,438.5843,293.2572,960.5942,920.306947.483752.796806.403
Totaal eigen vermogen 17,599.0419,373.73923,066.4121,550.68520,012.82719,659.40414,849.06413,264.55712,439.09315,836.85915,678.56615,315.56215,559.39515,045.31514,124.64315,826.63416,740.76316,037.7025,308.9184,902.7114,397.2713,870.8623,485.9463,438.5843,293.2572,960.5942,920.306947.483752.796806.403
Totaal passiva en aandeelhoudersvermogen 46,181.9844,114.65255,147.12365,007.47160,731.42559,632.50562,998.14454,155.71144,461.64349,170.60343,050.30738,326.37441,059.39135,871.74234,821.68632,722.33329,356.29926,911.5947,674.9927,865.7887,118.6496,736.565,272.3494,728.8534,380.6443,862.5843,442.2932,145.2751,799.6371,602.361