Gansu Engineering Consulting Group Co., Ltd.

SZSE:000779.SZ

10.6 (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 1,921.9171,160.9581,184.0511,513.581,366.8361,753.18617.68844.44872.11182.64673.83149.48951.98355.30131.80685.00770.09639.18330.39844.07683.84186.772156.922178.39346.2994.6453.8461.1141.0570.543
Kortetermijnbeleggingen 0-143.952-171.288-166.506-183.672-183.70630.19600000000000004794.739098.8940.7822820000
Liquide middelen en kortetermijnbeleggingen 1,921.9171,160.9581,184.0511,513.581,366.8361,753.18617.68844.44872.11182.64673.83149.48951.98355.30131.80685.00770.09639.18330.39844.076130.841181.511156.922277.28387.08132.64523.8461.1141.0570.543
Nettovorderingen 1,498.3481,620.8421,248.218874.245751.034741.08364.38452.89863.22868.52378.66551.89658.64396.061158.58166.738170.86308.027299.566347.249193.573202.299201.30711.8316.69155.40450.905000
Voorraad 30.61144.322239.561215.23423.565145.659107.503105.06793.06697.469108.465119.014120.984118.98798.037109.445110.507120.36144.143182.331277.952293.34278.156254.889234.272265.304166.08668.57648.69527.911
Overige vlottende activa 25.78620.72521.28326.07516.01821.7075.0594.48912.4315.3830.3850.3850.3940.3990.4030.4160.24-93.647-98.359-125.284-46.868-63.363-66.83355.20545.075-3.009-5.767000
Totaal vlottende activa 3,620.5972,846.8472,693.1142,629.1352,157.4532,661.636194.633206.902240.835264.02261.347220.784232.004270.748288.827361.607351.702373.922375.749448.373555.499613.787569.552599.208373.119350.344235.0770.15150.19528.938
Niet-vlottende activa:
Materiële vaste activa, netto 936.785879.149847.379762.931708.9791,090.502390.139387.862424.354380.57171.6781.79388.7103.292115.936122.057139.037171.781191.351217.995246.493272.009287.796253.681256.007249.227210.786127.29391.3970.132
Goodwill 000000000000000000000000000000
Immateriële activa 202.683204.691208.402186.46263.229302.26134.714107.34345.9147.46149.01350.56552.11653.66855.2256.60312.9413.42713.91414.40114.63815.07915.5215.96116.40216.84315.05615.44210.1360
Goodwill en immateriële activa 202.683204.691208.402186.46263.229302.26134.714107.34345.9147.46149.01350.56552.11653.66855.2256.60312.9413.42713.91414.40114.63815.07915.5215.96116.40216.84315.05615.44210.1360
Langetermijnbeleggingen 252.935382.361377.016267.106244.938257.576-14.7215.11114.15413.65050000000000-92.73900000000
Belastingvorderingen 96.45771.79357.15439.75131.89428.02929.668-15.111-14.154-13.650-50000000000000000000
Overige niet-vlottende activa 241.70944.87915.00815.0080.6280.6280.62815.41114.65414.354.83255.23255.63256.03257.90670.53871.3545050.781514794.73900000000
Totaal niet-vlottende activa 1,730.5681,582.8731,504.961,271.2561,249.6681,678.996440.429510.616484.917442.382125.515187.59196.448212.991229.061249.198223.331235.208256.045283.395308.132289.088303.317269.643272.409266.07225.843142.735101.52670.132
Totaal activa 5,351.1654,429.7214,198.0743,900.3913,407.1214,340.631635.062717.518725.752706.403386.862408.374428.452483.74517.889610.805575.032609.13631.794731.768863.631902.875872.869868.851645.528616.414460.913212.886151.72199.07
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 635.597650.042404.849261.013191.529168.97655.32261.92721.44540.60636.48933.39637.22140.60331.07925.1613.54921.5622.25452.7858.5718.84121.88220.823.04736.53216.44918.21716.0831.392
Kortlopende schulden 18.2920.31417.3381.0921.092247.01176.957300.12118611510000000001403219191415034.941.78637.8
Belastingschulden 67.667.22382.01674.41160.654101.7960.31142.3970.1970.142-0.093-1.72-1.705-1.46-2.328-1.5950.297-0.022-0.9454.4473.54116.6122.64434.8359.4241.159-0.025000
Uitgestelde opbrengsten 844.111104.8541,132.3491,315.435930.049101.79681.759118.34995.12244.72544.1050000000064.214085.3375.28989.01130.65643.6620000
Overige kortlopende verplichtingen -696.32276.855-477.287-322.73725.9341,675.524-41.001-94.869-7.951-31.368-27.59622.40127.6320.56753.64754.68966.032244.391277.191130.29163.296-23.877-6.481-47.18-1.902-17.6118.288-11.935-13.9140.095
Totaal kortlopende verplichtingen 1,504.8741,569.331,564.1151,590.2271,400.7872,464.079228.669489.85316.259209.7199.39387.472100.367100.313113.478103.41493.428287.489320.754318.52283.978147.747134.217137.26798.273115.27541.1659.39960.03840.679
Langlopende verplichtingen:
Langetermijnschulden 70.43686.26442.9376.8246.91628.0081000192.5200000000000000000040.15767.61944.95425.804
Uitgestelde opbrengsten niet-vlottend 0.37400.1830.1770.1677.7878.3088.83511.30111.93800000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 65.32367.09370.59577.13586.82591.18542.880-192.5-20000000000000000000000
Overige niet-vlottende verplichtingen 62.25165.04667.84369.25687.60288.161-42.880192.520012.78212.9667.2970.13100.989209.221212.5196.202216.356172.34600000019.699000
Totaal niet-vlottende verplichtingen 198.384218.402181.559153.391181.51215.141108.3088.835203.801211.93812.78212.9667.2970.13100.989209.221212.5196.202216.356172.34600000059.85667.61944.95425.804
Totaal passiva 1,703.2571,787.7331,745.6741,743.6181,582.2972,679.22336.977498.685520.06421.647112.175100.438107.657170.443214.467312.635305.928287.489320.754318.52283.978147.747134.217137.26798.273115.275101.017127.018104.99266.483
Eigen vermogen:
Preferente aandelen 71.073009.67957.5411.263000000000000000000000000
Gewone aandelen 468.673380.095380.192380.331380.331380.331186.441186.441186.441186.441186.441186.441186.441186.441186.441186.441186.441183.155183.155183.155183.155183.155183.155183.155140.952117.46100.8255.8225.74625.746
Ingehouden winsten 1,391.7751,142.327979.597734.833446.108145.444-245.011-324.262-337.403-258.34-268.391-235.143-222.284-229.782-239.656-244.909-271.056-287.354-299.26-195.594168.196147.567134.275130.19792.83254.71531.07103.2872.607
Overige gereserveerde algehele resultaten 4.84759.77731.942-9.679-57.541-1.26323.90215.35215.352-000000000000000000000
Overige totale aandeelhoudersvermogen 1,701.3671,048.9081,049.3961,030.91986.071,125.381332.753341.303341.303356.655356.637356.637356.637356.637356.637356.637353.719425.841427.145425.685428.302424.406421.222418.233313.471328.965228.00530.04817.6964.233
Totaal eigen vermogen van aandeelhouders 3,637.7342,631.1072,441.1272,146.0741,812.5091,651.156298.085218.834205.692284.755274.687307.936320.794313.297303.422298.17269.104321.641311.04413.246779.653755.128738.652731.584547.255501.14359.89685.86846.72932.586
Totaal eigen vermogen 3,647.9082,641.9882,452.42,156.7731,824.8251,661.411309.226218.834205.692284.755274.687307.936320.794313.297303.422298.17269.104321.641311.04413.246779.653755.128738.652731.584547.255501.14359.89685.86846.72932.586
Totaal passiva en aandeelhoudersvermogen 5,351.1654,429.7214,198.0743,900.3913,407.1214,340.631635.062717.518725.752706.403386.862408.374428.452483.74517.889610.805575.032609.13631.794731.768863.631902.875872.869868.851645.528616.414460.913212.886151.72199.07