CNFC Overseas Fisheries Co.,Ltd

SZSE:000798.SZ

8.3 (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 686.355344.64857.47572.388107.127139.511206.486196.539161.223297.443302.337236.049274.677264.839243.294554.585793.073181.202108.027164.55156.473216.774243.908196.966146.674182.715223.58642.13242.3137.283
Kortetermijnbeleggingen 00-37.365-38.873-42.2490.35980-44.024-41.84090-032.16633.03632.256176.24850.457158.1574.84132.9045.10235.4621.4760.028000000
Liquide middelen en kortetermijnbeleggingen 686.355344.64857.47572.388107.127139.511206.486196.539161.223297.443302.337236.049306.843297.875275.549730.833843.53339.359112.868197.454161.575252.235245.385196.994146.674182.715223.58642.13242.3137.283
Nettovorderingen 440.02922.8630.10140.63253.1737.99634.04784.3691.052124.77558.83841.12133.7628.3326.823106.26244.067113.059539.552540.913539.041393.19704.42318.45313.50930.476229.826147.668155.219133.751
Voorraad 1,812.421214.824144.7202.434211.567173.389191.928151.402152.079139.241141.813278.02272.359158.847110.464101.05680.992109.377161.455100.58164.84157.36757.72559.62661.08744.86248.25886.622100.98151.654
Overige vlottende activa 132.04411.91612.43614.48314.06899.04785.89810.8172.81112.398103.9457.258.1717.5066.5566.1162.790.3-195.044-193.895-199.2360.003-245.374428.473468.78457.808-30.008-8.6661.315-44.8
Totaal vlottende activa 3,070.848594.249244.712329.937385.932449.943518.359443.118407.165573.857606.933562.441621.133492.558419.393944.266971.379562.095618.831645.052566.221702.795762.159703.546690.051715.86471.661267.756299.825177.888
Niet-vlottende activa:
Materiële vaste activa, netto 2,590.653499.401486.058543.049473.023312.364349.131284.182312.632278.152258.264258.09223.692207.055202.359256.869257.145248.197211.514140.055149.347179.643145.712360.568411.836402.381449.172357.572167.51767.295
Goodwill 000000000000000000000000000000
Immateriële activa 45.84525.313.15813.61114.55814.6082.58412.36712.4992.6212.6732.1562.8930.3621.78531.77636.19941.09415.6432.7993.1633.551028.16717.45423.27229.0929.0900
Goodwill en immateriële activa 45.84525.313.15813.61114.55814.6082.58412.36712.4992.6212.6732.1562.8930.3621.78531.77636.19941.09415.6432.7993.1633.551028.16717.45423.27229.0929.0900
Langetermijnbeleggingen 227.624217.153254.117239.036235.138257.323156.748159.915119.20874.40766.71863.63637.38246.80356.934-175.895-50.144-144.868124.30328.04119.013293.6296.6042.072000000
Belastingvorderingen 0.013-217.153-254.117-239.036-235.138-257.323-156.748-159.915-119.208-74.407-66.7180.8522.0680.510.650.5762.2050.0060.0180.030.111000000000
Overige niet-vlottende activa 15.026229.959268.015254.358251.212269.261156.748159.915119.20874.40766.744.32137.09238.45533.332179.63851.914160.2975.32433.5386.96235.4621.4760.028001.328025.11229.813
Totaal niet-vlottende activa 2,879.161754.66767.231811.018738.793596.233508.463456.465444.339355.179327.677329.055303.127293.186295.059292.964297.318304.727356.802204.462278.596512.284153.792390.835429.29425.653479.59386.662192.62997.108
Totaal activa 5,950.011,348.9091,011.9431,140.9541,124.7251,046.1761,026.823899.583851.504929.036934.61891.495924.26785.744714.4531,237.231,268.697866.822975.633849.514844.8181,215.079915.9511,094.3811,119.3411,141.513951.251654.418492.454274.996
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 390.60125.20726.30918.5632.12914.58833.90332.80345.30615.8717.6820.8116.1322.72911.94313.46110.9828.9310.29312.2910.78.0744.5941.6341.7183.7217.2076.68312.5473.572
Kortlopende schulden 1,330.09227.09670.098118.11518.32491.095110.14181.44169.893000250000065.19025287.5854746.64147.146.624129.50869.87344.12
Belastingschulden 14.82311.1040.3460.581.4470.7030.96628.77427.5970.6714.69410.451-2.0352.001-3.507-1.2886.2720.576-3.514-5.667-3.614-4.144-0.047-0.0031.9580.93424.3190.740.0720.599
Uitgestelde opbrengsten 41.623.896259.25280.946207.5342.82314.391164.163152.86300053.3140000056.368023.101167.00432.31658.90621.1758.49140.39116.00112.74142.697
Overige kortlopende verplichtingen 774.621258.6870.080.2465.19112.295146.4678.9369.43258.97565.82286.08187.93460.62640.772498.082464.01261.37227.82242.4133.0834.4816.32517.37497.31110.94651.2823.14222.6628.839
Totaal kortlopende verplichtingen 2,536.934314.886355.738417.867263.176220.801304.901287.344277.49574.84483.503106.891182.37883.35452.714511.543474.99470.303159.67254.70361.884467.058138.234124.914166.839220.298105.501175.334117.82399.227
Langlopende verplichtingen:
Langetermijnschulden 1,612.3110.90415.11614.1415.38515.39814.76616.1115.4656666666000000000037.971206.78487.4438.008
Uitgestelde opbrengsten niet-vlottend 151.5569.00574.40951.93527.85613.51815.2714.1984.8985.59700-000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend -147.41000-9.385-9.398-8.766-10.11-9.4650000.5410.7590.5644.3721.8550000000000000
Overige niet-vlottende verplichtingen 667.4226.4515.38515.39814.76616.1115.46506.2976.9967.6968.3960001.3294.640001.2420000030.5170
Totaal niet-vlottende verplichtingen 1,622.45275.90996.94672.52549.24134.91736.03726.30826.36211.59712.29712.99614.23715.1546.56410.3721.8551.3294.640001.24200037.971206.784117.95738.008
Totaal passiva 4,159.386390.795452.684490.392312.417255.718340.938313.651303.85786.44295.799119.888196.61698.50959.278521.915476.84970.303164.31254.70361.884467.058138.234124.914166.839220.298143.472382.118235.779137.235
Eigen vermogen:
Preferente aandelen 00000000030.76433.0410000000000000000000
Gewone aandelen 365.859365.859319.455319.455319.455319.455319.455319.455319.455319.455319.455319.455319.455319.455319.455319.455319.455319.455252252252252252252252252252189189137.761
Ingehouden winsten -301.998-275.533-285.367-199.508-45.542-67.109-116.191-93.005-97.831155.817155.12684.62446.2578.662-23.693-47.516-18.50323.08424.74835.43928.3594.06321.419191.128172.404175.70778.839000
Overige gereserveerde algehele resultaten 132.142118.943119.42120.938122.813121.206117.781116.4774.17-30.764-33.0410000000000000000000
Overige totale aandeelhoudersvermogen 260.3709.993367.594367.594367.594367.594367.594287.325288.66366.961362.315357.428354.253350.458345.698348.157352.992320.787499.888501.745497.448491.958493.599515.494506.266493.508476.9483.367.6750
Totaal eigen vermogen van aandeelhouders 456.302919.262521.102608.48764.32741.146688.639630.246584.454842.233836.895761.507719.965678.575641.46620.096653.944663.325776.636789.184777.807748.021767.019958.622930.67921.215807.779272.3256.675137.761
Totaal eigen vermogen 1,639.074958.114559.259650.562812.308790.458685.884585.932547.647842.594838.81771.607727.644687.235655.174715.315791.847796.52811.32794.811782.933748.021777.717969.467952.502921.215807.779272.3256.675137.761
Totaal passiva en aandeelhoudersvermogen 5,950.011,348.9091,011.9431,140.9541,124.7251,046.1761,026.823899.583851.504929.036934.61891.495924.26785.744714.4531,237.231,268.697866.822975.633849.514844.8181,215.079915.9511,094.3811,119.3411,141.513951.251654.418492.454274.996