Tieling Newcity Investment Holding (Group) Limited

SZSE:000809.SZ

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 254.14346.0167.606123.77215.30346.196161.264181.097361.008208.652372.768144.957144.62425.3132.75534.98826.75727.1821.64921.0938.5866.1438.86138.8253.9355.16615.2855.0726.878
Kortetermijnbeleggingen 000000-48.4180030000000000000.01400004.1512.5512.55
Liquide middelen en kortetermijnbeleggingen 254.14346.0167.606123.77215.30346.196161.264181.097361.008208.652372.768144.957144.62425.3132.75534.98826.75727.1821.64921.0938.5866.1578.86138.8253.9355.16619.43517.62219.428
Nettovorderingen 111.30429.04822.87220.44215.00184.60435.113444.224705.9441,023.4771,999.4081,434.163548.9767.77768.46870.20854.49555.18544.20464.37971.00164.01988.73610.0140.199172.276201.665143.254139.475
Voorraad 4,043.9214,044.154,103.4994,125.5344,121.4284,060.2775,342.3995,268.3134,832.3274,538.8862,971.0042,561.3372,585.09125.37815.24317.88519.65718.17514.18335.62410.82237.9660.07777.25431.42484.663106.13996.97784.183
Overige vlottende activa 1.9310.0070.0030100.927106.2910.010.011-33.5230-19.458-35.693-46.336-7.49-4.244-5.387-8.508-10.504-3.126-3.872-5.824-19.747-22.94325.124124.346-57.3170.0230.7893.153
Totaal vlottende activa 4,411.2994,119.2154,193.9794,269.7484,252.664,297.3685,538.7855,893.6445,865.7595,801.0155,323.7224,104.7643,232.348110.975112.222117.69492.40190.03676.91117.22114.58588.389134.73151.212209.903204.788327.262258.642246.239
Niet-vlottende activa:
Materiële vaste activa, netto 118.408104.44116.108173.958187.976200.103210.799262.083287.322307.696235.511238.926246.199100.28590.25981.87985.03870.53472.29574.25215.407217.911233.903266.544159.859173.9188.669178.83162.538
Goodwill 00000000000000000000000000000
Immateriële activa 23.95724.6324.8925.52826.16726.80727.44836.1636.99337.80517.00917.36317.67831.70236.84242.50547.08428.34727.8631.9735.24770.70372.65974.0828.09828.73729.37530.01430.652
Goodwill en immateriële activa 23.95724.6324.8925.52826.16726.80727.44836.1636.99337.80517.00917.36317.67831.70236.84242.50547.08428.34727.8631.9735.24770.70372.65974.0828.09828.73729.37530.01430.652
Langetermijnbeleggingen 20.86922.43337.13440.3511,114.5941,223.46878.4180.1280.1920.0920.0940.0960.115000000003.5590000000
Belastingvorderingen 17.14313.83914.05337.01337.1537.44870.223165.78692.09241.40731.09411.1670.9120.4770.5790.4730.4390.3950000.3580000000
Overige niet-vlottende activa 20.02620.46220.51320.11820.32420.53120.73720.94419.95820.2741.74112.34112.3410000.01914.53817.95520.28823.4715.4699.96417.56915.31815.31833.31833.31833.202
Totaal niet-vlottende activa 200.403185.803212.698296.9681,386.2111,508.357407.626485.102436.556407.271325.45279.893277.245132.464127.68124.857132.579113.814118.11126.5174.125298316.526358.194203.276217.955251.363242.162226.392
Totaal activa 4,611.7024,305.0184,406.6784,566.7165,638.8715,805.7255,946.4116,378.7466,302.3156,208.2865,649.1724,384.6573,509.593243.439239.902242.551224.98203.851195.02243.73188.71386.389451.256509.405413.179422.743578.625500.804472.631
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 337.372317.127293.072277.052281.042217.826269.278318.638307.457297.554326.813326.322334.27114.296.6516.2494.0453.9282.50431.3094.43341.98348.75346.04550.37355.27145.10227.58639.014
Kortlopende schulden 429.438357.287405.7017001,618.9939.864906.1341,323.907795695645315360808888.965.945.91625562.94870.71779.85723.7329.93209.223114.91295.782
Belastingschulden 4.075.7820.4955.8736.4328.3820.5850.4456.86913.612278.281196.58173.9841.6012.1772.7182.1812.0222.9164.6015.60832.63524.13618.51982.19784.37865.93654.00940.174
Uitgestelde opbrengsten 141.4818.27958.38884.98889.8698.382127.492125.56125.46797.402386.311252.385208.736.8676.5767.11921.44812.0919.56729.48835.77184.92652.084118.046106.502101.731108.62585.69185.331
Overige kortlopende verplichtingen 18.95358.0418.56918.87212.183111.1996.1225.34625.8021.45745.9923.7250.4193.1011.3422.3320.5360.43510.0783.1413.7097.5354.0291.1785.5531.0942.9556.455
Totaal kortlopende verplichtingen 927.244750.733775.731,080.9132,001.9951,277.271,309.0251,793.4511,253.7261,091.4121,404.116897.431903.42104.258102.569104.691.92962.35429.07185.87548.346193.566179.089247.976181.783192.485364.044231.143226.582
Langlopende verplichtingen:
Langetermijnschulden 286.564645.209684.127395.7674851,289.7521,493.7231,541.1191,762.3231,594.6627507004500000000013.75125.55118.001003.42176.98769.763
Uitgestelde opbrengsten niet-vlottend 29.00630.62532.24433.86235.48137.138.71940.33841.95843.5780000000000055.34953.449-18.00100000
Uitgestelde belastingverplichtingen niet-vlottend 2.474645.209-0.244395.767-485-1,289.752-1,493.723-1,541.119-1,762.323-1,594.662000000000000.5460.5460.5460.5460.546000
Overige niet-vlottende verplichtingen 0-645.2090.244-395.7674851,289.7521,493.7231,541.1191,762.3231,594.66245.19446.78148.3673.264.4613.7042.0711.971.8624.1941.313.75125.55118.001004.7118.13210.856
Totaal niet-vlottende verplichtingen 318.043675.833716.37429.629520.4811,326.8521,532.4421,581.4571,804.2811,638.24795.194746.781498.3673.264.4613.7042.0711.971.8624.1941.383.397105.09718.5470.5460.5468.13285.11980.619
Totaal passiva 1,245.2871,426.5661,492.11,510.5422,522.4762,604.1222,841.4673,374.9083,058.0072,729.6522,199.311,644.2121,401.787107.518107.031108.3059464.32430.93490.06949.646276.964284.187266.524182.329193.031372.176316.262307.201
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000
Gewone aandelen 824.791824.791824.791824.791824.791824.791824.791824.791824.791549.861549.861549.861366.574114.57114.57114.57114.57114.57114.57114.57114.57114.57114.57114.57114.57114.57114.57114.57114.57
Ingehouden winsten 1,719.0981,824.8841,861.0092,002.6062,062.8262,148.0342,051.3761,950.2692,190.742,699.9962,671.2241,961.8081,397.332-18.53-21.448-16.513-19.823-15.887-21.87-28.906-37.825-48.5327.69765.3356.82155.85435.61616.9960.75
Overige gereserveerde algehele resultaten 243.356196.783196.783196.783196.783196.783196.783196.783196.78300000000000000000000
Overige totale aandeelhoudersvermogen 31.99431.99431.99431.99431.99431.99431.99431.99431.994228.777228.777228.777343.936.11336.11436.11336.11340.72141.63740.07838.09338.09338.09362.98259.45959.28856.26352.97750.11
Totaal eigen vermogen van aandeelhouders 2,819.2392,878.4532,914.5773,056.1743,116.3943,201.6023,104.9443,003.8383,244.3083,478.6343,449.8622,740.4452,107.806132.154129.236134.171130.86139.405134.338125.743114.838104.131160.361242.882230.85229.712206.448184.543165.43
Totaal eigen vermogen 3,366.4152,878.4532,914.5773,056.1743,116.3943,201.6023,104.9443,003.8383,244.3083,478.6343,449.8622,740.4452,107.806135.921132.871134.246130.98139.527164.086153.661139.064109.425167.07242.882230.85229.712206.448184.543165.43
Totaal passiva en aandeelhoudersvermogen 4,611.7024,305.0184,406.6784,566.7165,638.8715,805.7255,946.4116,378.7466,302.3156,208.2865,649.1724,384.6573,509.593243.439239.902242.551224.98203.851195.02243.73188.71386.389451.256509.405413.179422.743578.625500.804472.631