Anhui Guofeng New Materials Co., Ltd.

SZSE:000859.SZ

5.38 (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 564.033753.162869.9431,193.61385.899370.891342.204251.495179.226282.55773.60562.6998.111124.55957.99944.11220.07133.6196.779551.451613.996438.19342.664145.74434.54696.78210.80420.8676.173
Kortetermijnbeleggingen 176.33160.14-0.442-1.381-1.611-0.592-2.38147217.4-135.074-135.074000-00.32900.090.126182.750.10.05002530000
Liquide middelen en kortetermijnbeleggingen 740.364753.162869.9431,193.61385.899370.891342.204251.495179.226282.55773.60562.6998.111124.55957.99944.44120.07133.796.905734.201614.096438.24342.664145.74459.546126.78210.80420.8676.173
Nettovorderingen 497.688508.935423.391429.545341.419303.547336.985333.652246.527308.689314.637313.567340.441351.695262.835416.853623.562568.773828.045555.393660.688398.636295.60772.56926.87339.28219.81625.69832.066
Voorraad 224.187198.153196.178161.731173.337180.142154.397187.891164.32155.045135.577149.91171.694196.038125.339113.494100.08895.14258.44499.99793.055124.374118.46888.01788.43465.80171.41669.56545.813
Overige vlottende activa 38.46583.71795.4234.3782.6510.647130.855214.151289.446249.537.568-11.168-13.564-69.497-13.59-57.661-171.625-163.453-288.031-193.109-226.923-79.0431.174193.425170.783189.257214.765149.19576.038
Totaal vlottende activa 1,500.7041,543.9671,584.9361,789.263903.304865.227964.44987.189879.519995.821531.386514.999596.681602.795432.583517.128572.096634.163695.3631,196.4821,140.916882.207757.914499.755345.635421.123316.802265.326160.09
Niet-vlottende activa:
Materiële vaste activa, netto 2,061.4181,467.9241,300.1621,131.7431,131.6571,122.5481,035.1571,002.659952.819870.513842.434752.928820.675833.562926.8751,074.579843.302910.014912.238853.081613.36951.347815.46591.256471.784365.782152.838139.52542.605
Goodwill 00000001.6087.62602.6372.6372.6370000000000000000
Immateriële activa 152.071137.491114.731119.272114.852117.929140.09388.8793.74549.98352.19254.12455.68431.94625.60134.43235.10921.19121.724.87723.65714.635.055000000
Goodwill en immateriële activa 152.071137.491114.731119.272114.852117.929140.09390.478101.37149.98354.82856.7658.32131.94625.60134.43235.10921.19121.724.87723.65714.635.055000000
Langetermijnbeleggingen 221.34328.822235.372.9553.0691.3922.480.10.1135.174135.1740.1007.6657.438217.166208.184209.396-2.75040.90018.3120000
Belastingvorderingen 95.54995.3419.44710.1819.124-1.3920.016-0.10.1430.2170.2950.3780.5750.75437.9975.5712.410.090.126183.55802.1320000000
Overige niet-vlottende activa 39.488106.6997.932.2328.4653.8274.7138.5324.124-135.074-135.0740.0480.1537.55549.878202.737208.536213.065203.28111.10223.5311055.66255.45445.2260.4540.4261.0571.968
Totaal niet-vlottende activa 2,569.8662,136.2781,667.6391,266.3831,267.1681,244.3041,182.4581,101.6691,058.556920.813897.657810.214879.723873.8171,048.0151,324.7581,306.5211,352.5441,346.7411,069.868660.5481,019.009876.176646.71535.322366.237153.265140.58244.574
Totaal activa 4,070.573,680.2453,252.5753,055.6462,170.4722,109.5312,146.8982,088.8581,938.0751,916.6351,429.0431,325.2131,476.4041,476.6121,480.5981,841.8861,878.6171,986.7072,042.1052,266.3511,801.4641,901.2171,634.091,146.466880.957787.359470.067405.908204.664
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 533.261384.796267.663272.615251.707219.802197.386194.769122.18790.856135.31127.572176.079139.275177.491114.83695.858155.583134.985123.47557.45862.947171.12885.17484.612101.91883.09358.82336.681
Kortlopende schulden 276.57894.03369.25760.0546.4763247.9132200.733319.791270.598215.5253.301277246.495501.891602.38635.42716.665874.955471.585549.45275.15216.52190.9691.7675.6394.88748.005
Belastingschulden 0.0847.7064.35414.33711.94910.1584.0233.433.192.642.1324.98813.53918.2453.71110.5417.2162.4832.0735.149-0.0149.4540.30513.06510.1866.52337.89130.4212.872
Uitgestelde opbrengsten 27.03916.11615.927768.32445.54110.15875.00186.85870.23929.50330.69233.79863.08355.70937.45979.64635.50428.87823.13753.88344.64275.71875.1551.31730.65434.2174.19445.70123.429
Overige kortlopende verplichtingen 65.227117.25818.69132.96331.97746.56410.4227.589.0765.86.8827.86419.78341.74331.54525.6818.01914.81910.01814.7979.37438.5658.18612.8112.1795.5536.03418.8642.809
Totaal kortlopende verplichtingen 902.105612.203371.5371,133.955335.701308.524330.709421.208402.235445.95443.483384.734512.246513.726492.989722.053751.76834.699884.8061,067.11583.059726.679529.614365.821318.405233.442238.951218.275110.923
Langlopende verplichtingen:
Langetermijnschulden 170.43718.78476.70719.48830.029157.7713015252.463.486.41.90020406788.49114.5130.5138.51152190041.172.50655.18219.973
Uitgestelde opbrengsten niet-vlottend 86.57284.40260.10267.61958.24254.12545.17240.90417.53216.7170000-05.501-66.927000000000000
Uitgestelde belastingverplichtingen niet-vlottend 50.33957.1860.0620.070.0410.6280.6280.7740.845000002.9553.3313.975000000000000
Overige niet-vlottende verplichtingen -86.572048.29387.55692.4070231.335001.478.7698.99839.31939.42240.4159.80767000001.1872.3733.564.796000
Totaal niet-vlottende verplichtingen 220.776160.372185.165174.733180.718212.524307.135193.67870.77781.58795.16910.89839.31939.42263.36958.6471.04888.49114.5130.5138.5115220.1872.3733.5645.89672.50655.18219.973
Totaal passiva 1,122.881772.574556.7031,308.688516.419521.048637.844614.886473.012527.536538.651395.633551.564553.147556.358780.693822.809923.189999.3061,197.61721.559841.679749.801368.194321.965279.338311.457273.456130.897
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000
Gewone aandelen 895.976895.976895.976739.45739.45739.45739.45739.45739.45568.807420.48420.48420.48420.48420.48420.48420.48420.48420.48420.48420.48262.8235.8235.8180180120127.32173.767
Ingehouden winsten 699.917746.471551.323323.496230.976161.98377.38629.84411.9482.417-1.94737.24233.38734.26639.272172.638172.085153.639135.449123.182116.282113.52373.66190.27371.77729.954000
Overige gereserveerde algehele resultaten 139.191139.191122.5495.09183.93475.81665.68860.39859.935-0-0000000000000000000
Overige totale aandeelhoudersvermogen 1,126.0331,126.0331,126.033587.296587.296587.282587.296587.296587.296817.873471.859471.859470.973468.718464.488464.12462.776458.461456.309458.087455.973612.246438.464427.962293.928286.54831.23200
Totaal eigen vermogen van aandeelhouders 2,861.1172,907.6712,695.8721,745.3321,641.6551,564.5311,469.821,416.9871,398.6291,389.098890.391929.58924.84923.464924.241,057.2381,055.3411,032.581,012.2391,001.749992.735988.569747.925754.036545.705496.501151.232127.32173.767
Totaal eigen vermogen 2,861.1172,907.6712,695.8721,746.9591,654.0531,588.4841,509.0541,473.9721,465.0641,389.098890.391929.58924.84923.464924.241,061.1931,055.8081,063.5171,042.7991,068.7411,079.9051,059.537884.289778.271558.993508.021158.61132.45273.767
Totaal passiva en aandeelhoudersvermogen 4,070.573,680.2453,252.5753,055.6462,170.4722,109.5312,146.8982,088.8581,938.0751,916.6351,429.0431,325.2131,476.4041,476.6121,480.5981,841.8861,878.6171,986.7072,042.1052,266.3511,801.4641,901.2171,634.091,146.466880.957787.359470.067405.908204.664