Weichai Heavy Machinery Co., Ltd.

SZSE:000880.SZ

10.63 (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 2,114.0151,757.8981,508.781,306.5011,093.528988.075725.346371.282510.451622.87377.742628.601981.5571,225.791,081.584293.067252.75433.8780.23798.426118.073115.878189.43668.00131.04771.52215.09737.93312.6319.607
Kortetermijnbeleggingen 17.901-10.625-11.335-11.139-15.576-10.441-16.044-17.505-0-0.013-0.004-0.01-0.336-0.025000001.1771.1770.840.960000000
Liquide middelen en kortetermijnbeleggingen 2,114.0151,757.8981,508.781,306.5011,093.528988.075725.346371.282510.451622.87377.742628.601981.5571,225.791,081.584293.067252.75433.8780.23799.603119.25116.718190.39668.00131.04771.52215.09737.93312.6319.607
Nettovorderingen 855.868855.824632.809482.48488.148330.853261.538190.516277.446212.37629.08142.828002.06725.39319.25734.6247.659113.352202.788170.125013.66100007.5537.553
Voorraad 565.513468.94484.655492.517425.981408.85488.828455.426467.959539.422474.432262.785212.282165.674113.022183.041122.39590.75524.52752.6498.728160.875208.295187.45188.173190.59769.23742.85186.50771.508
Overige vlottende activa 46.483.2839.4132.883161.05315.41714.78816.65424.52721.29761.33527.30319.79355.31812.4782.84113.50517.156122.614129.86563.2171.874167.15251.643172.286133.826180.785152.83580.49777.463
Totaal vlottende activa 3,561.7713,165.9462,635.6542,314.3822,082.4021,743.1951,490.51,033.8781,280.3831,395.965942.59964.1431,225.8661,458.691,207.083504.341407.912176.41195.036432.524483.976420.434565.841520.755391.506395.945265.119233.62187.187166.131
Niet-vlottende activa:
Materiële vaste activa, netto 830.404930.1951,078.0481,158.4561,238.2241,284.0151,308.4071,375.4751,499.5891,482.831,323.4671,245.0071,193.123701.191581.721346.425169.582177.776350.405401.084518.071451.449405.968386.356347.229320.607152.528115.75787.97653.803
Goodwill 000000000000000000000000000000
Immateriële activa 151.371169.509175.981215.67213.414202.118176.689167.514174.106174.272173.016130.112132.987135.86293.8595.85264.45563.02439.02341.12151.3164849.39140.47641.8141.04941.70840.04734.1125.695
Goodwill en immateriële activa 151.371169.509175.981215.67213.414202.118176.689167.514174.106174.272173.016130.112132.987135.86293.8595.85264.45563.02439.02341.12151.3164849.39140.47641.8141.04941.70840.04734.1125.695
Langetermijnbeleggingen 729.991701.677685.287646.313612.141563.615559.5489.12433.028423.633418.495402.938193.535183.9550.0690.05600099.724138.122196.158121.5850000000
Belastingvorderingen 141.209125.674126.436113.888110.47794.4581.24570.9260.50956.48341.51538.16638.33429.12823.09956.84577.8190000000000000
Overige niet-vlottende activa 17.9010-0.132-0.407-2.08-0.426-0.011-0.012-0-0.013-0.004-0.01-0.336-0.025-0.069-0.0560049.1521.3771.5110.840.9674.080.0440.260.4770.1340.1220.141
Totaal niet-vlottende activa 1,870.8771,927.0552,065.6212,133.922,172.1762,143.7722,125.8292,103.0172,167.2312,137.2051,956.491,816.2141,557.6421,050.112698.67499.122311.857240.801438.58543.306709.02696.447577.905500.912389.084361.916194.713155.938122.20779.639
Totaal activa 5,432.6485,093.0014,701.2754,448.3024,254.5783,886.9673,616.3293,136.8953,447.6143,533.172,899.082,780.3572,783.5082,508.8021,905.7531,003.463719.769417.211633.616975.831,192.9961,116.8811,143.7461,021.668780.59757.861459.832389.558309.395245.77
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,556.1312,241.1112,075.5291,969.7812,049.6111,897.5471,611.7271,224.3321,457.6521,112.1171,121.2071,289.9991,300.91,285.0451,056.541410.291222.785107.795203.511329.244382.898294.412295.003259.229229.132252.184174.19448.93111.19310.763
Kortlopende schulden 0000-189.0360500660.835000000000321.734282.17213.5769.9772.97202.6225.52561.0584116.95888.88
Belastingschulden 0.91630.1114.80628.50712.2313.9223.30423.47533.53130.96215.10610.54729.78555.82719.5841.4353.8583.177-75.563-78.819-61.693-0.5030.88924.73319.6568.14319.1578.16714.48217.109
Uitgestelde opbrengsten 173.059215.851595.40386.226189.03658.607365.99337.665-660.835000000000-3.629-58.974-40.43716.351107.1360040.13951.88354.35225.89727.996
Overige kortlopende verplichtingen 442.46671.238491.721584.972-761.235431.716437.213368.253-128.6841,038.254470.396211.304245.597202.508128.87974.12844.71512.745202.6164.118162.24161.013118.3547.42939.65841.30339.6671.97139.97844.092
Totaal kortlopende verplichtingen 3,172.5662,942.4592,726.672,583.2592,594.0542,343.1832,119.6631,653.7252,023.3342,181.3331,606.7091,511.8491,576.2821,543.381,205.005485.854271.358123.717652.282696.713697.017424.892487.216494.011313.946326.63294.061213.069182.612160.845
Langlopende verplichtingen:
Langetermijnschulden 008.237048.10219.575015.836000000000000030000020.662.50
Uitgestelde opbrengsten niet-vlottend 72.465243.97159.464177.868118.093126.723132.917139.115105.89774.98300000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 10.67810.493.54.942.5481.8061.0470.4690.261000000000000000000000
Overige niet-vlottende verplichtingen 234.73972.388112.494116.24332.78723.20227.50515.87228.35718.74986.19588.49789.99347.25200000.350.350.35000-15.05100000
Totaal niet-vlottende verplichtingen 317.882326.847283.695299.052201.53171.307161.469171.293134.51593.73286.19588.49789.99347.2524.2730000.350.350.35300-15.0510020.662.50
Totaal passiva 3,248.3143,269.3063,010.3652,882.3112,795.5842,514.492,281.1321,825.0182,157.8492,275.0641,692.9041,600.3461,666.2751,590.6321,209.278485.854271.358123.717652.632697.063697.367427.892487.216494.011298.896326.63294.061233.729185.112160.845
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 331.321331.321331.321276.101276.101276.101276.101276.101276.101276.101276.101276.101276.101276.101276.101276.101276.101276.101276.101276.101276.101276.101276.101172.57786.28986.28961.28961.28943.77843.778
Ingehouden winsten 901.493800.377681.206571.172476.413407.185377.632361.233342.492316.269274.056251.764199.17520.018-199.453-378.319-447.517-602.434-606.516-309.856-96.58782.26346.42292.33973.97333.43860.08657.15160.98827.533
Overige gereserveerde algehele resultaten 8.382476.318462.705447.819435.582418.293407.404396.633394.0573.8573.4860000000000000000000
Overige totale aandeelhoudersvermogen 215.679215.679215.679270.899270.899689.192270.899270.899270.899270.899270.899652.147641.958622.052270.899619.827619.828720.589311.4311.4311.399407.538319.495264.899321.433311.91244.39737.3919.51813.614
Totaal eigen vermogen van aandeelhouders 1,942.1991,823.6951,690.911,565.9911,458.9941,372.4781,332.0351,304.8651,283.5481,252.8851,206.1761,180.0111,117.233918.17696.475517.609448.411293.494-19.016277.644490.913684.183642.017527.657481.694431.231165.771155.829124.28384.925
Totaal eigen vermogen 1,942.1991,823.6951,690.911,565.9911,458.9941,372.4781,335.1971,311.8771,289.7651,258.1051,206.1761,180.0111,117.233918.17696.475517.609448.411293.494-19.016278.767495.629688.989656.53527.657481.694431.231165.771155.829124.28384.925
Totaal passiva en aandeelhoudersvermogen 5,432.6485,093.0014,701.2754,448.3024,254.5783,886.9673,616.3293,136.8953,447.6143,533.172,899.082,780.3572,783.5082,508.8021,905.7531,003.463719.769417.211633.616975.831,192.9961,116.8811,143.7461,021.668780.59757.861459.832389.558309.395245.77