Asia-potash International Investment (Guangzhou)Co.,Ltd.

SZSE:000893.SZ

26.33 (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 755.3341,709.772863.335346.287445.737124.605498.641366.006928.8974,600.4132,262.0083,979.5831,647.592,322.739503.89136.293151.269168.565112.73943.97120.61121.37719.53918.03256.8431.8366.2021.90739.158
Kortetermijnbeleggingen 00000355.2890.0250.1771.25240.25633.78225.69619.84211.4660.9090.551-0.16700.2410.25000000000
Liquide middelen en kortetermijnbeleggingen 755.3341,709.772863.335346.287445.737124.605498.666366.183930.1494,640.672,295.794,005.2791,667.4312,334.205504.799136.293151.269168.565112.9844.22120.61121.37719.53918.03256.8431.8366.2021.90739.158
Nettovorderingen 0166.94228.56923.09761.04511.04228.484123.13362.186467.91681.938226.4460088.146619.613375.39119.923162.912318.08200038.552025.3294.22800
Voorraad 417.06188.92472.67474.12263.71286.31939.81571.46138.7661,197.9931,468.0281,518.341,204.3421,350.3781,082.708227.653409.102279.32200.446185.303151.545149.384131.658235.578177.89149.708131.45159.853157.362
Overige vlottende activa 260.459197.06374.06251.05154.33968.83275.98353.484313.572360.175455.291132.94332.97728.74721.491585.996106.25199.7872.64190.538267.834252.699376.696447.807378.823422.645284.231203.799123.791
Totaal vlottende activa 1,432.8532,270.9721,050.742607.361625.856629.319644.482914.2572,113.2836,751.2374,948.8815,862.3852,985.163,739.811,685.089617.4171,031.162667.588603.755674.686439.99423.461527.894701.672620.803626.912426.112365.559320.31
Niet-vlottende activa:
Materiële vaste activa, netto 7,265.9783,635.8651,728.826914.864827.333816.3799.194746.644725.1421,229.1211,115.277888.246781.707659.654523.98322.406285.989222.933202.368192.759199.131208.398216.857267.217261.308261.549101.34996.059105.002
Goodwill 6,405.3540000000000000000000000000000
Immateriële activa 260.1076,558.2912,739.4892,755.3332,765.5682,776.9352,785.7233,502.1083,508.78152.2653.76755.2955.53556.11957.3686.00687.30459.89546.97447.13948.03548.7850.39352.07751.72452.7842.52500
Goodwill en immateriële activa 6,665.466,558.2912,739.4892,755.3332,765.5682,776.9352,785.7233,502.1083,508.78152.2653.76755.2955.53556.11957.3686.00687.30459.89546.97447.13948.03548.7850.39352.07751.72452.7842.52500
Langetermijnbeleggingen 80.39132.51.4940.913002.4181.8240.7482.1311.40200002.4493.16703.9830000000000
Belastingvorderingen 162.53346.5764.47711.2610.2440.1540.3540.9620.1643.5397.2323.95800016.1711.01402.1980000000000
Overige niet-vlottende activa 91.077302.16829.63527.971-01.2093.0775.073.10419.00385.5321.309000.018-15.4030.413.6741.3942.448146.322144.8283.5678.4168.9749.74100.4410.87
Totaal niet-vlottende activa 14,265.4410,575.3994,503.9213,710.3433,593.1453,594.5973,590.7654,256.6084,237.9381,306.0541,263.21948.804837.242715.773581.358411.628377.884286.502256.916242.345393.488402.006270.817327.711322.006324.073103.87496.499105.872
Totaal activa 15,698.29212,846.3715,554.6634,317.7044,219.0014,223.9164,235.2475,170.8656,351.2228,057.296,212.0916,811.1893,822.4024,455.5832,266.4471,029.0461,409.046954.09860.671917.031833.478825.467798.7111,029.382942.809950.986529.986462.058426.182
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,188.348623.047308.393137.841147.795231.785259.049340.886619.6011,396.319298.4681,025.2461,229.697265.483634.805550.768722.006442.155300.819238.45179.639128.52494.177163.45334.2933.482111.548101.28295.575
Kortlopende schulden 318.696026.66209.6826.8636.5340537.9975,401.1943,993.2674,579.7831,686.6643,260.182635.939170171.22586.459135.002285.282295.471298.69303.888339.409310.21313.21104.07790100
Belastingschulden 109.49786.81676.77240.04442.52858.15126.5122.5985.031.57213.9113.656-59.532-5.039-8.173-3.902-1.04-6.4359.9317.01110.24619.96636.66628.9836.43436.22145.24719.7657.276
Uitgestelde opbrengsten 045.106152.7839.85817.4315.81429.05143.23926.68684.66278.69258.865-35.8438.66696.53210.89230.2277.36631.46663.77259.62364.972.0398.79243.53141.90469.00745.32928.621
Overige kortlopende verplichtingen 605.901288.54926.39526.72939.73347.45955.29156.505506.455237.292309.096181.081276.927168.422154.497-115.3333.614.304-9.358-4.49350.2445.74140.26333.7967.1840.98124.69426.35121.972
Totaal kortlopende verplichtingen 2,222.442998.412494.431204.614239.738344.258347.385499.9881,695.7697,254.614,840.8795,959.8643,270.0823,818.2011,752.412612.428925.791536.482467.861590.022535.596492.921474.994565.638388.118389.085285.567237.398224.823
Langlopende verplichtingen:
Langetermijnschulden 575.55212.4688.12411.99800000182.799247.621481.292220.25311519030300000006.200808063.4
Uitgestelde opbrengsten niet-vlottend 000-11.9980000012.06300000-30-27.172000000000000
Uitgestelde belastingverplichtingen niet-vlottend 199.368149.70896.05172.3953.467002.174.8080.674000003.7883.556000000000000
Overige niet-vlottende verplichtingen 62.87758.50149.84531.3660000077.40313.314.56715.83317.11902.8283.7021.7010.784.19721.5000.198000
Totaal niet-vlottende verplichtingen 837.797220.677154.02115.75553.467002.174.808260.875260.921495.859236.086132.120933.78836.3843.7021.7010.784.19721.56.200.198808063.4
Totaal passiva 3,060.2391,219.089648.451320.369293.204344.258347.385502.1581,700.5777,515.4855,101.86,455.7233,506.1683,950.3011,961.412646.216962.175540.184469.562590.802539.792494.921476.494571.838388.118389.283365.567317.398288.223
Eigen vermogen:
Preferente aandelen 0000000005.682.402000000000000000000
Gewone aandelen 928.851929.139756.903756.903756.903756.903756.903756.903756.903407.67271.78222222222222222222222222222222222222222222222163.89151.3451.34
Ingehouden winsten 3,324.1552,088.72455.848-839.244-902.91-944.346-950.356-262.032-281.553-324.212187.96492.65157.157253.562.0636.2969.37140.5218.006-197.926-226.714-187.403-192.401-56.0437.6442.0310.52900
Overige gereserveerde algehele resultaten 0103.10550.70350.70353.87554.21554.93155.41452.875-5.68-2.402000000000000000000
Overige totale aandeelhoudersvermogen 6,974.147,096.3713,749.8123,745.6093,799.4843,745.6093,747.6173,751.6093,804.484422.937629.84729.70628.5321.2460471.586155.5151.386150.24301.331297.593295.255293.271339.172280.486297.511093.31986.62
Totaal eigen vermogen van aandeelhouders 11,227.14610,114.2354,609.0633,713.9713,653.4773,612.3823,607.0874,301.8944,279.834506.3951,087.189344.357307.687496.746305.035382.83446.871413.906390.245325.405292.879329.852321.743457.545540.126545.481164.42144.659137.96
Totaal eigen vermogen 12,638.05311,627.2834,906.2123,997.3353,925.7963,879.6583,887.8624,668.7074,650.645541.8051,110.291355.466316.234505.282305.035382.83446.871413.906391.109326.228293.686330.546322.216457.545554.691561.703164.42144.659137.96
Totaal passiva en aandeelhoudersvermogen 15,698.29212,846.3715,554.6634,317.7044,219.0014,223.9164,235.2475,170.8656,351.2228,057.296,212.0916,811.1893,822.4024,455.5832,266.4471,029.0461,409.046954.09860.671917.031833.478825.467798.7111,029.382942.809950.986529.986462.058426.182