Kunming Yunnei Power Co.,Ltd.

SZSE:000903.SZ

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,444.889636.8241,669.0582,272.587709.0311,534.2831,414.632,287.2511,810.4651,199.6441,073.611755.151602.218737.221,226.4441,206.4491,570.556281.608349.96284.617241.748236.868141.524209.238284.79219.49121.6982.29
Kortetermijnbeleggingen 234.963373.822763.5911,084.477910.1590.9990.8385030.0870000000056.71867.54897.806122.10682.01199.03183.62651.5000
Liquide middelen en kortetermijnbeleggingen 1,679.8521,010.6462,432.6493,357.0641,619.191,535.2821,415.4682,287.2511,840.5521,199.6441,073.611755.151602.218737.221,226.4441,206.4491,570.556338.326417.508382.423363.854318.878240.555292.864336.29219.49121.6982.29
Nettovorderingen 2,401.5033,030.8862,956.1443,698.8153,764.7083,892.1553,389.5011,963.8591,506.2981,459.3921,202.4341,042.1041,040.5741,255.984628.532482.286536.783400.077329.343296.133224.889168.177182.19713.51712.531241.563224.157147.647
Voorraad 2,595.8692,715.8092,406.9621,641.3981,265.6231,228.7631,169.71,011.961717.194806.864396.85400.686459.352585.839751.194544.448461.935378.614379.602369.429283.521249.852208.801113.27776.76197.41175.35612.635
Overige vlottende activa 82.671216.828213.98235.978322.382652.692378.751120.53234.588317.5670.595-5.084-11.165-189.453-89.693-14.701-16.969-18.788-24.4760.004-11.269-18.167-19.7132.507146.727-17.584-9.264-11.209
Totaal vlottende activa 6,759.8956,974.1698,009.7378,733.2546,971.9027,308.8916,353.425,383.6034,098.6323,783.4672,673.492,192.8572,090.9792,389.592,516.4772,218.4822,552.3061,098.2291,101.9771,047.989860.995718.741611.852552.166572.312340.881311.94231.363
Niet-vlottende activa:
Materiële vaste activa, netto 3,402.0673,559.73,723.2343,522.0933,314.3583,094.0272,908.6252,601.392,412.5862,047.8092,034.4952,030.0591,889.2981,706.1641,355.4971,324.47987.209903.461784.131793.542734.452669.225627.537285.405270.793200.802172.32299.577
Goodwill 489.254517.77529.59555.404565.275608.424608.424000000000000000000000
Immateriële activa 1,955.5711,950.2881,857.6731,611.7791,403.0521,034.452837.376640.89588.773531.483455.875400.31397.97380.776363.529157.313129.38378.87430.38731.1220.35320.78221.21100000
Goodwill en immateriële activa 2,444.8252,468.0582,387.2632,167.1831,968.3271,642.8761,445.8640.89588.773531.483455.875400.31397.97380.776363.529157.313129.38378.87430.38731.1220.35320.78221.21100000
Langetermijnbeleggingen -172.463-311.322-431.091-771.977-848.15961.00161.16232-28.08752525200000-4.718-13.797-45.171-71.221-31.166-49.793-82.890000
Belastingvorderingen 38.63798.204105.83771.50451.58113.01710.99610.65610.46114.46419.18322.28514.59115.0728.6964.3614.0510000099.16600000
Overige niet-vlottende activa 387.761539.201783.0041,196.4651,066.529209.3376.121030.08703008005252.93856.51255.09954.29759.6570.44398.713122.71282.8190.02184.2360.798000
Totaal niet-vlottende activa 6,100.8266,353.8416,568.2486,185.2685,552.6355,020.2584,432.7053,284.9353,013.822,645.7562,861.5533,304.6542,353.862,154.9491,784.2341,541.2421,174.941,037.266871.164878.202806.295741.66698.142286.751271.591200.802172.32299.577
Totaal activa 12,860.72113,328.0114,577.98514,918.52212,524.53812,329.14910,786.1258,668.5397,112.4526,429.2235,535.0435,497.5114,444.8394,544.5394,300.7113,759.7253,727.2462,135.4951,973.141,926.1911,667.291,460.4011,309.994838.917843.903541.682484.262330.94
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,698.2296,112.1836,537.7387,296.7935,103.564,339.943,397.2532,704.4192,048.5141,624.3251,254.7771,096.7771,105.6961,107.1541,066.492658.226656.694657.071645.756594.83421.019307.648203.62371.16491.723103.67597.72228.963
Kortlopende schulden 4,196.452755.3341,388.756204.2981,147.881,244.51,100.536.61311.1136.856201.67551.6761.6791.67148146.5213.5176.5129.516081.17119.08269.945010087.7372.91150.55
Belastingschulden 28.4579.7579.89946.07629.716180.035193.53138.0458.4247.62552.01930.83715.9828.3566.47532.66829.10221.02911.94713.39925.39712.9293.5313.4686.4045.5354.2587.237
Uitgestelde opbrengsten 590.76531.036528.154468.936356.117180.035454.328226.445202.405172.7221.041123.345102.62987.91795.48107.77199.457123.178116.367111.98476.477141.825111.04484.9829.62338.70324.28315.198
Overige kortlopende verplichtingen 9.366547.9335.8317.60162.672362.90426.9240.2495.57215.50413.33815.255517.463548.13238.88823.34727.08820.42526.77324.05317.67622.45211.0532.9910.2211.40214.8295.675
Totaal kortlopende verplichtingen 9,494.8137,446.4858,460.4797,977.6286,670.2296,127.3794,979.0023,007.7252,267.6031,819.3851,690.8261,787.0481,787.4581,834.8741,348.859935.844996.739977.174918.396890.867596.341591.004595.66209.134231.566241.509209.746100.386
Langlopende verplichtingen:
Langetermijnschulden 77.9311,232.469178.649990144531.6149.51,0001,000996.997992.919989.2100290290199.75922.41362.65649.19395.73426.15482.8995.0230.37389.3590.35100.48
Uitgestelde opbrengsten niet-vlottend 237.866240.134200.009207.898110.11489.812104.7493.04960.85271.621000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 8.688.54210.09512.56116.16417.10218.423-912.7-887.2-996.997000000000000000000
Overige niet-vlottende verplichtingen 63.72912.2146.3744.2962.808090.5911,0001,000996.99798.9484.4175.63653.4753.39748.38360.85249.242.37839.43436.4719.1516.5673.6017.7562.5226.5744.106
Totaal niet-vlottende verplichtingen 388.2061,493.359395.1271,214.754273.086638.513363.2541,180.3491,173.6521,068.6181,091.8591,073.6275.63653.47343.397338.383260.61171.613105.03588.627132.20535.30589.4668.6258.12991.87296.924104.586
Totaal passiva 9,883.0198,939.8458,855.6079,192.3826,943.3156,765.8925,342.2564,188.0743,441.2552,888.0032,782.6852,860.6681,863.0941,888.3441,692.2561,274.2271,257.351,048.7871,023.43979.493728.546626.309685.126217.758239.695333.381306.67204.972
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000
Gewone aandelen 1,970.4211,970.8011,970.8011,970.8011,970.8011,970.8011,970.801878.769799.014799.014680.76680.76680.76378.2378.2378.2378.2199.8199.8199.8199.8199.8180180180120120125.969
Ingehouden winsten -1,629.384-194.2691,140.5471,146.57998.175925.188804.593899.988755.802647.41552.048457.584428.902473.161438.809338.823316.546185.505100.993108.947135.36351.68241.44553.57452.61347.3916.6810
Overige gereserveerde algehele resultaten 23.525407.731400.044386.882365.388341.921318.423291.613266.7752.104000000000000000000
Overige totale aandeelhoudersvermogen 2,589.022,191.5432,191.5432,204.442,242.5912,320.5342,342.6222,397.7391,838.8752,081.5491,486.691,467.8361,462.8121,756.8141,751.2241,738.2671,719.527639.254624.18613.681602.942582.018401.489387.585371.59540.91140.9110
Totaal eigen vermogen van aandeelhouders 2,953.5814,375.8065,702.9355,708.6935,576.9555,558.4445,436.4394,468.113,660.4663,530.0772,719.4982,606.182,572.4742,608.1752,568.2332,455.292,414.2731,024.559924.972922.427938.105833.5622.934621.159604.208208.301177.592125.969
Totaal eigen vermogen 2,977.7024,388.1655,722.3785,726.145,581.2235,563.2575,443.8694,480.4653,671.1973,541.222,752.3582,636.8432,581.7452,656.1952,608.4552,485.4982,469.8961,086.708949.71946.698938.744834.092624.869621.159604.208208.301177.592125.969
Totaal passiva en aandeelhoudersvermogen 12,860.72113,328.0114,577.98514,918.52212,524.53812,329.14910,786.1258,668.5397,112.4526,429.2235,535.0435,497.5114,444.8394,544.5394,300.7113,759.7253,727.2462,135.4951,973.141,926.1911,667.291,460.4011,309.994838.917843.903541.682484.262330.94