Nanning Sugar Industry Co.,Ltd.

SZSE:000911.SZ

8.69 (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 1,427.1071,025.21,660.642896.534680.455715.1641,440.9691,422.2631,190.1351,199.2241,419.0651,879.907974.64361.919432.408358.119468.61329.446336.107206.996117.398196.964167.199428.234150.06828.9786.23537.381
Kortetermijnbeleggingen -56.4840-488.693-518.848-406.149-438.4-254.1220.194-7.994-3.836-13.678-9.414-8.786-7.9440000000000.1550000
Liquide middelen en kortetermijnbeleggingen 1,427.1071,025.21,660.642896.534680.455715.1641,440.9691,422.4571,190.1351,199.2241,419.0651,879.907974.64361.919432.408358.119468.61329.446336.107206.996117.398196.964167.199428.389150.06828.9786.23537.381
Nettovorderingen 909.7441,340.5391,209.281,127.8141,000.4231,107.0561,292.2511,484.2561,315.4181,017.7041,581.959676.441843.857946.023455.907451.381647.785462.889328.788391.491288.153.403206.97586.00828.812163.546129.5497.581
Voorraad 324.597578.801381.076690.85688.427721.6041,312.659477.473306.804497.81258.263666.439267.222285.803346.675557.132187.651183.942175.029142.37679.9361.06569.47265.61465.41185.277113.499129.659
Overige vlottende activa 67.77894.15760.78691.03899.876112.91177.744301.015220.047158.236911.99347.199-27.8690.093.6771.418-28.545-22.15-40.286-33.352-22.302152.659-39.077101.395247.555-30.327-0.58-0.102
Totaal vlottende activa 2,729.2263,038.6973,311.7842,806.2362,469.1822,656.7344,223.6233,685.23,032.4052,872.9744,171.2793,269.9872,057.8511,593.8351,238.6671,368.051,275.5954.127799.638707.511463.127464.091404.569681.406491.846247.475248.694264.518
Niet-vlottende activa:
Materiële vaste activa, netto 1,408.7121,421.8382,824.11,783.5411,734.9731,626.6641,657.1031,662.0081,725.941,415.1441,409.7452,284.3142,485.3732,554.7042,598.9982,664.4712,271.6122,173.3892,054.5851,741.971,130.597945.119768.552648.501499.994443.853424.357405.041
Goodwill 0000060.259208.837208.837208.8370000000000000000000
Immateriële activa 431.712446.314475.087472.347489.714566.505580.859566.908564.398103.942106.99211.857105.55897.70525.47221.82917.44513.8288.2416.0056.5847.022.88700000
Goodwill en immateriële activa 431.712446.314475.087472.347489.714626.764789.696775.745773.235103.942106.99211.857105.55897.70525.47221.82917.44513.8288.2416.0056.5847.022.88700000
Langetermijnbeleggingen 91.649216.21708.223743.174626.24500.011315.73355.48939.67817.51927.36127.78338.87842.950000000002.2590000
Belastingvorderingen 23.5639.4158.8778.1054.60726.196122.13381.35989.72980.43542.21453.89223.89623.758.4045.4014.52900000000000
Overige niet-vlottende activa 6.29374.2378.33811.37817.246379.847280.534453.58724.02117.05222.80319.562-0.02-0.17940.38755.20568.02977.10886.29480.61479.19555.56231.7645.9360.9934.3517.0734.288
Totaal niet-vlottende activa 1,961.9292,168.0144,024.6243,018.5442,872.783,159.4823,165.1993,028.1882,652.6031,634.0911,609.1132,597.4072,653.6842,718.932,673.2612,746.9062,361.6152,264.3252,149.121,828.5891,216.3751,007.701803.204656.696500.988448.205431.43409.329
Totaal activa 4,691.1555,206.7117,336.4085,824.785,341.9625,816.2167,388.8226,713.3885,685.0074,507.0655,780.3925,867.3944,711.5354,312.7663,911.9284,114.9563,637.1153,218.4522,948.7582,536.1011,679.5021,471.7911,207.7731,338.102992.834695.679680.124673.847
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 465.103475.287531.745915.376594.281758.085574.05705.052548.65639.948716.617385.834337.767437.386356.382590.049296.594266.043201.449156.99150.889115.65280.99392.101108.37286.48927.31226.819
Kortlopende schulden 3,510.3913,945.9644,026.7343,107.5653,220.3753,390.4313,315.2742,833.992,453.011,494.5142,091.3073,237.0242,5911,9001,4101,907.0721,531.951,261.4681,132.96811.09509.21433.32361598219291.3240.286184.612
Belastingschulden 53.03356.82834.58139.68950.68327.12629.511159.79355.33212.389173.92225.73648.66106.27831.5952.82783.60176.79557.49786.13135.45852.78423.73544.91420.96317.31817.20838.9
Uitgestelde opbrengsten 190.188140.215433.325698.783689.47627.126182.684333.636221.457196.411437.013204.541184.267286.166192.383138.806207.99182.317143.273164.55113.412112.12557.72683.343107.84479.394130.828144.754
Overige kortlopende verplichtingen 5.006138.04115.51670.165102.314261.28136.952102.5567.71362.23245.07130.07915.15714.69393.81834.0659.83439.85740.99821.99612.5027.47512.55219.21938.55.84.00335.102
Totaal kortlopende verplichtingen 4,170.6894,699.5065,007.324,791.8894,606.4474,436.9244,108.963,975.2283,290.832,393.1043,290.0083,857.4783,128.1912,638.2452,052.5832,669.9872,096.3681,749.6861,518.681,154.625786.014668.572512.271792.662473.716462.983402.43391.287
Langlopende verplichtingen:
Langetermijnschulden 229.099159.81,283.68432216.5968.5941,454.91839.843534.51723.271532.149531.1053.622403152046.6202.55283.46226.263.142.8200.8550.840.8445.07854.46
Uitgestelde opbrengsten niet-vlottend 75.68891.848292.978332.674346.101299.73300.983277.486130.82565.30490.05400000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 7.2762.9572.7822.710.9435.9286.0646.236.338-593.867307.36100000000000000000
Overige niet-vlottende verplichtingen 16.05161.702102.03611.7825.44171.731102.226067.614723.27182.855286.13626.94226.64720.31613.1643.6730.9692.4141.2463.9552.0715.284.5000.7590.759
Totaal niet-vlottende verplichtingen 328.114316.3081,681.475779.164588.9861,345.9841,864.1841,123.56739.287917.9781,012.42817.24130.56566.647335.31633.16450.273203.519285.874227.44667.05544.87125.285.3550.840.8445.83755.219
Totaal passiva 4,498.8035,015.8146,688.7955,571.0535,195.4335,782.9085,973.1435,098.7884,030.1163,311.0824,302.4274,674.7193,158.7562,704.8922,387.8992,703.1512,146.6411,953.2051,804.5541,382.071853.068713.443537.551798.018474.556463.823448.267446.506
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000
Gewone aandelen 400.32400.32400.32324.081324.081324.081324.081324.081324.081286.64286.64286.64286.64286.64286.64286.64286.64262.64262.64262.64240.8240.8240.8224224168231.856227.341
Ingehouden winsten -2,413.911-2,441.761-1,984.047-1,801.536-1,845.386-1,877.277-514.235-320.601-339-398.805-112.138-161.509177.467201.608126.55435.347121.898177.09850.10399.66955.77612.479.61748.18335.027000
Overige gereserveerde algehele resultaten 1,189.6281,160.5651,160.5651,160.6551,154.2411,153.1381,153.1381,153.7031,169.542-0-000000000000000000
Overige totale aandeelhoudersvermogen 920.951920.951920.951438.054438.054438.054438.054438.054438.0541,178.8531,171.756951.101951.101941.315919.438906.833905.99648.398627.254610.829446.057432.831419.804267.902259.25163.85600
Totaal eigen vermogen van aandeelhouders 96.98840.075497.789121.25470.99137.9971,401.0381,595.2371,592.6781,066.6881,346.2591,076.2321,415.2081,429.5631,332.6331,228.821,314.5281,088.137939.997973.138742.633686.101670.222540.084518.278231.856231.856227.341
Totaal eigen vermogen 192.352190.896647.613253.727146.52933.3081,415.6791,614.6011,654.8911,195.9821,477.9651,192.6761,552.7791,607.8741,524.0291,411.8051,490.4741,265.2471,144.2041,154.029826.434758.348670.222540.084518.278231.856231.856227.341
Totaal passiva en aandeelhoudersvermogen 4,691.1555,206.7117,336.4085,824.785,341.9625,816.2167,388.8226,713.3885,685.0074,507.0655,780.3925,867.3944,711.5354,312.7663,911.9284,114.9563,637.1153,218.4522,948.7582,536.1011,679.5021,471.7911,207.7731,338.102992.834695.679680.124673.847