Zhejiang Qianjiang Motorcycle Co., Ltd.

SZSE:000913.SZ

12.66 (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 4,605.2562,794.9791,514.5971,144.9821,226.299236.88513.693487.054120.861196.585213.27219.656236.773792.891385.768427.066185.526193.735366.091314.836346.373280.447430.312122.664195.0349.65676.17513.322
Kortetermijnbeleggingen -32.879410-4.21365.118121.7081.3727.679-6.432-10.1510.81617.62-3.56.2137.63441.1410.406000000000000
Liquide middelen en kortetermijnbeleggingen 4,605.2562,794.9791,514.5971,210.11,348.006238.252521.372487.054120.861197.401230.89219.656242.986800.525426.909437.472185.526193.735366.091314.836346.373280.447430.312122.664195.0349.65676.17513.322
Nettovorderingen 477.72590.176598.387822.476836.533872.06753.847715.873740.159910.5861,310.6671,147.5961,192.7541,152.133964.8851,014.7721,351.1921,105.3141,079.547864.824646.072656.5456.268239.185298.73426.613323.504410.412
Voorraad 1,209.5341,251.1561,116.977927.021865.8991,168.426724.756708.623894.418939.093981.429976.9311,026.605757.409585.411730.045717.875601.16363.459456.996225.772366.726375.619404.946378.384161.727111.044149.538
Overige vlottende activa 26.10580.938117.008141.324106.482334.688141.87968.59796.8987.75380.72890.9910.1950.0550.010.0440.335-13.072-62.247-18.343-3.996-9.329-3.507251.723268.101-96.622-9.87-2.771
Totaal vlottende activa 6,318.6144,717.2493,346.9693,100.9213,156.9212,613.4262,141.8561,980.1481,852.3292,134.8332,603.7132,435.1732,462.5412,710.1221,977.2152,182.3342,254.9271,887.1361,746.851,618.3141,214.2211,294.3441,258.6931,018.5171,140.244541.373500.853570.501
Niet-vlottende activa:
Materiële vaste activa, netto 1,328.9261,112.605940.887907.355894.326884.555863.865819.917828.594864.986889.572889.135693.463655.706686.421752.255768.249729.05726.758739.875416.576440.288422.655358.948254.37121.46931.20331.723
Goodwill 000000000000000002.0530000000000
Immateriële activa 350.11362.952129.027122.896121.818142.475147.978150.822173.082180.663196.204194.246166.099161.78672.12680.71165.4561.79546.50251.84923.10124.64225.2820.2129.4354.344.713.583
Goodwill en immateriële activa 350.11362.952129.027122.896121.818142.475147.978150.822173.082180.663196.204194.246166.099161.78672.12680.71165.4563.84946.50251.84923.10124.64225.2820.2129.4354.344.713.583
Langetermijnbeleggingen 267.938284.058493.324285.311259.912604.471677.585567.876517.31405.959334.402376.368446.482196.444-10.86-4.375000000000000
Belastingvorderingen 194.149161.591139.318121.842107.06743.96725.03837.38323.86919.0535.5634.97730.30523.16127.98425.5316.95100000000000
Overige niet-vlottende activa 5.36996.04864.77784.513172.73377.53462.03937.17333.08828.76950.1935.85945.00842.08847.21417.83316.25794.06766.75975.169222.085150.03173.967163.7994.7140.7280.7860.834
Totaal niet-vlottende activa 2,146.4922,017.2541,767.3341,521.9171,555.8561,753.0021,776.5051,613.1711,575.9421,499.4271,505.9281,530.5851,381.3581,079.185822.885871.954866.906886.966840.019866.892661.762614.96621.902542.959268.519126.53736.736.14
Totaal activa 8,465.1066,734.5035,114.3034,622.8374,712.7774,366.4283,918.3613,593.3193,428.273,634.264,109.6413,965.7583,843.8993,789.3072,800.13,054.2883,121.8342,774.1022,586.8692,485.2061,875.9831,909.3041,880.5951,561.4761,408.763667.91537.553606.64
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,348.7692,210.891,532.8331,270.7881,569.5251,272.744879.522583.56477.955490.636852.24790.086801.097768.727816.8331,263.4911,194.6791,031.791833.193747.038341.143378.426350.272315.416355.355151.034105.902142.665
Kortlopende schulden 18.19.4947.121483.92512.99230.52926.954212.561384.732384.928170.763248.166139.085424.605384.607479.682300.79141.5351.531.531.531.531.531.53000
Belastingschulden 56.48280.00191.57296.66948.82106.74155.618113.8641.93423.87828.293138.97-95.625-36.5116.047-22.875-17.543-30.89866.29675.09377.01941.19847.86196.3552.01917.36934.12826.503
Uitgestelde opbrengsten 506.125131.879407.36191.422242.654106.741201.156269.496196.006172.227162.532293.65850.988134.73154.636102.076122.111171.831251.543288.078209.53195.712218.605265.68188.766000
Overige kortlopende verplichtingen 15.972414.89928.712-45.01697.729235.52454.142112.187169.616156.999188.369146.74248.26945.64941.51947.39460.79239.93322.68833.28523.36717.41212.44425.66528.932128.99214.354208.464
Totaal kortlopende verplichtingen 2,888.9662,767.1621,976.0261,801.1191,910.9081,618.0011,165.349992.1971,056.1381,204.5931,588.0691,401.2481,148.521,088.1911,437.5941,797.5671,857.2641,544.3451,248.9541,119.931575.571593.081582.851608.29574.583280.024320.256351.129
Langlopende verplichtingen:
Langetermijnschulden 10.63116.75826.939-000.45713.62337.6621.91.91.91.94.4631.91.91.91.98.5351.91.91.91.91.91.91.9000
Uitgestelde opbrengsten niet-vlottend 111.01473.51179.36987.39993.924199.912174.566190.971201.845212.719222.01701,142.8311,189.4666.3320000000000000
Uitgestelde belastingverplichtingen niet-vlottend 43.89724.98417.59933.23328.82531.834.534-31.01227.2328.5674.21400.3640.0035.0120000000000000
Overige niet-vlottende verplichtingen 964.891337.78017.4735.43106.2537.662110.277110.27715.168230.56188.74341.4381.7596.2436.9820.2920000000000
Totaal niet-vlottende verplichtingen 1,130.434453.033123.907138.105128.18232.17228.973235.283341.254333.462243.299232.4611,236.4011,232.80715.0038.1438.8828.8271.91.91.91.91.91.91.9000
Totaal passiva 4,019.43,220.1952,099.9331,939.2242,039.0881,850.171,394.3221,227.481,397.3921,538.0551,831.3681,633.712,384.9212,320.9981,452.5971,805.711,866.1461,553.1721,250.8541,121.831577.471594.981584.751610.19576.483280.024320.256351.129
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000
Gewone aandelen 527.191468.931453.536453.536453.536453.536453.536453.536453.536453.536453.536453.536453.536453.536453.536453.536453.536453.536453.536453.536453.536453.536283.462602601950139.985
Ingehouden winsten 1,539.9121,241.377823.702610.325576.231419.694358.481321.0911.392131.638327.29359.101350.503368.096319.085223.348185.492100.07952.76178.765210.264165.887208.531174.36986.43000
Overige gereserveerde algehele resultaten 1,331.4471,233.141,238.5021,202.5231,189.3681,117.9931,172.8661,087.91,066.28930.3710.70600000000000000000
Overige totale aandeelhoudersvermogen 1,036.519552.002478.565479.121479.121491.354479.121479.121479.1211,458.1851,458.1851,479.038605.04603.466572.062568.487555.459620.582617.25608.533593.279584.242686.828406.558386.718116.92500
Totaal eigen vermogen van aandeelhouders 4,435.073,495.452,994.3052,745.5052,698.2562,482.5762,464.0042,341.6492,000.3382,073.732,239.7172,291.6741,409.0781,425.0971,344.6831,245.3711,194.4871,174.1981,123.5471,140.8351,257.081,203.6651,178.819840.927733.148311.925161.238139.985
Totaal eigen vermogen 4,445.7063,514.3083,014.3712,683.6142,673.6892,516.2572,524.0392,365.8392,030.8782,096.2052,278.2732,332.0491,458.9781,468.3091,347.5021,248.5781,255.6881,220.931,336.0151,363.3751,298.5121,314.3231,295.844951.286832.28387.886217.297255.511
Totaal passiva en aandeelhoudersvermogen 8,465.1066,734.5035,114.3034,622.8374,712.7774,366.4283,918.3613,593.3193,428.273,634.264,109.6413,965.7583,843.8993,789.3072,800.13,054.2883,121.8342,774.1022,586.8692,485.2061,875.9831,909.3041,880.5951,561.4761,408.763667.91537.553606.64