Xinxiang Chemical Fiber Co., Ltd.

SZSE:000949.SZ

3.2 (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 1,297.6661,302.6211,642.489911.861554.369589.159453.404779.941606.806420.147294.349406.013474.331579.853594.316416.007276.908336.433381.599304.673192.545193.642168.769239.817352.29678.1529.184.904
Kortetermijnbeleggingen 50.02720.027550-0.416-11.547143.33332-34.187-40.103-25.68000000000000059.497109.946000
Liquide middelen en kortetermijnbeleggingen 1,347.6931,322.6482,192.489911.861554.369589.159453.404779.941606.806420.147294.349406.013474.331579.853594.316416.007276.908336.433381.599304.673192.545193.642168.769299.314462.24278.1529.184.904
Nettovorderingen 1,415.6281,097.713960.3321,092.544845.852807.487650.411508.892431.708307.312545.609547.28687.362688.264383.844196.38402.007206.1882.11266.334169.424139.499114.97125.93258.92420.336139.481318.636
Voorraad 1,171.1581,158.5321,390.6431,208.1351,188.2281,176.666877.231653.135867.468842.973903.773843.843946.711679.422458.617354.442559.058299.505420.523395.675210.015154.62173.642188.55957.87787.90740.92738.305
Overige vlottende activa 66.3393.37970.99727.13615.82839.06585.493210.3835.66416.05319.416-5.621-2.986-3.357-2.378-1.217-1.348-2.721-1.496-1.9470.342-9.911-0.52863.5628.5882.2414.464-102.865
Totaal vlottende activa 4,000.8083,672.2724,614.463,239.6762,604.2772,612.3772,066.5392,152.3481,941.6471,586.4841,763.1471,791.5152,105.4191,944.1821,434.4965.6121,236.625839.397882.736964.735572.326477.85456.854577.366607.63188.634204.051258.98
Niet-vlottende activa:
Materiële vaste activa, netto 7,354.3346,757.1096,170.7455,123.1515,208.3254,971.454,115.8353,236.2452,798.4062,580.0832,387.9862,469.4062,550.2162,423.932,285.0192,306.5692,341.8372,299.2672,397.7372,210.5661,573.4781,106.59813.849637.895437.299302.71293.93619.075
Goodwill 0000000000000000000000000000
Immateriële activa 276.001283.376137.84139.74272.87874.9976.87468.59770.48265.59967.06768.73343.37744.4446.36548.80450.211.64714.04419.880.2680.402000000
Goodwill en immateriële activa 276.001283.376137.84139.74272.87874.9976.87468.59770.48265.59967.06768.73343.37744.4446.36548.80450.211.64714.04419.880.2680.402000000
Langetermijnbeleggingen 159.374141.572-370.914150.668162.3520167.51183.802134.43753.57629.29730.6420000000000000000
Belastingvorderingen 165.719285.508126.926119.37661.41342.49417.74329.23825.28719.25623.16228.945.8511.09232.57695.8281.62900000000000
Overige niet-vlottende activa 37.00545.696566.82810.13421.159176.63534.85526.9377.864163.53136.831.851.8650.150.111.111.111.16.60010.36210.9291.0870.3761.2280.1032.106
Totaal niet-vlottende activa 7,992.4337,513.2616,631.4255,543.0725,526.1275,265.574,412.8183,544.8193,036.4772,882.0462,544.3112,629.522,651.3032,519.5622,414.062,462.3012,404.7662,322.0142,418.3812,230.4461,573.7461,117.354824.778638.983437.674303.939294.03921.181
Totaal activa 11,993.24111,185.53411,245.8858,782.7488,130.4047,877.9476,479.3575,697.1684,978.1234,468.5294,307.4584,421.0354,756.7224,463.7443,848.463,427.9133,641.3913,161.4113,301.1173,195.1812,146.0731,595.2041,281.6311,216.3481,045.304492.573498.09280.161
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,208.2911,045.584876.426495.374716.861,091.6540.054382.049338.517209.483328.289862.763653.037890.6731,006.126966.503540.423528.209785.96496.471215.213133.43134.858104.31317.84716.36314.77425.089
Kortlopende schulden 2,454.0151,834.0921,492.0731,942.6771,344.7451,286.603698.404990.205749.9361,519.0581,343.4511,359.5071,133.541,1951,0929281,243.0051,087.616992.316989.089420143310.512.336686830
Belastingschulden 14.92318.058100.35621.5278.5989.1476.2775.3794.6134.9844.73210.879-5.394-11.727-46.144.92-2.92933.37615.186.6843.9463.9865.797-3.4729.38612.0138.0883.838
Uitgestelde opbrengsten 90.992110.321261.1175.27751.143064.67736.99234.66433.02548.78561.96732.66341.171-1.4526.53826.3353.70364.66151.96845.20863.36163.42760.384.62170.612116.76100.663
Overige kortlopende verplichtingen 67.74959.55169.21470.14766.455102.00145.04896.66541.44228.06970.191105.903583.60564.87440.26733.87562.74546.232.17929.50755.41336.1419.7968.10915.67310.16212.7080.606
Totaal kortlopende verplichtingen 3,821.0473,049.5482,698.8242,583.4752,179.2032,480.2041,348.1821,505.911,164.5591,789.6361,790.7162,390.142,402.8452,191.7192,136.9431,954.9151,872.5031,715.7291,875.1161,567.034735.834375.933139.081173.222130.477165.137212.242156.358
Langlopende verplichtingen:
Langetermijnschulden 2,526.6782,405.7922,101.2962,120.5922,025.1231,582.21,417.25409977.8211.2967122736422011015015090148.753171621621408328.64660.97900
Uitgestelde opbrengsten niet-vlottend 100.16755.18366.35172.45866.76565.28654.14857.99257.94154.412000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 62.817124.876140.991157.31773.42436.886-232.9410.7311.462-0000000000000000000
Overige niet-vlottende verplichtingen -64.72339.89734.8208.97646.732326.946150.663260.0334.249113.453101.924148.145178.202178.9040000005.101000.086000
Totaal niet-vlottende verplichtingen 2,624.9392,625.7482,343.4582,350.3662,174.2891,731.1041,565.404618.3861,297.236269.951784.453328.924512.145398.202288.90415015090148.75317162167.1011408328.73260.97900
Totaal passiva 6,445.9875,675.2965,042.2824,933.8414,353.4924,211.3082,913.5852,124.2972,461.7942,059.5872,575.1692,719.0642,914.992,589.9212,425.8472,104.9152,022.5031,805.7292,023.8661,884.034897.834543.033279.081256.222159.209226.116212.242156.358
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000
Gewone aandelen 1,466.7281,466.7281,466.7281,257.6561,257.6561,257.6561,257.6561,257.6561,027.2411,027.241829.222829.222829.222637.863588.686588.686490.571490.571490.571490.571490.571490.571490.571245.286245.286170.286170.28695.765
Ingehouden winsten 1,265.9091,308.0621,872.254655.3594.103490.314400.404414.955344.385247.798157.232126.913266.675426.338279.889180.274579.91343.024274.842316.956270.842108.40171.17797.99238.745031.5750
Overige gereserveerde algehele resultaten 475.982475.982475.982309.355299.544287.479276.97269.875256.2460000000000000000000
Overige totale aandeelhoudersvermogen 2,238.4692,259.4662,387.7641,625.611,625.611,624.9171,624.9081,624.908882.8191,128.161745.836745.836745.836809.622554.037554.037548.407522.087511.838503.62486.825453.199440.801616.848602.06596.17183.98728.038
Totaal eigen vermogen van aandeelhouders 5,447.0875,510.2386,202.7283,847.9213,776.9123,660.3663,559.9383,567.3942,510.6922,403.21,732.291,701.9711,841.7331,873.8231,422.6121,322.9971,618.8881,355.6821,277.2511,311.1471,248.2391,052.1711,002.55960.126886.096266.457285.848123.803
Totaal eigen vermogen 5,447.0875,510.2386,203.6033,848.9073,776.9123,666.6393,565.7723,572.8712,516.3292,408.9431,732.291,701.9711,841.7331,873.8231,422.6121,322.9971,618.8881,355.6821,277.2511,311.1471,248.2391,052.1711,002.55960.126886.096266.457285.848123.803
Totaal passiva en aandeelhoudersvermogen 11,993.24111,185.53411,245.8858,782.7488,130.4047,877.9476,479.3575,697.1684,978.1234,468.5294,307.4584,421.0354,756.7224,463.7443,848.463,427.9133,641.3913,161.4113,301.1173,195.1812,146.0731,595.2041,281.6311,216.3481,045.304492.573498.09280.161