SPIC Industry-Finance Holdings Co., Ltd.

SZSE:000958.SZ

4.15 (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 1,976.9763,142.3082,320.58813,205.68512,846.304516.157353.046270.335563.9940.313799.888.04623.61930.992133.68965.62892.99562.741236.605340.267174.137283.656127.39587.36154.64419.54926.2316.449
Kortetermijnbeleggingen 16,896.18916,531.37614,912.80313,581.1959,332.8742,255.234-1.997000000002.676.56300000000000
Liquide middelen en kortetermijnbeleggingen 18,873.16419,673.68317,233.39126,786.8822,179.178516.157353.046270.335563.9940.313799.888.04623.61930.992133.68965.62892.99562.741236.605340.267174.137283.656127.39587.36154.64419.54926.2316.449
Nettovorderingen 3,922.7923,201.5393,267.4633,472.1013,139.138823.322517.858520.891439.081149.345121.413210.084164.612219.254311.147276.723389.458451.462905.345264.716222.154171.823147.98628.50917.79120.9272.9738.438
Voorraad 144.033128.628305.366198.881478.17773.481103.117140.30974.61152.12180.719117.221173.749143.03579.76104.6234.09675.466431.477291.156138.72823.22422.0592.11770.70250.73652.25646.599
Overige vlottende activa 1,910.8712,433.9814,541.44925,597.92621,489.057423.385210.7266.70469.968-6.987-29.984-3.482-4.21-6.975-3.8480.0160.026-110.582-353.894-15.859-39.353-1.764-3.46790.088118.62462.13243.39946.792
Totaal vlottende activa 24,850.8625,437.83125,347.6756,055.78847,285.551,836.3451,184.74998.2391,147.65234.792972.028331.87357.77386.306520.748446.987516.575479.0861,219.533880.279495.665476.94293.964298.074361.761153.344124.859118.277
Niet-vlottende activa:
Materiële vaste activa, netto 12,951.52513,490.71514,316.49413,335.76411,585.8538,318.2845,756.9773,946.1833,805.9881,199.893675.745705.056769.463821.217861.3542,105.5252,244.4652,567.9082,088.1861,915.8141,822.9571,592.1031,163.285968.822747.908392.422344.168306.454
Goodwill 546.157546.157546.157546.157546.157546.1570000000000000000000000
Immateriële activa 263.267243.655222.378200.995202.031178.972263.034270.273274.126176.021180.646235.973242.287248.618254.872294.572267.5222.3391.6841.7981.2090000000
Goodwill en immateriële activa 809.424789.812768.535747.152748.188178.972263.034270.273274.126176.021180.646235.973242.287248.618254.872294.572267.5222.3391.6841.7981.2090000000
Langetermijnbeleggingen -12,096.388-11,385.242-10,079.326-8,332.258-6,115.781-1,995.234160.99715.3662.2120434.338103.5960000000000000000
Belastingvorderingen 452.834408.193318.965342.489276.02197.20187.1176.07768.6810-434.338-103.5960007.1479.21500000000000
Overige niet-vlottende activa 18,858.76517,448.54416,627.37729,260.03725,770.2452,375.78817.634-4.5222.711579.174436.765106.13147.74888.99254.5276.10111.42751.21295.01319.67358.12113.558.4910.15710.9779.96910.54811.417
Totaal niet-vlottende activa 20,976.16120,752.02221,952.04635,353.18332,264.5278,975.016,285.7524,303.3784,153.7181,955.0881,293.1561,047.1591,059.4981,158.8271,170.7532,413.3462,532.6292,621.4592,184.8841,937.2851,882.2861,605.6531,171.775978.978758.885402.39354.715317.871
Totaal activa 45,827.02146,189.85347,299.71591,408.97179,550.07710,811.3557,470.4925,301.6165,301.3682,189.882,265.1841,379.0291,417.2681,545.1331,691.52,860.3333,049.2043,100.5453,404.4172,817.5642,377.9522,082.5931,465.741,277.0521,120.646555.734479.574436.148
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,530.0031,601.7861,747.4572,021.3541,664.2211,453.73840.349514.627503.021241.476123.096215.311138.09890.439106.763249.57774.12474.769136.20256.02736.67226.7733.78657.7139.03420.52919.93815.793
Kortlopende schulden 1,869.4122,354.9625,275.0971,624.7641,576.599726.5441,103.485279456.77380196936.924936.9981,117.152863.301607.4735652563395149150124425430.9724.2225.22
Belastingschulden 195.796166.348244.125315.878285.4330.7546.19351.3889.305-41.393.8774.907-7.901-7.9768.97611.02730.7824.71631.662-0.83240.25429.76930.76227.08527.22821.96123.98419.716
Uitgestelde opbrengsten 1,087.508525.7691,012.73741,021.79536,391.91930.75207.529185.778231.543162821.701637.211575.574229.546145.12172.26453.28452.51575.0923.02497.29276.02277.77687.659125.60278.99851.84657.659
Overige kortlopende verplichtingen 2,240.593,401.1564,137.3783,943.8392,596.137573.748376.349298.394249.20133.32179.6659.75377.84551.784104.145130.18977.279329.407343.648236.292147.46120.12332.59198.707134.15662.67452.20633.528
Totaal kortlopende verplichtingen 6,727.5137,883.67312,172.66948,611.75242,228.8762,784.7722,527.7121,277.81,440.535816.7961,320.4631,799.1981,728.5151,488.9211,219.3291,059.43939.6871,108.6911,117.941710.343430.424272.916268.152386.077352.792193.17148.21132.2
Langlopende verplichtingen:
Langetermijnschulden 8,632.7079,076.6218,376.3958,050.1253,969.673,702.3561,510.15782.457856.69284157.925191.497230.13620284384319501.892615.055515.695321.532122.209213.67613696.3576.862139.131117.541
Uitgestelde opbrengsten niet-vlottend 328.976393.704457.739510.867547.94581.368622.321541.116494.65277.17999.7060000000000373.434000000
Uitgestelde belastingverplichtingen niet-vlottend 313.136269.028133.54781.29111.3323.7564.1424.5284.914-102.673-99.70600000000001.246000000
Overige niet-vlottende verplichtingen 841.772554.261738.408786.8362,098.706133.61752.72109.662184.55628499.706154.989156.48451.294632.037585.163626.112349.505380.37311.526339.193122.209370.112204.56160.94287.4223.48120.241
Totaal niet-vlottende verplichtingen 10,116.59110,293.6149,706.0899,429.1196,627.6484,421.0962,189.3331,437.7621,540.811542.506257.63346.486386.616471.294916.037969.163945.112851.397995.425827.221660.724619.097583.788340.56257.292164.282162.612137.782
Totaal passiva 16,844.10418,177.28721,878.75858,040.87148,856.5247,205.8684,717.0452,715.5622,981.3461,359.3021,578.0932,145.6842,115.1311,960.2142,135.3672,028.5931,884.7991,960.0882,113.3661,537.5641,091.149892.013851.94726.637610.084357.452310.822269.982
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000
Gewone aandelen 5,383.4195,383.4195,383.4195,383.4195,383.4191,102.2731,102.273551.137551.137483.393483.393299.485299.485299.485299.485299.485299.485299.485343.725343.725343.725229.151801801801350166.167
Ingehouden winsten 6,937.3846,011.7035,460.7354,174.0423,015.88266.622172.987167.234-115.455-831.716-1,041.244-1,706.822-1,640.821-1,363.923-1,415.456-154.529168.408157.857145.873164.272168.968134.42398.80564.86137.099-0.49700
Overige gereserveerde algehele resultaten 678.896724.508699.131712.01639.382601.167110.474106.386103.9990000000000000000000
Overige totale aandeelhoudersvermogen 6,342.8416,342.8416,016.3246,343.3636,311.287667.3571,221.4171,770.8091,785.5511,200.5511,270.039654.89654.89654.89654.89654.89654.89659.667759.396754.452750.414827.007310.21282.972271.76763.77900
Totaal eigen vermogen van aandeelhouders 19,342.5418,462.47117,559.60816,612.83315,349.9682,637.422,607.1512,595.5662,325.232852.228712.188-752.447-686.446-409.548-461.081799.8461,122.7831,117.0081,248.9941,262.451,263.1071,190.58589.015527.833488.866198.282168.752166.167
Totaal eigen vermogen 28,982.91728,012.56625,420.95733,368.130,693.5533,605.4872,753.4472,586.0542,320.022830.578687.091-766.656-697.862-415.081-443.866831.741,164.4051,158.2381,291.0511,2801,286.8031,190.58613.8550.415510.562198.282168.752166.167
Totaal passiva en aandeelhoudersvermogen 45,827.02146,189.85347,299.71591,408.97179,550.07710,811.3557,470.4925,301.6165,301.3682,189.882,265.1841,379.0291,417.2681,545.1331,691.52,860.3333,049.2043,118.3263,404.4172,817.5642,377.9522,082.5931,465.741,277.0521,120.646555.734479.574436.148