Henan Yuneng Holdings Co.,Ltd.

SZSE:001896.SZ

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,291.3193,061.2931,846.0721,178.377882.24839.032749.09201.56392.7152,233.42980.723237.269186.018129.484116.95489.56315.92790.50653.23248.949201.661245.674261.074147.497142.501102.739263.5310.08400
Kortetermijnbeleggingen 0-47.265-31.407-45.152-21.859-425.823-12.651-13.262-13.81-14.099-14.56500000005091.43849.95748.50601008.31942.5120000
Liquide middelen en kortetermijnbeleggingen 1,291.3193,061.2931,846.0721,178.377882.24839.032749.09201.56392.7152,233.42980.723237.269186.018129.484116.95489.56315.92790.506103.232140.387251.618294.18261.074247.497150.82145.251263.5310.08400
Nettovorderingen 2,818.9441,836.5841,832.1352,365.5821,734.8232,578.1943,024.7721,444.314628.447428.86515.816477.733695.4480000392.578170.010000.4320000000
Voorraad 793.9991,174.7831,376.996549.945504.609721.241654.057345.144197.451209.065143.692176.327264.505122.3910.055007.8750.9540.9713.9281.5471.040000000
Overige vlottende activa 1,433.323238.4311,335.839294.309305.478532.746624.9221,266.963601.818674.2460228.478720.085873.162141.449202.27310.1510.428173.411178.188132.148166.24785.618119.891117.12127.2159.43537.25329.399
Totaal vlottende activa 6,337.5857,756.1776,391.0424,388.2133,423.9984,671.2135,052.8412,883.9871,820.4313,116.74885.371,141.8281,866.0572,035.961243.339231.012218.2454.533274.625314.768433.733427.875428.794333.114270.712262.371390.74159.51837.25329.399
Niet-vlottende activa:
Materiële vaste activa, netto 21,702.7120,505.72520,042.96515,779.24614,335.11214,460.30614,223.52910,785.62110,732.028,230.5653,571.2953,715.5763,979.1774,221.009423.825468.546452.181,446.267526.147586.807637.383694.606733.793758.365781.017790.245828.323866.179606.707592.195
Goodwill 1.22500000000000000000000000000000
Immateriële activa 1,722.8591,287.032932.63583.901545.073522.01482.789349.199321.828179.813182.048185.712189.184192.0850.0920.1010.0150.07300.0320.2960.5180.7811.271000000
Goodwill en immateriële activa 1,724.0851,287.032932.63583.901545.073522.01482.789349.199321.828179.813182.048185.712189.184192.0850.0920.1010.0150.07300.0320.2960.5180.7811.271000000
Langetermijnbeleggingen 1,030.119479.532514.596665.072633.111958.352551.88134.14433.8134.09939.56525000000314.749112.014176.928186.5180205.278398.256377.1090000
Belastingvorderingen 656.025652.612360.245133.973252.276269.8398.78850.17953.40244.05512.7340.5580.530.539.91511.0725.754000048.5620100000000
Overige niet-vlottende activa 200.204125.871510.569816.484790.026429.161486.529328.84173.791536.152-4.92210.29930.856345.904373.924393.716559.978166.3975091.43849.9851.111280.0611.0139.78644.4262.402000
Totaal niet-vlottende activa 25,313.14223,050.77222,361.00517,978.67716,555.59816,639.6615,843.51611,547.98311,314.8519,024.6853,800.723,937.1474,199.7474,759.528807.756873.4351,017.9281,612.736890.896790.291864.591931.3151,014.6361,065.9261,189.061,211.78830.725866.179606.707592.195
Totaal activa 31,650.72830,806.94928,752.04622,366.89119,979.59621,310.87320,896.35716,186.07913,135.28212,141.4244,686.095,078.9746,065.8046,795.4891,051.0951,104.4471,236.1282,067.271,165.5211,105.061,298.3241,359.191,443.4291,399.0411,459.7721,474.1511,221.467925.697643.961621.594
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,407.5713,822.2613,726.8031,593.1122,633.5944,046.6622,821.6422,218.9281,500.4951,604.838542.627375.904651.304792.927691.1280100.0110.0110.0110.0250.120.4970.869000000
Kortlopende schulden 7,619.5633,380.8352,618.5892,929.4364,178.4452,925.9022,607.2391,529.261524.335660712.5617251,822.6522,028.827411355325575.5190150200220320302.5195950000
Belastingschulden 8.85148.13259.60874.29935.84132.6147.50639.52591.1283.62449.17813.39551.0824.154-3.239-5.6855.4976.52619.9211.3757.3268.6220.5916.41911.9494.46321.0877.9462.6750.122
Uitgestelde opbrengsten 0138.771977.63700.149518.57332.61698.865638.827682.471958.15182.21664.353125.722148.08592.766059.231228.60947.7461.3757.326128.339178.7-4.188000000
Overige kortlopende verplichtingen 3,614.1633,989.5872,366.3492,807.336416.125746.7191,113.7111,434.307-87.7931,280.4571,045.718722.55780.544127.454-471.833210.91185.984266.093127.82577.47154.582119.785178.552101.893170.23383.21348.35452.81378.87132.975
Totaal kortlopende verplichtingen 12,650.14811,379.5869,748.9796,419.6687,264.0057,784.5036,741.1613,935.8142,710.6283,628.921,204.6921,836.8562,605.582,973.362623.766560.227426.481848.13337.757228.857261.933348.527499.64411.68377.182182.67669.44160.75981.54633.097
Langlopende verplichtingen:
Langetermijnschulden 13,599.86712,665.80310,269.3896,722.466,318.2646,926.9176,673.5366,173.2195,987.1184,781.462,511.4332,387.9012,656.2333,003.2753,219.8871400465.6050100100400188.5280.563265.163346.152379.278472.347
Uitgestelde opbrengsten niet-vlottend 16.98469.11866.18538.67334.92951.82331.82710.8688.1273.79700000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 28.49122.96525.818.531-5,707.852-6,846.013-6,560.9181.6611.217-4,769.58700000000000000000000
Overige niet-vlottende verplichtingen 1,783.7692,723.9063,139.475,293.951-151.314132.727112.618228.0686.81211.87325.3792.6112.9443.27812.91588-465.525000000000000
Totaal niet-vlottende verplichtingen 15,429.11115,389.67713,434.669,078.0496,201.8797,059.6446,817.985,571.4986,003.2734,797.132,285.3712,390.5122,659.1783,006.553209.3031488470.1050100100400188.5280.563265.163346.152379.278472.347
Totaal passiva 28,079.25926,769.26323,183.63915,497.71713,465.88514,844.14713,559.1429,507.3118,713.9028,426.053,490.0634,227.3685,264.7575,979.914833.069708.227434.4811,318.23337.757278.857361.933448.527539.64411.68565.682463.239334.603406.911460.824505.444
Eigen vermogen:
Preferente aandelen 0538.934533.457000000000000000000000000000
Gewone aandelen 1,525.7811,525.7811,355.5881,150.5881,150.5881,150.5881,150.588855.276855.276855.276623.347623.347623.347623.347430430430430430430430430430430430430430350183.137116.15
Ingehouden winsten -5,048.626-4,495.068-2,382.611-251.333-537.045-632.86331.59811.817-336.067-750.82-1,119.532-1,410.807-1,453.928-1,470.281-725.277-547.083-141.656-164.124-86.514-87.41722.0475.8263.87197.52431.53172.28891.3836.3200
Overige gereserveerde algehele resultaten -533.081-538.934-533.457368.353420.1475,183.361342.187315.855305.455000000000000000000000
Overige totale aandeelhoudersvermogen 7,267.6257,267.6256,641.0334,927.3854,829.208-6.6514,829.2084,767.8373,363.2753,218.5431,701.5041,409.3541,103.8991,103.8991,891.463513.303513.303490.901481.083480.483479.357437.049459.487457.817432.56408.624365.48162.46600
Totaal eigen vermogen van aandeelhouders 3,211.73,759.4055,052.5286,099.0245,804.9495,693.186,353.5815,627.5095,151.9843,322.999913.169621.894578.773601.825218.026396.22801.647746.084824.569823.066931.404903.287892.49977.071894.0891,010.912886.863518.786183.137116.15
Totaal eigen vermogen 3,571.4684,037.6865,568.4086,869.1746,513.7126,466.7267,337.2156,678.7686,247.7613,715.3751,196.027851.606801.047815.575422.843396.22801.647749.04827.764826.203936.391910.663903.789987.36894.0891,010.912886.863518.786183.137116.15
Totaal passiva en aandeelhoudersvermogen 31,650.72830,806.94928,752.04622,366.89119,979.59621,310.87320,896.35716,186.07914,961.66312,141.4244,686.095,078.9746,065.8046,795.4891,051.0951,104.4471,236.1282,067.271,165.5211,105.061,298.3241,359.191,443.4291,399.0411,459.7721,474.1511,221.467925.697643.961621.594