Hunan Gold Corporation Limited

SZSE:002155.SZ

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 817.068635.719460.549416.258369.841407.28427.282298.05268.32166.581113.867317.092353.457653.754315.806581.231983.6136.21795.73532.684
Kortetermijnbeleggingen 21.4950.1224.4777.11635.41115.47527.36352.85426.72513.1589.46933.3488.1461.98510.8780000.1010.401
Liquide middelen en kortetermijnbeleggingen 838.563635.841465.026423.374405.252422.756454.645350.904295.045179.739123.336350.44361.603655.739326.684581.231983.6136.21795.83633.085
Nettovorderingen 365.088458.071425.343293.787367.6559.193653.929489.328465.496756.712648.904646.158662.697434.884371.532287.427332.721156.348170.021102.22
Voorraad 341.358307.559470.744429.495466.926584.932629.767609.242442.714471.743569.678859.03562.497306.113301.212342.09298.608228.272172.80873.752
Overige vlottende activa 161.38866.4183.67493.365104.509126.593322.983520.537289.519309.278383.295136.16161.698-73.113-103.487-80.155-52.563-39.201-55.395-20.282
Totaal vlottende activa 1,706.3971,467.8811,444.7871,240.021,344.2881,693.4742,061.3241,970.011,492.7741,717.4721,725.2131,991.7891,648.4961,323.622895.9411,130.5931,562.366481.636383.27188.775
Niet-vlottende activa:
Materiële vaste activa, netto 3,802.1363,810.343,889.0163,723.873,501.9253,203.462,863.0132,786.6972,654.9392,066.7831,811.2051,612.3141,390.791,189.0291,153.62965.757640.375450.186305.852224.844
Goodwill 27.43727.43727.43727.43729.28354.04461.41961.41961.41944.90844.90844.90844.90844.90848.22548.22512.84812.8484.6155.085
Immateriële activa 753.563673.815620.456589.061573.986605.865626.915507.802552.407419.467375.386388.741326.829331.398408.428285.011144.51496.72345.15936.794
Goodwill en immateriële activa 781701.253647.894616.498603.27659.908688.333569.221613.826464.375420.294433.648371.737376.305456.654333.237157.362109.57149.77441.878
Langetermijnbeleggingen 22.9317.3713.0810.49-17.7562.813-1.888-26.9120.36616.41823.021-31.459-6.25720.746-5.0690008.3547.613
Belastingvorderingen 71.02685.32799.9269.69466.51270.297103.904119.019113.80185.36769.4464.53974.0349.85641.343.01422.7138.5973.562.076
Overige niet-vlottende activa 1,201.8741,234.2861,262.2111,281.3631,301.4041,257.4691,171.6291,071.392873.852552.471402.68296.507195.059179.611200.031123.62564.0519.5276.0912.655
Totaal niet-vlottende activa 5,878.9665,848.5765,912.1215,701.9145,455.3545,193.9484,824.9914,519.4174,256.7853,185.4132,726.6392,375.552,025.3571,815.5471,846.5361,465.633884.501587.881373.63279.066
Totaal activa 7,585.3637,316.4577,356.9086,941.9346,799.6426,887.4226,886.3156,489.4275,749.5594,902.8864,451.8524,367.3393,673.8533,139.1692,742.4772,596.2272,446.8661,069.517756.901467.841
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 242.757148.09226.18220.915159.188160.472152.637270.25151.346154.502108.674103.01182.27455.61186.18121.79654.74936.03860.95537.444
Kortlopende schulden 83.989318.513242.76231255754.759382.70578.694675.228489.796356.202642.268483.61960625.401445354.45146.666.675.25
Belastingschulden 8.80748.70644.37354.4437.93632.60841.82145.38517.17619.57522.984-139.351-26.28413.598-43.4329.14196.1102.01440.57520.477
Uitgestelde opbrengsten 195.205155.5551,105.7931,175.6481,141.32401,055.399816.677574.914416.477298.20478.378213.513158.27956.817108.762177.435187.87587.46664.341
Overige kortlopende verplichtingen 318.87401.821-268.046-274.222-174.292682.607-126.242-260.056-133.307-143.558-121.40565.019183.733653.488-26.924-111.996-145.928-124.252-97.507-40.76
Totaal kortlopende verplichtingen 1,092.3861,220.7751,577.2411,428.6951,578.3441,790.9191,658.9581,221.1991,436.7041,091.294773.332852.3361,019.128996.587784.222694.499591.556384.313219.045194.195
Langlopende verplichtingen:
Langetermijnschulden 00079049.172499.246797.817796.921497.682497.268496.861885037.127304594.48118.559.5
Uitgestelde opbrengsten niet-vlottend 0.54434.46337.2841.82744.10844.41354.69566.49149.73450.43237.12737.127000-300000
Uitgestelde belastingverplichtingen niet-vlottend 9.2910.031033.83400-462.12-760.6910.1910.0210.0880.7340000.9280000
Overige niet-vlottende verplichtingen 158.967157.634193.299154.078143.41577.903499.246797.81737.12746.6381722.44964.26646.99710.183307.8889.63.5961.524
Totaal niet-vlottende verplichtingen 168.802192.128230.58308.739187.523171.487591.068901.436883.973594.773551.482557.17152.26696.99747.3130.92852.888104.08122.09661.024
Totaal passiva 1,261.1881,412.9031,807.821,737.4341,765.8681,962.4062,250.0262,122.6342,320.6771,686.0671,324.8151,409.5071,171.3941,093.583831.532725.428644.444488.393341.14255.219
Eigen vermogen:
Preferente aandelen 00000000000000000000
Gewone aandelen 1,202.0391,202.0391,202.0391,202.0391,202.0391,202.0391,202.0391,202.0391,131.864996.268996.268766.36547.4547.4547.4547.4391293144.48790.937
Ingehouden winsten 3,408.2253,048.0522,689.162,325.8482,158.9422,048.5921,787.4871,548.0041,410.1791,310.5191,248.8421,157.965766.526347.188191.085165.425163.25881.62588.50452.528
Overige gereserveerde algehele resultaten 432.46418.617418.189418.205414.347411.583401.225399.03399.53615.7117000000000
Overige totale aandeelhoudersvermogen 1,168.3441,168.3441,168.3441,170.0991,170.0991,170.0991,170.0991,170.099447.204848.072816.233994.1541,144.0651,104.7771,097.1441,081.1891,222.664174.376134.08938.727
Totaal eigen vermogen van aandeelhouders 6,211.0695,837.0535,477.7335,116.1924,945.4284,832.3144,560.8514,319.1723,388.7843,170.573,068.3432,918.482,457.9911,999.3641,835.6291,794.0141,776.922549367.08182.192
Totaal eigen vermogen 6,291.1035,903.5545,549.0885,204.4995,033.7744,925.0164,636.2894,366.7923,428.8823,216.8183,127.0372,957.8322,502.4592,045.5861,910.9451,870.7991,802.422581.124415.76212.621
Totaal passiva en aandeelhoudersvermogen 7,585.3637,316.4577,356.9086,941.9346,799.6426,887.4226,886.3156,489.4275,749.5594,902.8864,451.8524,367.3393,673.8533,139.1692,742.4772,596.2272,446.8661,069.517756.901467.841