Shaanxi Provincial Natural Gas Co.,Ltd

SZSE:002267.SZ

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 819.4371,045.6331,150.5521,173.48833.922903.339872.128883.4971,048.3811,309.397906.338931.267413.509522.913443.28789.27965.928144.451102.366
Kortetermijnbeleggingen 0-60.989-15.039-14.634-15.369652.763-14.743-15.076200000000000
Liquide middelen en kortetermijnbeleggingen 819.4371,045.6331,150.5521,173.48833.922903.339872.128883.4971,048.3811,309.397906.338931.267413.509522.913443.28789.27965.928144.451102.366
Nettovorderingen 158.784586.05562.632733.337622.419776.443769.51578.487759.224499.139379.925559.927502.002218.81149.884208.491118.195130.692158.086
Voorraad 283.769187.86216.856201.382202.056142.368112.913111.943108.30553.85550.56552.38735.33626.73434.82627.91120.04616.87411.916
Overige vlottende activa 8.27170.34488.171140.808109.16154.06966.984100.96433.935-6.308-11.242-7.739-12.539-11.462-6.813-4.644-3.663-21.515-22.51
Totaal vlottende activa 1,579.8031,889.8862,018.2112,249.0061,767.5581,876.2191,821.5351,674.891,949.8451,856.0831,325.5851,535.843938.308756.995621.1781,021.037200.508270.501249.858
Niet-vlottende activa:
Materiële vaste activa, netto 9,698.3099,586.1219,541.8969,300.1118,780.0118,511.9718,158.2417,922.6657,413.5437,191.8376,838.5115,711.7134,775.6613,032.2542,255.6381,753.171,619.6691,607.9491,649.893
Goodwill 124.448144.92151.718166.8791.16400000000000000
Immateriële activa 661.713644.299634.199577.024505.277440.981397.653374.135360.086343.811189.654141.45120.94178.04670.49842.55429.17328.96127.464
Goodwill en immateriële activa 786.16789.219785.917743.894596.441440.981397.653374.135360.086343.811189.654141.45120.94178.04670.49842.55429.17328.96127.464
Langetermijnbeleggingen 556.491540.575467.184732.708695.3270349.967352.775366.523335.933278.76195.62400000-00
Belastingvorderingen 43.38240.44541.98742.84337.83342.7446.79718.81910.54212.85715.71515.66611.17911.3059.2313.2613.3632.82.348
Overige niet-vlottende activa 152.286151.737138.115250.55154.603823.0981.374009.7828.6018.926143.137117.66499.91889.759007.54
Totaal niet-vlottende activa 11,236.62911,108.09610,975.09911,070.10510,264.2159,818.798,954.0318,668.3958,150.6947,894.2197,331.2416,073.385,050.9183,239.272,435.2851,888.7441,652.2051,639.7091,687.244
Totaal activa 12,816.43212,997.98312,993.3113,319.11112,031.77311,695.00910,775.56610,343.28510,100.5399,750.3028,656.8277,609.2225,989.2263,996.2653,056.4632,909.781,852.7121,910.211,937.102
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,106.2321,755.9061,776.5242,080.7611,707.6091,206.0421,419.1371,042.7991,126.512492.406337.958577.866306.033421.49694.55389.68634.94856.86374.114
Kortlopende schulden 1,673.7831,399.5491,297.0751,936.7781,953.9232,906.6221,718.6861,609.9951,074.6811,622.6041,179.9321,430.4881,336.003568.521462.761392.782682.349666.033526.901
Belastingschulden 42.70741.29122.64428.66613.76913.83745.20537.06446.04756.54-23.542-64.13-123.09123.38628.84630.18627.25326.83835.46
Uitgestelde opbrengsten 1,609.442761.1451,161.3531,128.461371.8390317.56366.821304.696338.06214.75116.55922.405119.23999.946143.657101.298225.445106.718
Overige kortlopende verplichtingen 468.8981,333.39637.5343.052711.664743.282296.717244.284187.884416.462576.16726.38324.42911.8118.4269.4338.16713.9386.494
Totaal kortlopende verplichtingen 4,858.3555,249.9964,272.4815,189.0514,745.0354,855.9473,752.1013,263.8992,693.7732,869.5312,308.8062,151.2961,688.871,121.067665.685635.557826.761962.28714.227
Langlopende verplichtingen:
Langetermijnschulden 1,040.137914.9011,888.7011,194.984247.652471.8471,186.531,396.4961,930.6562,149.0423,051.2722,390.6041,454.421338.303113.803216.692290.441466.272780.106
Uitgestelde opbrengsten niet-vlottend 55.25158.74360.40494.55697.99998.72106.204113.15486.78541.6966.25.279-024.44-216.692-290.441-466.272-780.106
Uitgestelde belastingverplichtingen niet-vlottend 2.6412.582.6751.417521.1523,542.098-1,176.0910.8811.7622.6432.6432.6432.6432.6432.6434.5422.6432.6431.968
Overige niet-vlottende verplichtingen 5.54182.564131.957436.533247.652-3,051.8291,186.53116.928281.6185.65967.41354.79754.5652.34449.588216.692290.441466.272780.106
Totaal niet-vlottende verplichtingen 1,103.5691,158.7882,083.7361,727.4891,114.4551,060.8351,303.1731,627.4592,300.8132,279.043,127.5282,453.3231,511.625395.29170.474221.234293.084468.916782.074
Totaal passiva 5,961.9246,408.7836,356.2186,916.545,859.4915,916.7835,055.2744,891.3584,994.5855,148.5715,436.3344,604.6193,200.4951,516.356836.159856.7911,119.8451,431.1961,496.301
Eigen vermogen:
Preferente aandelen 564.198000000000000000000
Gewone aandelen 1,112.0751,112.0751,112.0751,112.0751,112.0751,112.0751,112.0751,112.0751,112.0751,112.0751,016.8371,016.837508.419508.419508.419508.419408.419408.419408.419
Ingehouden winsten 3,289.2963,086.4313,137.3192,938.4772,797.9872,505.1992,483.6122,300.812,083.2731,722.6161,412.8091,313.151,133.378867.241656.368538.476273.79245.32527.525
Overige gereserveerde algehele resultaten 336.887868.922868.284851.279803.617702.03678.053600.123423.96566.49542.95700000000
Overige totale aandeelhoudersvermogen 1,258.1251,246.1481,246.1481,246.1481,276.41,289.91,287.51,288.0491,341.631,605.198670.917664.0351,133.5261,089.6341,040.5171,006.09550.65625.2714.857
Totaal eigen vermogen van aandeelhouders 6,560.586,313.5776,363.8276,147.985,990.0795,609.2045,561.245,301.0584,960.9434,506.3843,143.522,994.0232,775.3222,465.2942,205.3042,052.99732.867479.015440.801
Totaal eigen vermogen 6,854.5086,589.1996,637.0936,402.576,172.2825,778.2265,720.2925,451.9275,105.9544,601.7313,220.4923,004.6032,788.732,479.9092,220.3042,052.99732.867479.015440.801
Totaal passiva en aandeelhoudersvermogen 12,816.43212,997.98312,993.3113,319.11112,031.77311,695.00910,775.56610,343.28510,100.5399,750.3028,656.8277,609.2225,989.2263,996.2653,056.4632,909.781,852.7121,910.211,937.102