Guangdong Haid Group Co., Limited

SZSE:002311.SZ

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

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,476.4532,260.5871,739.6552,056.4721,849.7361,735.411,392.0461,544.0381,167.081948.9281,338.093878.5521,063.3051,061.4721,608.24202.545198.2865.143
Kortetermijnbeleggingen 1,286.752699.9422.508336.71928.58349.6739.60125.1290.0062.52110.9511.1430.8011.2357.70502.6643.271
Liquide middelen en kortetermijnbeleggingen 6,763.2052,960.5291,742.1632,393.1911,878.3191,785.0821,401.6481,569.1681,167.087951.4481,349.044879.6941,064.1061,062.7071,615.945202.545200.94368.414
Nettovorderingen 2,211.2815,069.1914,634.1113,688.261,700.5012,033.7111,886.2321,371.723844.308826.5791,014.093942.804645.04751.038423.153268.243214.921168.693
Voorraad 9,935.86412,625.0828,922.9047,255.3514,463.3194,843.783,383.8482,057.361,634.551,960.2491,418.7671,290.82787.151560.467321.172206.283247.648128.679
Overige vlottende activa 435.697562.795803.985927.666692.8629.654214.977315.428125.479179.74947.82147.7252.6121.7921.2010.9080.2863.18
Totaal vlottende activa 20,905.52521,217.59616,103.16314,264.4678,734.949,292.2286,886.7045,313.6783,771.4253,918.0253,829.7253,161.0432,498.9082,376.0042,361.471677.979663.799368.966
Niet-vlottende activa:
Materiële vaste activa, netto 19,441.84718,682.57715,134.8059,295.2816,956.085,279.4934,092.8373,322.2232,969.2862,689.9112,707.0482,298.3171,331.364688.916440.984375.637267.629176.609
Goodwill 344.824334.222364.615342.739349.068380.61294.541181.676170.18571.90771.75153.23713.72913.7293.5363.5363.5360.628
Immateriële activa 1,796.2591,638.4051,496.3731,270.7891,137.125931.543852.939617.871570.819489.366493.176407.757257.752151.11129.098117.96884.08836.759
Goodwill en immateriële activa 2,141.0821,972.6271,860.9871,613.5281,486.1931,312.1531,147.48799.547741.005561.273564.927460.993271.481164.839132.634121.50587.62437.387
Langetermijnbeleggingen 465.357-117.813599.639-0.335289.553312.363306.675293.853247.7451.01635.4282.7865.0160.352-7.65002.334
Belastingvorderingen 673.45745.943734.901847.086591.92456.499289.789217.581118.981127.5893.85657.33736.81321.29316.42610.27510.0734.941
Overige niet-vlottende activa 1,119.4741,736.8521,215.0841,506.931795.63712.928436.972341.008336.231317.974160.58158.76281.6138.2597.7050.4500.493
Totaal niet-vlottende activa 23,841.2123,020.18619,545.41713,262.49110,119.3758,073.4366,273.7524,974.2124,413.2433,747.7553,561.842,978.1951,726.283913.66590.099507.867365.325221.764
Totaal activa 44,746.73644,237.78235,648.5827,526.95818,854.31517,365.66413,160.45710,287.898,184.6687,665.787,391.5656,139.2384,225.1913,289.6642,951.5691,185.8461,029.124590.73
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 10,640.9098,843.3884,458.7952,060.5511,917.0551,512.8571,228.192939.144657.769837740.008641.302312.236211.747159.016136.285146.75396.898
Kortlopende schulden 2,451.3384,169.3074,346.264,878.3543,069.732,747.3082,303.8991,608.616959.316417.1441,074.4921,161.20181.925571.19442.291407.026344.982.3
Belastingschulden 259.88210.828241.421196.208106.556118.5975.97844.6858.89665.45242.29417.35919.4151.96-1.105-10.062-0.418-1.294
Uitgestelde opbrengsten 4,726.0741,724.4423,834.5793,595.4421,182.829118.591,191.018566.84587.654406.078275.904151.385175.87596.90168.93763.69663.3106.276
Overige kortlopende verplichtingen 616.3592,695.409398.792314.5671,736.2452,572.3561,285.3091,222.119749.837684.979380.892334.326267.086130.96294.62575.93365.3621.764
Totaal kortlopende verplichtingen 18,434.6817,432.54613,038.42610,848.9137,905.866,951.1116,008.4184,336.722,954.5762,345.2012,471.2952,288.214837.1231,010.801764.869682.939620.313307.238
Langlopende verplichtingen:
Langetermijnschulden 4,647.3076,676.8345,989.8541,161.405821.6611,842.91101.5742.3882.017794.147791.348788.742786.31609214.3381923.167
Uitgestelde opbrengsten niet-vlottend 334.812299.529286.412202.333120.38768.36875.41774.93972.10445.99844.08723.15916.7141.2811.187000
Uitgestelde belastingverplichtingen niet-vlottend 185.756231.742178.263174.404112.74398.83465.65522.60511.1761.9581.8580.1920.20.1411.688000
Overige niet-vlottende verplichtingen 232.863247.015222.24181.211151.675180.51572.46343.12647.59776.91100000000
Totaal niet-vlottende verplichtingen 5,400.7397,455.126,676.7691,719.3531,206.4652,190.627315.11143.059132.893919.014837.293812.093803.2311.42294.87514.3381923.167
Totaal passiva 23,835.41924,887.66619,715.19512,568.2669,112.3259,141.7386,323.5274,479.7783,087.4693,264.2153,308.5883,100.3071,640.3541,012.223859.744697.278639.313330.405
Eigen vermogen:
Preferente aandelen 834.873000000009.9179.5890000000
Gewone aandelen 1,663.751,661.1611,661.1611,661.2111,580.3571,581.2111,575.2371,541.4281,537.3631,069.9971,063.66760.543582.4291.2224168168156
Ingehouden winsten 12,526.30510,520.5417,854.2546,895.0174,937.4813,878.6562,973.522,324.4051,958.6721,451.3831,191.5061,007.501673.512408.728258.21174.768106.30981.248
Overige gereserveerde algehele resultaten 299.041,167.829441.419860.246839.355553.169270.169371.222152.454-9.917-9.5890000000
Overige totale aandeelhoudersvermogen 4,323.1384,475.3764,504.3024,556.3151,746.5971,732.9021,655.7681,412.5361,352.121,810.7421,703.7541,157.9021,236.8171,504.7971,559.26691.35579.57113.141
Totaal eigen vermogen van aandeelhouders 19,647.10717,824.90714,461.13613,972.7899,103.797,745.9396,474.6955,649.5925,000.6094,332.1223,958.922,925.9462,492.7282,204.7252,041.476434.123353.88250.389
Totaal eigen vermogen 20,911.31719,350.11615,933.38514,958.6929,741.998,223.9266,836.9295,808.1125,097.1984,401.5664,082.9773,038.9312,584.8382,277.4412,091.825488.569389.811260.325
Totaal passiva en aandeelhoudersvermogen 44,746.73644,237.78235,648.5827,526.95818,854.31517,365.66413,160.45710,287.898,184.6687,665.787,391.5656,139.2384,225.1913,289.6642,951.5691,185.8461,029.124590.73