China Shanshui Cement Group Limited

HKEX:0691.HK

0.4 (HKD) • At close September 20, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,254.0372,124.3621,423.1711,401.2331,364.0541,303.943307.995276.5222.9071,151.3531,277.3691,083.223,008.3321,144.84886.131,248.414721.265323.514
Kortetermijnbeleggingen 512.48110.77517.3913.98113.52868.55783.246206.329000-610.227000-1,269.53300
Liquide middelen en kortetermijnbeleggingen 2,766.5182,135.1371,440.5611,415.2141,377.5821,372.5391.241482.829222.9071,151.3531,277.3691,083.223,008.3321,144.84886.131,248.414721.265323.514
Nettovorderingen 1,743.1481,763.7312,289.312,319.4781,937.4922,126.7241,805.7521,533.8811,540.9082,090.6192,019.9543,389.1583,286.7981,879.9991,538.492934.5921,307.19424.666
Voorraad 2,143.5913,471.8952,993.5952,414.0082,104.4691,596.6671,573.1231,515.2061,231.4112,131.5252,032.7881,794.2871,924.3891,137.756840.345890.619532.997403.06
Overige vlottende activa 1,776.7851,406.4531,063.0171,029.682797.599762.165566.685735.561908.5231,676.2651,890.48741.05470.23865.36541.91432.4357.7370.47
Totaal vlottende activa 8,430.0428,777.2167,786.4837,178.3826,217.1425,858.0564,336.8014,267.4773,903.7497,049.7627,220.5986,307.7198,289.7574,227.963,306.8813,106.062,569.1891,151.71
Niet-vlottende activa:
Materiële vaste activa, netto 17,523.15419,289.53118,303.81218,021.85118,331.415,922.0716,769.99317,716.42918,925.77220,108.48518,945.63416,378.61414,709.44713,015.24210,147.1447,368.255,784.8872,945.812
Goodwill 55.13290.13290.13290.13290.13214.22314.22314.22314.2232,345.8572,323.7621,832.7461,297.77991.328595.498500.746500.7460
Immateriële activa 3,933.6651,570.9151,379.241995.994930.613894.663618.574512.565554.683485.308464.232,464.999390.349373.715333.165285.462295.57333.215
Goodwill en immateriële activa 3,988.7971,661.0471,469.3731,086.1261,020.745908.886632.797526.788568.9062,831.1652,787.9924,297.7451,688.1191,365.043928.663786.208796.31933.215
Langetermijnbeleggingen 500.893532.237337.58343.447425.043366.744308.836307.029344.683399.182139.659767.796160.955130.43412.1661,276.32200
Belastingvorderingen 306.215317.403214.911168.039145.977159.649159.335134.329112.39244.886219.175167.474143.812132.11294.55102.61134.74513.124
Overige niet-vlottende activa 24.313-317.403-214.911-168.039-145.977-159.649-159.335-134.329-112.39-244.886-219.175114.02989.58379.535119.759133.1661,096.729311.015
Totaal niet-vlottende activa 22,343.37221,482.81520,110.76519,451.42419,777.18817,197.717,711.62618,550.24619,839.36123,338.83221,873.28521,725.65816,791.91614,722.36611,302.2829,666.5577,712.683,303.166
Totaal activa 30,773.41431,457.27428,963.68727,677.44326,827.80526,072.71325,089.95925,920.15627,013.733,695.49732,236.39628,033.37725,081.67318,950.32614,609.16312,772.61710,281.8694,454.876
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,855.2294,711.0063,737.6353,588.6433,559.5423,039.6063,193.3023,726.7923,523.9183,540.5653,179.4752,591.9242,290.5011,953.9351,345.6191,207.9912,529.751,266.484
Kortlopende schulden 5,246.2972,786.5383,230.4323,598.6623,928.5255,918.50912,504.75613,449.82215,609.0764,254.656,888.6623,005.5373,269.311,791.7672,205.5272,714.9332,493.8771,155.069
Belastingschulden 137.808293.461499.043318.392397.596496.854203.195213.847120.162240.979284.442372.742410.069264.448108.038152.13822.445.37
Uitgestelde opbrengsten -914.15-2,786.538-3,230.432-3,598.662-3,928.525-5,918.509-12,504.756-13,449.822-15,609.076-4,254.65-6,888.6621,822.925001,417.0551,210.07900
Overige kortlopende verplichtingen 2,548.2045,727.0755,605.5076,250.8527,622.19410,188.57816,551.418,415.59218,224.4316,304.5348,867.682100.732,521.6712,735.9391.73352.57422.445.37
Totaal kortlopende verplichtingen 10,735.5810,438.0819,343.1429,839.49511,181.73613,228.18419,744.70222,142.38421,748.3499,845.09912,047.1577,521.1168,081.4826,481.6414,969.9345,185.5775,046.0672,426.923
Langlopende verplichtingen:
Langetermijnschulden 853.2218351351,232.9092,248.8752,501.327800.8884.546211.71311,904.8999,614.00510,507.7528,202.0614,613.6943,556.0282,366.8921,887.1991,415.918
Uitgestelde opbrengsten niet-vlottend 316.007302.223243.104222.844235.149248.303266.807273.298295.599301.186317.151324.142327.11337.095311.195296.32339.88624.28
Uitgestelde belastingverplichtingen niet-vlottend 68.24351.4864.38375.40387.14391.436102.61466.47269.22861.98674.74159.60683.46393.55983.576123.646137.096981.355
Overige niet-vlottende verplichtingen 396.999-353.703-307.487-298.247-322.292-339.739-369.421-339.77-364.827-363.172-391.892224.259220.8841,275.332459.302194.63598.643-904.281
Totaal niet-vlottende verplichtingen 1,634.478351351,232.9092,248.8752,501.327800.8884.546211.71311,904.8999,614.00511,115.7598,833.5186,319.684,410.1012,981.4912,662.8241,517.272
Totaal passiva 12,370.0512,022.39710,209.80511,795.42614,227.36616,486.37721,072.42822,663.91722,520.53522,329.17122,269.6718,636.87516,91512,801.3219,380.0358,167.0687,708.8913,944.195
Eigen vermogen:
Preferente aandelen 0195.758120.335106.764119.569112.127075.4780000000000
Gewone aandelen 295.671295.671295.671295.671295.671295.671227.848227.848227.848227.848193.198193.198193.198193.198192.355185.3720.2440.01
Ingehouden winsten 9,945.43710,828.66310,077.8617,278.8544,086.0611,103.667-1,093.345-1,707.692-985.9875,414.9725,287.8023,832.680000214.29634.603
Overige gereserveerde algehele resultaten 9,798.626-195.758-120.335-106.764-119.569-112.127126.814-75.478134.381301.137313.867-4,460.637-3,652.549-2,895.278-1,218.626-1,528.41-1,050.312-818.366
Overige totale aandeelhoudersvermogen -1,710.48,039.2798,114.7028,128.2738,115.4688,122.914,654.014,578.5324,654.014,654.013,451.0859,085.60811,168.3888,389.6056,186.4645,903.6093,367.2651,275.378
Totaal eigen vermogen van aandeelhouders 18,329.33419,163.61318,488.23415,702.79812,497.29,522.2483,915.3273,098.6884,030.25210,597.9679,245.9528,650.8497,709.0375,687.5255,160.1934,560.5712,531.493491.625
Totaal eigen vermogen 18,403.36419,434.87718,753.88215,882.01712,600.4399,586.3364,017.5313,256.2394,493.16511,366.3269,966.7269,396.5028,166.6736,149.0055,229.1284,605.5492,572.978510.681
Totaal passiva en aandeelhoudersvermogen 30,773.41431,457.27428,963.68727,677.44326,827.80526,072.71325,089.95925,920.15627,013.733,695.49732,236.39628,033.37725,081.67318,950.32614,609.16312,772.61710,281.8694,454.876