Hangzhou Steam Turbine Co., Ltd.

SZSE:200771.SZ

7.5 (HKD) • At close October 26, 2023
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,798.1681,954.9811,622.8831,829.4811,756.321,382.3921,222.677895.038751.597613.958883.1421,100.641662.649657.077486.44450.103296.605215.963327.612523.233248.869134.323131.559165.999166.82192.81918.142
Kortetermijnbeleggingen 568.887607.001960.6451,021.682854.2112,138.298886.732853.767426378.8-0.037150.61-4.96000000000.050.0220000
Liquide middelen en kortetermijnbeleggingen 3,367.0562,561.9822,583.5292,851.1632,610.5311,382.3921,222.677895.038751.597613.958883.1421,100.641662.649657.077486.44450.103296.605215.963327.612523.233248.869134.372131.582165.999166.82192.81918.142
Nettovorderingen 3,724.393,852.4584,100.6113,640.1353,185.9292,939.3992,880.62,583.0992,941.453,287.4353,289.9423,205.9222,880.9352,584.7222,152.0691,805.8831,598.2121,002.11628.499494.064330.207193.231194.61927.21413.53414.23125.33
Voorraad 2,429.4962,322.4613,041.6442,171.7532,051.292,188.1212,092.5761,901.5441,826.871,594.0741,522.6621,451.2891,465.1351,168.9591,009.11,192.643764.546520.424480.143350.783176.516138.046112.38798.671124.185149.02437.53
Overige vlottende activa 5.62378.9566.17548.96571.5921,188.748904.426863.018427.204382.07318.647150.72425.6610.0890.1080.237-23.489-22.531-29.948-30.881-32.384-4.86-2.584194.818188.227139.34785.282
Totaal vlottende activa 10,294.8478,815.8519,791.9588,712.0167,919.3427,698.667,100.286,242.75,947.1215,877.5376,014.3935,908.5765,034.384,410.8483,647.7173,448.8662,635.8741,715.9661,406.3061,337.2723.209460.789436.004486.702492.766495.42266.284
Niet-vlottende activa:
Materiële vaste activa, netto 2,327.4962,240.9912,206.6971,899.4271,524.1131,238.508822.633769.666761.343767.503776.33761.0061,000.933926.851662.308560.56521.786510.855454.211333.555252.659176.086139.111133.502136.963149.194160.637
Goodwill 15.41600000000000000000000000000
Immateriële activa 409.303274.845277.47273.812275.14279.741285.671297.405304.949304.101225.562210.186276.922284.701141.445102.59768.83534.6935.50336.50137.31738.21239.0339.84840.64800
Goodwill en immateriële activa 424.718274.845277.47273.812275.14279.741285.671297.405304.949304.101225.562210.186276.922284.701141.445102.59768.83534.6935.50336.50137.31738.21239.0339.84840.64800
Langetermijnbeleggingen 2,727.0062,954.6612,539.5873,076.4281,800.53902,423.5813,060.866509.41498.991472.387464.708467.049000000001011.9680000
Belastingvorderingen 73.6352.734382.665409.289226.77213.963198.18178.832158.925102.88690.47793.04188.29861.40648.62439.1249.0280000000000
Overige niet-vlottende activa 80.013735.9171,121.291,021.682854.2112,138.2980.2541.4312.0291.04266.510.225408.528410.679418.463294.243287.171168.20647.2459.1910.3930.84315.251.76641.74342.866
Totaal niet-vlottende activa 5,632.8336,559.1486,527.716,680.6384,680.7733,870.513,730.3184,308.21,736.6561,674.5221,631.2561,539.141,858.2021,681.4851,263.0561,120.74933.892832.716657.919417.3299.167224.691190.953188.6179.377190.938203.503
Totaal activa 15,927.6815,37516,319.66815,392.65412,600.11611,569.1710,830.59710,550.97,683.7777,552.0597,645.6497,447.7166,892.5826,092.3334,910.7724,569.6063,569.7662,548.6822,064.2251,754.5011,022.375685.48626.956675.303672.143686.357469.786
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,890.5551,614.8022,219.5551,438.5221,258.371,350.5831,098.125996.461,004.646913.849947.193741.633730.571618.627424.423582.065655.089322.768146.46882.04346.78753.58633.66723.74126.19929.60926.508
Kortlopende schulden 585.245330.556267.674217.72498.041239.7120.4191.585.65198.6376.9350.4289.3173831361810010000070705973.7
Belastingschulden 91.79773.38581.622281.9134.52262.40534.9290.2436.008126.091107.95685.18390.706105.40889.48522.361108.5104.80384.89231.8118.7258.7765.92.785-1.4685.2950
Uitgestelde opbrengsten 3,136.04603,701.8393,344.709212.87662.405142.574192.42135.971221.362218.299382.028347.418215.157137.15278.60200127.689000030.42965.66565.41762.648
Overige kortlopende verplichtingen 310.6252,990.917396.453374.1072,818.132,705.5292,419.7511,827.961,736.8211,374.7361,480.5891,632.8571,574.0231,493.9831,233.8841,512.0641,200.091896.47872.689998.361458.331163.491139.717103.34483.161124.37898.442
Totaal kortlopende verplichtingen 5,922.4714,936.2756,585.525,375.0624,387.4174,358.2183,780.8513,208.342,963.0882,708.5473,022.983,106.9182,941.3292,710.7671,931.462,353.7311,855.181,219.2381,156.8471,080.404505.118217.077173.384227.514245.026278.404261.298
Langlopende verplichtingen:
Langetermijnschulden 238.765176.238203.40621.62422.43622.71004.9123.418.50.330.3312573.464247.4640.330.330000000003.8
Uitgestelde opbrengsten niet-vlottend 1,069.671877.381729.439489.41651.71344.6754.0645.4236.8048.2530044.8180.330.33000000000000
Uitgestelde belastingverplichtingen niet-vlottend 73.994474.809464.173550.54316.91244.17278.218378.2571.0171.0171.0171.0381.0411.2231.2251.2257.7830000000000
Overige niet-vlottende verplichtingen 82.66211.1047.58405.873762.663474.876447.292208.3580.330.339.70111.14917.315.0473.3236.5243.8210000008.58.5411.691
Totaal niet-vlottende verplichtingen 1,465.0921,539.5321,404.5971,467.4531,153.723786.422829.574596.937131.55228.111.04812.517188.1780.064252.3428.07911.9333.9133.8433.2962.7911.9310.38.58.5415.491
Totaal passiva 7,387.5636,475.8077,990.1176,842.5155,541.145,144.644,610.4253,805.2773,094.642,736.6473,034.0293,119.4353,129.4982,790.8312,183.8012,361.811,867.1141,223.1511,160.691,083.7507.908229.007183.684236.014253.526282.404276.789
Eigen vermogen:
Preferente aandelen 625.17800000000000000000000000000
Gewone aandelen 1,175.444980.18754.01754.01754.01754.01754.01754.01754.01754.01754.01754.01628.342483.34371.8371.8371.8286220220220220220220220220140
Ingehouden winsten 3,784.4353,756.4153,761.5833,415.3583,276.883,082.5442,774.422,705.6672,673.7122,911.9222,736.8032,449.7212,094.1471,855.9191,497.4231,111.353731.963560.276289.02174.9382.97547.89442.34844.89931.84228.91-6.489
Overige gereserveerde algehele resultaten 2,001.2952,708.2392,647.8473,194.2061,802.521,456.9311,653.5032,222.74188.68781.738156.3040000000000000000
Overige totale aandeelhoudersvermogen 312.923883.648764.045800.331774.086714.056702.883702.928702.928702.928583.825668.426592.774528.953466.886418.159372.62352.004338.259251.464209.771186.89179.293172.79166.776155.04359.486
Totaal eigen vermogen van aandeelhouders 7,899.2768,328.4817,927.4868,163.9066,607.4966,007.5415,884.8176,385.3464,219.3374,450.5984,230.9423,872.1573,315.2632,868.2112,336.1091,901.3121,476.3831,198.28847.279646.394512.745454.784441.641437.689418.618403.953192.997
Totaal eigen vermogen 8,540.1178,899.1938,329.5518,609.2567,058.9766,424.536,220.1726,745.6234,589.1374,815.4124,611.624,328.2813,763.0843,301.5022,726.9712,207.7961,702.6531,325.531903.535670.801514.467456.473443.273439.289418.618403.953192.997
Totaal passiva en aandeelhoudersvermogen 15,927.6815,37516,319.66815,451.77112,600.11611,569.1710,830.59710,550.97,683.7777,552.0597,645.6497,447.7166,892.5826,092.3334,910.7724,569.6063,569.7662,548.6822,064.2251,754.5011,022.375685.48626.956675.303672.143686.357469.786