Huayi Brothers Media Corporation

SZSE:300027.SZ

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

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

2024202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 78.193232.374326.599621.204643.817553.6932,641.2824,229.8345,464.433,661.6311,829.141,137.401641.531531.247846.5871,070.78880.79645.13637.929
Kortetermijnbeleggingen 286.15677-147.43132.64630752.926-258.393-285.21619.822000318.846183.6860000
Liquide middelen en kortetermijnbeleggingen 364.349239.374333.599621.204643.817583.6932,641.2824,229.8345,464.433,661.6311,829.141,137.401641.531531.247846.5871,070.78880.79645.13637.929
Nettovorderingen 115.457291.498352.801491.134605.116510.9441,325.5321,732.4481,553.3741,724.7471,622.521,147.1841,053.895416.645478.229204.602000
Voorraad 182.721229.743399.216362.538547.463820.591,227.1981,101.227716.092715.785816.279574.801700.507543.295226.277281.962231.926106.79102.186
Overige vlottende activa 208.285504.079342.988600.8821,276.1121,251.3051,909.8341,230.277938.5111,114.5291,894.623992.126397.937411.094110.521102.37625.667164.07721.884
Totaal vlottende activa 870.8121,264.6941,428.6052,075.7583,073.8363,166.5327,454.318,646.2118,747.4077,322.8945,249.573,393.1482,793.871,902.2811,661.6141,659.726525.798316.002162
Niet-vlottende activa:
Materiële vaste activa, netto 485.004558.765999.7291,158.24803.16901.084942.074893.492853.706710.543354.439316.594272.796117.37868.67430.7166.9691.0790.207
Goodwill 62.816144.56159.128292.754409.277595.482,096.2763,046.7943,570.2493,570.2491,486.063353.5732.69577.19577.1950000
Immateriële activa 0.2790.5011.54819.43527.04636.26949.09652.97573.21466.72774.1121.50302000000
Goodwill en immateriële activa 63.095145.061160.676312.189436.323631.7492,145.3723,099.7693,643.4633,636.9761,560.175355.07232.69597.19577.1950000
Langetermijnbeleggingen 1,089.0571,827.3162,348.8593,341.0515,015.6575,720.8146,487.4517,261.2776,344.4736,096.142,478.8713,067.18974.411000000
Belastingvorderingen 156.685164.261138.6206.637209.741216.452389.936222.913175.58397.15488.50334.66728.26610.35614.5352.3112.2210.3790.468
Overige niet-vlottende activa 369.72182.109167.3860.34963.629193.423942.074318830.27387.08445.68935.907336.547199.80617.78620.115026.48
Totaal niet-vlottende activa 2,163.5622,777.5133,815.255,018.4666,528.517,663.52210,906.90511,508.45211,105.22410,571.0854,569.0713,819.2021,344.075561.477360.2150.81329.3041.45827.155
Totaal activa 3,034.3744,042.2075,243.8547,094.2249,602.34610,830.05418,361.21520,154.66319,852.63117,893.9799,818.6427,212.354,137.9452,463.7572,021.8251,710.539555.102317.46189.155
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 521.291506.551528.784776.2831,005.317577.185925.23718.447487.112433.6310.77501.04496.102194.538253.73192.67163.35919.18810.314
Kortlopende schulden 376.504494.787820.095526.0322,027.9012,092.068192.264550.3851,640.1082,323.807784.884668.022593.16005165500
Belastingschulden 4.68114.14311.30425.44733.45766.013149.346186.97420.948577.872425.335256.16193.17669.89141.42623.87812.2047.6491.688
Uitgestelde opbrengsten 0223.929355.37928.4081,188.369542.959149.346843.0871,088.8611,902.186770.089397.379143.7640031.52716.96332.0870
Overige kortlopende verplichtingen 1,048.4871,013.168407.998645.299613.1012,141.9195,840.4152,744.73,390.211724.591,392.078425.107438.249491.411156.422105.08766.52785.41880.193
Totaal kortlopende verplichtingen 1,950.9632,252.5782,123.5522,901.474,231.4344,877.1857,256.6025,043.5895,938.3785,962.0552,913.0682,243.3271,620.687755.81451.579226.636307.09162.25592.194
Langlopende verplichtingen:
Langetermijnschulden 354.188551.8241,240.7021,310.9771,393.535953.1841,516.4134,473.7393,896.337545.055848.778515.2553000000050
Uitgestelde opbrengsten niet-vlottend 12.8548.39210.61513.86716.57222.35126.22228.2423.17417.11112.5711.936-300000000
Uitgestelde belastingverplichtingen niet-vlottend 0.0390.02745.43247.48850.04151.653.65656.808144.255639.269363.643506.44692.528000000
Overige niet-vlottende verplichtingen 291.835382.774374.84268.017283.1600023.2480.2790.46113.0690000000
Totaal niet-vlottende verplichtingen 658.915943.0181,671.5891,640.3491,743.3091,027.1351,596.2914,558.7874,063.841,201.7151,225.4531,010.568392.5280000050
Totaal passiva 2,609.8783,195.5963,795.1414,541.8195,974.7425,904.328,852.8939,602.37610,002.2187,163.774,138.5213,253.8952,013.215755.81451.579226.636307.09162.255142.194
Eigen vermogen:
Preferente aandelen 00222.233146.564000000000000000
Gewone aandelen 2,774.5062,774.5062,774.5062,774.5062,779.2552,787.962,794.9562,774.5062,785.6861,391.7261,242.1961,209.6604.8604.833616812652.6415
Ingehouden winsten -4,380.796-4,098.376-3,576.995-2,595.183-2,204.588-1,156.5282,648.9983,900.8453,200.122,638.5751,836.127964.456458.429333.124205.175125.55743.70680.40624.207
Overige gereserveerde algehele resultaten 0-297.801-222.233-146.564188.139328.297432.62628.288692.5851,897.248881.3381,294.9780000000
Overige totale aandeelhoudersvermogen 1,967.7752,296.652,293.2472,926.8392,497.6092,723.1353,029.782,357.5632,357.5634,007.1991,959.0931,582.1991,056.497749.3671,010.9161,187.24768.422.1597.753
Totaal eigen vermogen van aandeelhouders 361.485674.981,268.5242,331.0643,072.2764,354.5678,473.7349,661.2019,035.9539,934.7485,037.4163,942.4732,119.7261,687.2911,552.0911,480.804248.012155.20546.96
Totaal eigen vermogen 424.496846.6111,448.7132,552.4053,627.6044,925.7349,508.32210,552.2869,850.41310,730.2095,680.1213,958.4562,124.731,707.9481,570.2451,483.903248.012155.20546.96
Totaal passiva en aandeelhoudersvermogen 3,034.3744,042.2075,243.8547,094.2249,602.34610,830.05418,361.21520,154.66319,852.63117,893.9799,818.6427,212.354,137.9452,463.7572,021.8251,710.539555.102317.46189.155