Anhui Expressway Company Limited

SSE:600012.SS

17.48 (CNY) • At close April 18, 2025
Overzicht | Financiële gegevens

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4,777.8973,947.5334,731.4994,318.2062,291.8032,113.752,513.4751,829.3952,010.812906.246559.945904.073762.838597.802756.5071,042.968531.235407.178400.453580.964678.042510.6151,118.916350.92286.781300.757
Kortetermijnbeleggingen 919.1420-352.289-370.2391,104.491422.317-28.568-331.878110282000000000000020.5600
Liquide middelen en kortetermijnbeleggingen 4,777.8973,947.5334,731.4994,318.2063,396.2932,536.0672,513.4751,829.3952,010.812906.246559.945904.073762.838597.802756.5071,042.968531.235407.178400.453580.964678.042510.6151,118.916371.48286.781300.757
Nettovorderingen 0115.896139.025143.9071,191.215147.685137.664109.612103.046187.429179.146253.921228.994078.83723.075-0-00-6.1020.0010000122.16
Voorraad 4.4374.4584.7065.3956.1565.6825.0417.4095.2765.2872.6173.8243.5543.4133.7612.3951.8572.9832.8732.8661.48417.90422.76914.8053.9973.087
Overige vlottende activa 580.888201.976339.6616.7677.50454.99425.375394.712157.028123.40614.154186.24817.612184.7023.08720.37115.39115.54231.45133.13539.13430.84350.71432.61667.509
Totaal vlottende activa 5,363.2224,267.1945,213.9594,484.2763,564.1882,744.4282,693.592,340.2222,276.1631,222.368755.8621,348.0661,012.997747.429839.1061,068.449553.463425.552418.867609.179712.66567.6531,172.528437323.394371.353
Niet-vlottende activa:
Materiële vaste activa, netto 1,278.7681,206.5551,213.9551,229.8781,161.6721,122.187952.655992.67945.51,035.91876.159940.92675.343771.566798.451732.372723.0776,330.2766,038.4135,615.4355,482.5335,291.973,391.2713,419.473,472.3131,967.667
Goodwill 00000000000000000000000000
Immateriële activa 16,426.68815,026.83913,451.94113,154.61910,564.35111,166.39110,246.3849,935.2699,156.1419,155.1249,122.0478,922.8568,726.3798,025.0837,673.2787,657.2647,213.265552.238751.232322.091336.222333.416475.965493.936500.966292.374
Goodwill en immateriële activa 16,426.68815,026.83913,451.94113,154.61910,564.35111,166.39110,246.3849,935.2699,156.1419,155.1249,122.0478,922.8568,726.3798,025.0837,673.2787,657.2647,213.265552.238751.232322.091336.222333.416475.965493.936500.966292.374
Langetermijnbeleggingen 01,135.7041,326.023926.482-589.85628.756493.8861.733677.982665.924349.113570.973556.3160000000000-16.4600
Belastingvorderingen 101.28102.45297.491125.60839.84254.01457.55946.10965.01761.37557.08742.14337.02135.86340.01937.00825.51331.5850000025.88400
Overige niet-vlottende activa 1,244.3780001,500.546804.235336.299000372.172378.009326.104526.0660.53478.59371.70848.2524.455423.73320.521.84622.44-0.1545.34423.374
Totaal niet-vlottende activa 19,051.11417,471.54916,089.40915,436.58712,676.55513,175.58312,086.69711,835.78110,844.63910,918.33410,776.57910,854.90210,321.1649,358.5728,572.2828,505.2368,033.5646,962.356,814.16,361.2595,839.2555,647.2323,889.6763,922.6753,978.6192,683.414
Totaal activa 24,414.33721,738.74321,303.36919,920.86316,240.74315,920.01214,780.28814,176.00413,120.80212,140.70211,532.4412,202.96811,334.16110,106.0019,411.3889,573.6868,587.0277,387.9027,232.9676,970.4386,551.9156,214.8855,062.2044,359.6754,302.0133,054.767
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 866.285631.685605.444743.335989.681,210.423629.706765.352440.094428.723412.508476.817562.207433.411424.465491.291518.121393.089297.384263.693258.156214.1888.12442.51100
Kortlopende schulden 00496.036440.779295.2840078.3270393.865473.591158.048130.428401209852,2251,3901,26135045062706500
Belastingschulden 119.26738.42343.013236.88277.608174.11173.144179.074144.18490.65113.13761.72285.052155.113111.72558.225139.776227.59742.734146.86496.6933820.75814.73724.82341.756
Uitgestelde opbrengsten 0041.4351,488.176451.212367.994173.144328.887318.063232.434360.019231.9209.029310.177239.396200.153264.557227.597186.991300.645321.343138.0310164.97200
Overige kortlopende verplichtingen 502.817790.423233.7081,375.891561.796718.969628.683191.703361.872156.375269.2222,225.024133.653161.496156.62170.097140.573182.468166.521175.63220.118112.343112.274115.262114.01688.179
Totaal kortlopende verplichtingen 1,488.3691,460.531,378.22,796.8852,124.3672,103.5011,431.5321,214.456946.151,069.6131,268.4592,921.611911.34790.02812.811,704.6133,023.6442,172.9281,767.639936.1871,024.967991.524270.914237.509138.839129.935
Langlopende verplichtingen:
Langetermijnschulden 7,880.8926,037.2816,201.9864,726.408-2,570.4442,205.1971,562.8971,666.5851,649.8331,052.649851.437577.052,463.7762,392.1732,173.6571,971.662249.568235.07281.771,197.9841,183.0731,176.4991,045.5941,045.5941,251.94317.011
Uitgestelde opbrengsten niet-vlottend 87.9920113.853126.78324.48626.41728.5930.76332.93535.10837.281644.328491.966366.921307.814275.551-0000000000
Uitgestelde belastingverplichtingen niet-vlottend 18.15925.12527.20831.27812.37715.15496.382103.551110.905120.283175.756126.832105.22254.66344.78346.91849.58753.21200000000
Overige niet-vlottende verplichtingen 77.56100.922191.412421.283522.90641.5711,079.7881,130.609960.837946.461787.09639.45441.626422.83945.972444682.673197.576000.41.30.6300
Totaal niet-vlottende verplichtingen 8,064.6036,163.3286,420.6065,178.9692,201.7422,246.7682,767.6572,931.5072,754.512,164.3041,814.2891,387.6643,102.592,755.4072,572.2262,338.132345.155370.955479.3461,197.9841,183.0731,176.8991,046.8941,046.2241,251.94317.011
Totaal passiva 9,552.9727,623.8597,798.8077,975.8544,326.114,350.2694,199.1894,145.9633,700.663,233.9173,082.7474,309.2744,013.9313,545.4273,385.0364,042.7443,368.7992,543.8832,246.9852,134.1712,208.0392,168.4221,317.8081,283.7331,390.78446.946
Eigen vermogen:
Preferente aandelen 000788.0410000000000000000000000
Gewone aandelen 1,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,658.611,408.611,408.611,408.61
Ingehouden winsten 11,200.73210,528.5769,874.7329,341.9518,471.3487,934.3487,251.4546,497.3275,787.4655,235.6874,679.3014,183.3293,667.1413,193.6812,768.1622,388.9212,150.0361,881.0721,469.0361,216.273891.136687.699476.21404.33299.153186.151
Overige gereserveerde algehele resultaten 0469.726391.47-788.041459.707154.723169.705232.933242.661232.04990.2743.81500000000000000
Overige totale aandeelhoudersvermogen 475.826001,176.5894,024.331,173.7781,173.7781,223.1611,232.8881,222.2771,974.164990.2271,217.5932,143.0982,029.0821,247.012,570.2842,449.8471,394.9441,761.3082,246.6431,491.5521,417.381,074.0961,015.67977.142
Totaal eigen vermogen van aandeelhouders 13,335.16812,656.91211,924.81211,389.1111,276.70910,737.90910,069.9979,379.0988,678.9638,116.5747,601.9597,059.5326,543.3446,266.7535,756.7075,294.5414,998.0074,625.3844,920.8724,636.1924,142.7483,837.8613,552.22,887.0362,723.4332,571.903
Totaal eigen vermogen 14,861.36414,114.88413,504.56211,945.00911,914.63311,569.74210,581.09910,030.049,420.1428,906.7858,449.6937,893.6947,320.2316,560.5746,026.3515,530.9415,218.2284,844.0194,985.9824,836.2674,343.8764,046.4623,744.3963,075.9422,911.2342,607.821
Totaal passiva en aandeelhoudersvermogen 24,414.33721,738.74321,303.36919,920.86316,240.74315,920.01214,780.28814,176.00413,120.80212,140.70211,532.4412,202.96811,334.16110,106.0019,411.3889,573.6868,587.0277,387.9027,232.9676,970.4386,551.9156,214.8855,062.2044,359.6754,302.0133,054.767