Kunwu Jiuding Investment Holdings Co., Ltd.

SSE:600053.SS

15.48 (CNY) • At close July 18, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 258.914244.9356.636125.142213.376639.484964.057385.412540.807635.45586.622127.95881.85794.704117.049342.15768.427100.87158.5090.5153.6763.966116.71681.588246.56212.58977.91159.3099.2511.1530.869
Kortetermijnbeleggingen 64.41456.75781.752102.1193.4279.8782,125.00900-101.263000000000000000000000
Liquide middelen en kortetermijnbeleggingen 323.328301.656438.388227.261216.804649.362964.057385.412540.807635.45586.622127.95881.85794.704117.049342.15768.427100.87158.5090.5153.6763.966116.71681.588246.56212.58977.91159.3099.2511.1530.869
Nettovorderingen 161.468102.51172.73483.806109.64476.119150.804173.611144.788199.12116.49100000009.786.73198.985830.3291,377.677071.87115.1270.4080000
Voorraad 1,501.8431,809.3011,666.7531,637.6961,613.6991,614.4631,998.0461,917.8941,685.8921,913.4732,210.1732,470.7672,649.162,505.1722,312.6662,137.8052,281.8821,840.8741,973.63416.94520.69436.90370.52936.56561.72773.83865.77358.07953.36140.92510.478
Overige vlottende activa 16.8977.97657.90647.16179.356148.174396.764245.031205.223411.26454.62312.50193.694148.446160.205130.10661.027143.15554.26770.62298.985447.562743.0691,037.878351.064484.627407.192182.23545.80921.548.98
Totaal vlottende activa 2,003.5292,291.4442,235.781,995.9252,019.5022,488.1183,509.6392,721.9482,576.713,169.7082,367.9092,671.672,824.7112,748.3222,589.922,610.0692,411.3362,084.92,086.4188.082123.355488.431930.3141,156.031723.898571.323551.284399.623108.42163.61820.327
Niet-vlottende activa:
Materiële vaste activa, netto 32.12945.20557.36365.82130.38132.68937.91843.53846.66444.60433.42635.67635.6276.337.3627.9048.777.0949.27658.14766.238224.996323.822290.968393.071303.957210.966168.735167.499171.541125.702
Goodwill 0.3670.3670.3670.3670.3670.3670.3670.3670.3670.367000000000000000000000
Immateriële activa 0.0270.0460.0670.0930.2030.3830.6840.8671.0491.119000000000000000000000
Goodwill en immateriële activa 0.3940.4130.4340.460.5690.751.0511.2331.4161.486-1.781-1.75-1.957000000000000000000
Langetermijnbeleggingen 470.444639.666753.842825.718996.3591,054.71601,745.2091,517.2841,371.8791.7811.751.957000000000000000000
Belastingvorderingen 159.505122.546109.268118.06186.51272.66729.96913.6324.6674.2442.6281.4372.0441.3614.0221.9561.3660.9450000000000000
Overige niet-vlottende activa 239.681301.941313.854315.49229.236242.7542,348.756228.272100.2860.3114.775119.234124.0631.8971.0655.4755.6816.852271.83711.814.9515.0311.37811.18911000000
Totaal niet-vlottende activa 902.1531,109.7711,234.7611,325.5511,343.0571,403.5762,417.6942,031.8851,670.3151,422.513150.829156.346161.7349.58812.44915.33615.81714.891281.11369.94781.188240.026335.2302.157404.071303.957210.966168.735167.499171.541125.702
Totaal activa 2,905.6823,401.2153,470.5413,321.4763,362.563,891.6945,927.3344,753.8334,247.0254,592.2212,518.7382,828.0172,986.4452,757.912,602.3692,625.4052,427.1532,099.7912,367.523158.029204.543728.4571,265.5141,458.1881,127.969875.28762.25568.358275.92235.159146.029
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 19.33327.97318.42942.25830.07478.72565.90959.41152.115182.28317.94951.55917.63419.56155.89915.43321.33825.97363.12734.7545.78471.73583.61837.81148.893174.727130.0445.53220.6914.6580.384
Kortlopende schulden 00003901994391,032.9030225.933001721001354700421265209.2449154.4827.376855.215707.015345178.01158.015749.15431.813.8
Belastingschulden 9.2621.48636.91712.0115.29463.69182.93375.466141.60165.60117.07-35.2765.14931.52841.45857.154110.05856.31464.3796.4716.82235.84934.4232.03532.82427.64423.9222.3481.4850.0920.084
Uitgestelde opbrengsten 0073.099329.638156.794542.57782.9331,113.051,410.7421,710.519813.361940.5511,044.8761,032.022617.96698.137565.435486.837731.382151.67398.291211.675145.31170.30940.94729.66926.873.09000
Overige kortlopende verplichtingen 176.02345.456261.728-3.733-10.937-419.4131,684.6356.7641,669.3812,220.885487.5651,573.131,723.4831,333.4251,001.9471,038.568593.345562.19744.499168.402105.775229.943120.875177.463494.95714.84317.0256.3746.4044.0121.285
Totaal kortlopende verplichtingen 204.613394.915390.173380.173581.221864.5792,355.4042,337.5941,963.0982,694.71,635.9441,761.4131,846.2651,519.5141,569.3041,111.1551,145.74909.4841,112.627258.622322.7811,164.9041,094.128954.324454.756395.224328.998111.25477.73440.56215.553
Langlopende verplichtingen:
Langetermijnschulden 5.64314.96420.76927.22125.478300470239126639.58102503404502507355005966002.6782.6782.6784040125.4232390.01104.02119.0286.18
Uitgestelde opbrengsten niet-vlottend 1.23401.6711.6711.6711.6712.5182.5182.5182.5183.3184.0050000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 44.57771.22874.95252.07440.92437.51741.58699.80248.26753.7160-1.3270000000000000000000
Overige niet-vlottende verplichtingen 08.3496.67878.246.6786.6782.678368.22202.6786.6827.1588.02118.20120.820.827.2192.678000115.718115.718-122.7222.6782.6782.6782.6782.6782.678
Totaal niet-vlottende verplichtingen 51.45494.541104.07159.16649.273345.866520.781343.998545.007695.8165.995256.682347.158458.021268.201755.8520.8623.219602.6782.6782.6782.678155.718155.7182.67825.67825.67892.688106.698121.69888.858
Totaal passiva 256.067489.456494.243539.34630.4941,210.4462,876.1852,681.5922,508.1053,390.5151,641.942,018.0952,193.4231,977.5351,837.5051,866.9551,666.5411,532.7041,715.305261.299325.4591,167.5811,249.8461,110.042457.433420.902354.675203.942184.432162.26104.41
Eigen vermogen:
Preferente aandelen 002,067.5451,892.2231,830.12201,380.231,174.3521,039.8080000000000000000000000
Gewone aandelen 433.541433.541433.541433.541433.541433.541433.541433.541433.541433.541433.541433.541433.541433.541361.284361.284301.07301.07301.07161.07161.07161.07161.07161.07161.07136.5136.51056040.0940.09
Ingehouden winsten 1,745.2252,013.5232,067.8971,892.2231,830.1221,767.8141,413.5971,174.352978.595461.568212.932153.61139.267127.885113.925108.223111.687-69.62-239.473-311.454-321.239-1,015.944-557.924-225.425118.67876.11738.67425.147000
Overige gereserveerde algehele resultaten 0251.75237.108228.896236.803235.0583,063.3412,072.2411,806.934190.9240-00000000000000000000
Overige totale aandeelhoudersvermogen 449.085192.357186.033186.147185.499187.37569.65769.6571.64369.657230.325375.884220.214218.949141.914141.914347.769335.538596.03749.16239.253428.059412.523412.502435.645242.829232.727234.26931.48932.8091.529
Totaal eigen vermogen van aandeelhouders 2,627.8512,891.1712,924.9312,740.8072,685.9652,623.7882,166.4112,014.3641,683.981,156.609876.798809.921793.022780.374764.863758.377760.526566.988652.119-103.27-120.916-439.12415.668348.147670.535454.378407.575364.41691.48972.89941.619
Totaal eigen vermogen 2,649.6162,911.7592,976.2982,782.1362,732.0662,681.2483,051.1482,072.2411,738.921,201.706876.798809.921793.022780.374764.863758.449760.612567.087652.218-103.27-120.916-439.12415.668348.147670.535454.378407.575364.41691.48972.89941.619
Totaal passiva en aandeelhoudersvermogen 2,905.6823,401.2153,470.5413,321.4763,362.563,891.6945,927.3344,753.8334,247.0254,592.2212,518.7382,828.0172,986.4452,757.912,602.3692,625.4052,427.1532,099.7912,367.523158.029204.543728.4571,265.5141,458.1881,127.969875.28762.25568.358275.92235.159146.029