Hunan Huasheng Co.,Ltd

SSE:600156.SS

5.82 (CNY) • At close May 16, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 110.277147.767133.512154.831208.737119.438309.662179.873223.458189.925105.22973.835112.77197.0776.39480.29627.42141.162.72860.288207.834202.141218.339316.369315.52599.58792.6689.234.63723.105
Kortetermijnbeleggingen 68.22178.669100.397134.394233.701156.103-22.036-23.2190.633-23.967-25.898-27.14900000.38427.2379.3122.02752.73730.073047.62174.752.817120.82300.020
Liquide middelen en kortetermijnbeleggingen 178.498226.435233.909289.224442.438275.541309.662179.873224.092189.925105.22973.835112.77197.0776.39480.29627.80468.33872.03882.315260.571232.211248.339363.989490.225152.403213.499.234.65723.105
Nettovorderingen 77.518093.71597.43990.867111.35495.106112.073164.03188.051127.044102.35748.417062.69331.65230.77328.18835.147.423274.1296.746279.932190.8617.1091.61836.51912.6234.06210.359
Voorraad 59.47153.63389.675111.124141.699188.845164.156217.348269.032322.641315.475234.335387.952362.216266.601187.255172.138167.933137.161118.62564.923136.317192.423217.721189.58220.782203.089180.721217.408171.354
Overige vlottende activa 62.469124.43275.973188.825109.50873.51422.41965.54997.77661.02393.1540231.265166.506153.898122.135223.874152.404113.889213.456187.754343.58876.479139.651273.168343.723400.084128.27478.50847.718
Totaal vlottende activa 377.956404.5493.271760.424828.006739.254680.232626.323754.929761.639640.902726.648665.159664.953559.586413.524454.589416.862355.414576.896735.689712.116795.872912.221954.096718.527839.601324.774304.635252.535
Niet-vlottende activa:
Materiële vaste activa, netto 236.207247.02264.686281.107211.072116.209129.768138.484148.674159.638165.367174.892172.708167.409163.966166.496174.381181.013234.385123.649113.352398.214474.759445.652431.386459.99477.451394.081180.649151.536
Goodwill 0000000003.38818.38834.388000000000000000000
Immateriële activa 132.281135.935143.469147.437151.283159.35137.835143.401148.676158.921165.329169.134168.52172.225164.23167.644174.14184.342192.71116.333113.37300.5710.762000000
Goodwill en immateriële activa 132.281135.935143.469147.437151.283159.35137.835143.401148.676162.309183.717203.523168.52172.225164.23167.644174.14184.342192.71116.333113.37300.5710.762000000
Langetermijnbeleggingen 24.28413.244-54.139-84.727-172.006-103.67263.67893.32843.32962.39765.67156.36327.46300061.09329.15224.98112.341182.89206.209206.27494.154-40.0569.2830000
Belastingvorderingen 3.2475.913.224.4384.6539.26117.73925.42325.75226.11426.28124.05926.24626.09330.10832.63235.10132.3419.31052.73703047.62000000
Overige niet-vlottende activa 122.83134.585125.406157.933258.801182.64711.73811.73836.96511.73828.8631.2336.664.84866.77189.10743.43876.6894022.0273030.07300.116174.92853.0450.3040.3867.332.164
Totaal niet-vlottende activa 518.848536.694482.642506.188453.803363.795360.757412.372403.397422.196469.898460.067431.537430.575425.075455.88488.153503.537501.385274.349492.351634.492741.604588.304566.264582.318477.755394.468187.979153.7
Totaal activa 896.804941.194975.9131,266.6121,281.8091,103.0481,040.9891,038.6951,158.3261,183.8361,110.81,186.7151,096.6961,095.528984.661869.403942.742920.399856.8851.2451,228.041,346.6091,537.4761,500.5251,520.3611,300.8461,317.356719.241492.614406.236
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 62.67568.19999.02890.81463.16183.05969.654107.732112.61155.22110.10684.67321.555143.49359.91440.30642.16249.16850.14955.24549.99932.61726.01423.98518.926.04189.96371.05244.27930.476
Kortlopende schulden 80.0852.541402425010292847455542.67520038.79826.52739.77936.443214.616375.64324.118136.086120.586188.853194.9125.97100.61567.114
Belastingschulden 5.0222.9626.19515.4052.5493.4721716.84623.55431.44723.87844.2279.0546.0693.20710.9388.0489.7243.228-5.167-0.9024.8814.54619.19124.69712.94716.81817.2439.6336.112
Uitgestelde opbrengsten 096.44140.312308.599264.13495.21617142.357154.958129.806133.153125.545100.87162.9990044.70665.78865.44836.88323.91855.37742.7369.056138.82870.90385.57143.73536.4740.073
Overige kortlopende verplichtingen 195.32984.277170.369181.8613.784238.724230.394201.19149.203143.82312.751188.049438.248185.826232.79140.547173.818168.339147.938109.36771.12115.982117.02591.927165.044121.14108.81761.71661.39267.7
Totaal kortlopende verplichtingen 343.106304.421355.904430.315358.628325.255344.048354.77368.325377.491324.888371.949406.075387.388295.911191.291262.827253.758237.828195.886334.832529.121462.66271.189328.303348.981410.497275.981215.92171.403
Langlopende verplichtingen:
Langetermijnschulden 75.67292.62710712012025000028.00328.00328.00331.00322.86724.97930.18330.28333.651.651.65014.515.71.202099.690.76667.73
Uitgestelde opbrengsten niet-vlottend 2.3894.8874.8197.62913.8914.7351.5012.1344.4366.8359.8430000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 4.9436.228.05116.55132.19128.003-29.504-28.0030-28.00300000001.507000000000000
Overige niet-vlottende verplichtingen 60.45467.51484.10353.56557.88915.36529.50428.00328.00328.003014.27116.08125.62523.42614.915.247.690.25500000000000.692
Totaal niet-vlottende verplichtingen 143.458171.248203.974197.744210.0883.10329.50430.13732.43934.83837.84642.27444.08456.62846.29339.87945.42339.4833.651.651.65014.515.71.202099.690.76668.422
Totaal passiva 486.564475.668559.878628.059568.708408.358373.553384.907400.764412.329362.735414.223450.159444.016342.205231.17308.25293.238271.478197.536336.482529.121477.16286.889329.503348.981430.497375.581306.685239.824
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 402.111402.111402.111402.111402.111402.111402.111402.111402.111402.111402.111402.111402.111402.111402.111402.111402.111402.111402.111438.9438.9438.9438.9438.9438.9413.431822489.93990.979
Ingehouden winsten -171.736-122.4-143.42365.036135.445111.172.89251.423137.992134.544126.359149.65475.77180.31976.02772.71267.14959.42412.3554.746-251.402-259.48-28.127121.854108.177109.27985.8240.32376.05760.766
Overige gereserveerde algehele resultaten 0041.13941.13940.96232.07432.07425.93420.94320.9430-0000000000000000000
Overige totale aandeelhoudersvermogen 184.041184.041184.041142.901142.901174.975243.333168.835142.901142.901173.244105.612144.693124.492105.424128.81124.492125.313156.06185.708637.649637.571652.438647.936668.821429.281513.628167.72119.93414.666
Totaal eigen vermogen van aandeelhouders 414.415463.752442.728651.188721.418688.186649.978622.369703.947700.499681.947705.242603.072606.922602.63599.315593.752585.201544.158629.354825.147816.9911,055.9911,206.5331,187.119951.864886.858343.66185.929166.411
Totaal eigen vermogen 410.24465.526416.035638.552713.101694.691667.437653.788757.562771.507748.066772.492646.537651.511642.457638.233634.491627.162585.322653.709891.558817.4881,060.3161,213.6361,190.857951.864886.858343.66185.929166.411
Totaal passiva en aandeelhoudersvermogen 896.804941.194975.9131,266.6121,281.8091,103.0481,040.9891,038.6951,158.3261,183.8361,110.81,186.7151,096.6961,095.528984.661869.403942.742920.399856.8851.2451,228.041,346.6091,537.4761,500.5251,520.3611,300.8461,317.356719.241492.614406.236