CCS Supply Chain Management Co., Ltd.

SSE:600180.SS

4.54 (CNY) • At close April 21, 2025
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,820.6653,618.3074,641.9424,358.3195,216.9344,395.2043,310.2633,544.7141,682.7391,079.9221,207.285820.1642.2817.0060120.3418.225112.188340.021376.619444.103309.406213.228342.08464.31663.02120.76110.48.148
Kortetermijnbeleggingen 4.2034.90516.921.51826.1879.92627.85163.29741.5192.7610.787000050000.30000020000
Liquide middelen en kortetermijnbeleggingen 3,824.8683,623.2124,658.8614,359.8375,243.1214,405.133,338.1143,608.0111,724.2591,082.6831,208.073820.1642.2817.0060170.3418.225112.188340.321376.619444.103309.406213.228342.08466.31663.02120.76110.48.148
Nettovorderingen 11,093.63411,386.45811,210.339,775.1917,967.3855,653.2776,022.7343,854.8581,503.4051,108.1942,247.988591.32600000808.52452.803248.42207.141196.929151.55911.78416.8245.6232.46500
Voorraad 872.275298.085363.819941.953882.205958.6641,428.85386.131261.832712.897239.933211.53000072.868200.144234.322311.923165.722157.861147.378103.599126.83440.99523.03329.41312.512
Overige vlottende activa 762.0271,429.1691,735.1634,396.6513,057.9173,248.8553,491.0721,189.311,574.877735.5951,790.374391.864367.25300141.00871.1242.487172.41165.108130.23172.07824.365158.069116.082123.05963.24747.61217.311
Totaal vlottende activa 16,552.80416,167.79217,584.45319,039.19415,875.86518,484.9419,869.13615,038.58810,322.4496,975.155,873.0332,014.8832.2817.0060311.3491,360.3531,448.5811,035.2181,179.272947.197736.274524.29615.536326.057232.698107.0487.42537.972
Niet-vlottende activa:
Materiële vaste activa, netto 630.15447.30132.51217.74817.27413.71813.64619.96625.77626.54111.9410.4020000555.781628.5680.131594.507552.914421.363285.159201.672167.338148.66987.10376.39573.737
Goodwill 00000000000000000000000000000
Immateriële activa 65.39633.0538.42743.07943.24533.59816.48113.9813.2050.067150.650.0130000108.82778.91483.9388.94594.239100.03134.83538.2631.4741.514000
Goodwill en immateriële activa 65.39633.0538.42743.07943.24533.59816.48113.9813.2050.067150.650.0130000108.82778.91483.9388.94594.239100.03134.83538.2631.4741.514000
Langetermijnbeleggingen 12,953.82213,765.1359,911.2499,215.5976,632.4522,033.2031,194.4271,103.7851,062.702965.226584.80710.4150002800064.2980000064.0370000
Belastingvorderingen 96.23575.28.40536.48218.57820.91634.14637.80912.73617.7018.0570.16800000000000000000
Overige niet-vlottende activa 60.5425.15717.5492.52526.60412.94631.946160.57943.4143.1861.271-10.415166.887166.887166.8875071.62976.33420.71375.403104.853103.356173.4380.60614.4228.517000
Totaal niet-vlottende activa 13,806.14514,325.84210,008.1429,315.4316,738.1542,114.3811,290.6461,336.121,147.8331,012.722756.72510.583166.887166.887166.887330736.237783.748849.071758.855752.006624.75493.424320.54247.269178.787.10376.39573.737
Totaal activa 30,358.94930,493.63527,592.59528,354.62522,614.01920,599.3221,159.78216,374.70811,470.2827,987.8716,629.7582,025.467169.168173.893166.887641.3492,096.592,232.3291,884.2881,938.1281,699.2031,361.0241,017.714936.076573.326411.398194.144163.82111.708
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 9,573.83516,784.84212,776.87815,155.6474,733.1785,529.07586.5871,963.112,885.7921,298.0961,477.555522.703129.44000160.958107.016117.034152.15677.27690.93444.489.06659.4364.83913.33327.50320.432
Kortlopende schulden 9,315.7451,841.1962,613.526709.7818,139.9756,685.1234,660.573,391.9342,155.0241,051.9961,052.5440.4320000852.341,138.889853.466518.004540.068210.068124.694131.56491.73435.02435.43920.23710.267
Belastingschulden 51.744137.866210.24391.56377.327102.596150.382213.399168.85892.45558.59942.1670.0020.01300-11.343-17.91-13.508-25.096-32.071-29.389-12.918-6.433-0.3226.1631.10500
Uitgestelde opbrengsten 0227.0382,935.1092,116.0881,979.61102.5963,300.9051,543.3212,136.7782,520.2632,161.52156.9970000719.135100.78266.09664.9328.37551.51625.2185.748.27413.54415.60710.6780
Overige kortlopende verplichtingen 3,046.8591,135.9171,718.38194.7764,695.8171,598.1357,297.4951,744.622,126.5972,553.2222,274.51526.078-124.3166.3560.288311.349795.049172.194292.337123.35647.423102.15858.47352.43710.0778.43515.34719.0746.324
Totaal kortlopende verplichtingen 21,988.18322,526.30820,584.50521,916.11416,423.08613,914.92812,583.4747,313.0637,336.2714,995.774,863.209780.5165.1266.3690.288311.3491,797.0041,374.695840.281768.419632.697373.771214.728165.688160.92654.46165.22466.81437.023
Langlopende verplichtingen:
Langetermijnschulden 356.016361.939142.698306.9080971.083,335.44,430.5610833.6990000002.6342.5560119.062848402.42.42.4021.58525.448
Uitgestelde opbrengsten niet-vlottend 0003000-971.08-3,335.4-4,430.5610-833.69920000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 69.93175.0958.3949.87501.5776.8722.0661.480.2440.164000000000000000000
Overige niet-vlottende verplichtingen 00000000000000000.930.933.3083.230.2500000000
Totaal niet-vlottende verplichtingen 425.947437.034151.092309.8750972.6573,342.2714,432.6281.48833.94320.164000003.5643.4863.308122.29284.258402.42.42.4021.58525.448
Totaal passiva 22,414.1322,963.34220,735.59722,225.98916,423.08614,887.58615,925.74611,745.6917,337.7515,829.7134,883.373780.5165.1266.3690.288311.3491,800.5681,378.181843.589890.711716.947457.771214.728168.088163.32656.86165.22488.39962.47
Eigen vermogen:
Preferente aandelen 0000000001.3830000000000000000000
Gewone aandelen 1,086.6271,051.9021,016.4771,016.4771,016.4771,016.4771,016.4771,016.4771,017.407878.264872.224869.124250.99250.99250.99250.99250.99250.99250.99250.99250.99250.99250.99209.158190.41198775.42149.238
Ingehouden winsten 4,495.9884,342.5264,067.363,266.2853,241.5443,014.8022,659.382,004.5011,533.6891,109.182821.992363.364-511.059-507.577-508.503-345.101-448.291103.732268.913283.04225.898162.528149.54122.84467.77355.1718.30600
Overige gereserveerde algehele resultaten 0485.548282.942375.333447.983253.12784.817134.857103.405-1.3830000000000000000000
Overige totale aandeelhoudersvermogen 2,318.0851,627.381,761.3291,835.8331,460.4991,423.4091,470.0141,608.8911,602.70159.18351.99612.274-769.927365.064424.111587.225365.064507.304490.055434.376425.294463.478408.94473.453151.827185.14633.61400
Totaal eigen vermogen van aandeelhouders 7,900.77,507.3566,845.1666,118.5956,166.5045,707.8155,230.6884,625.8494,127.0362,159.0971,746.2121,244.762164.042167.524166.599330226.81782.613960.558968.406902.183826.798801.974767.305410354.538128.9275.42149.238
Totaal eigen vermogen 7,944.8197,530.2936,856.9996,128.6366,190.9335,711.7345,234.0364,629.0174,132.5312,158.1581,746.3851,244.951164.042167.524166.599330296.022854.1481,040.71,047.417982.256903.253802.986767.988410354.538128.9275.42149.238
Totaal passiva en aandeelhoudersvermogen 30,358.94930,493.63527,592.59528,354.62522,614.01920,599.3221,159.78216,374.70811,470.2827,987.8716,629.7582,025.467169.168173.893166.887641.3492,096.592,232.3291,884.2881,938.1281,699.2031,361.0241,017.714936.076573.326411.398194.144163.82111.708