WuHan Yangtze Communication Industry GroupCo.,Ltd

SSE:600345.SS

24.41 (CNY) • At close May 9, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 959.101965.662136.374219.148244.186199.77308.541260.38300.845281.822384.615381.225427.431337.921701.081645.357558.164540.871417.069331.59307.582367.707354.88247.415414.97194.53586.39483.699
Kortetermijnbeleggingen 2,198.9330-15.012-9.7-10.055-10.41-8.502-8.78678.141.8060552.1510000-0.055-0.0940.4723.8932.4240.53.8141000000
Liquide middelen en kortetermijnbeleggingen 959.101965.662136.374219.148244.186199.77308.541260.38300.845323.629384.615381.225427.431337.921701.081645.357558.164540.871417.541335.483310.006368.207358.693347.415414.97194.53586.39483.699
Nettovorderingen 701.048560.6270144.633122.095121.42271.6595.675151.933235.772291.131639.346362.827437.867307.076130.517150.014124.332171.994155.768244.13200011.2889.40910.7898.665
Voorraad 296.945288.45221.2315.6527.99217.50913.12419.23523.79763.28199.253227.052261.938306.012201.59482.067107.93592.118120.022148.4190.2698.3464.856130.68450.03760.8989.2998.521
Overige vlottende activa 91.94555.144014.68816.19218.21611.31410.17117.881109.25746.597646.06558.89346.72756.17520.57747.751104.26487.054122.76540.615296.974337.802285.907221.681229.444268.33201.603
Totaal vlottende activa 2,049.0391,869.884387.608394.121390.466356.917404.629385.461594.456731.939821.5971,253.1261,103.5281,128.5281,264.446878.518871.303861.222790.099762.416785.014763.522758.371764.006692.309385.779444.786384.633
Niet-vlottende activa:
Materiële vaste activa, netto 331.896261.936158.85560.4438.38439.96832.47933.29945.03450.59457.188106.477131.353134.86133.599100.325134.893158.57228.474232.875213.46351.83585.96953.67261.50269.42676.16667.612
Goodwill 0000000000.4680.4680.46831.25240.45441.3171.3310.4680.4680000000000
Immateriële activa 29.88529.99230.96132.01833.19632.89632.09934.5855.28867.05276.48359.83265.59863.96361.3719.159.9719.93721.9131.96724.83926.21529.64221.35717.77818.59724.19930.916
Goodwill en immateriële activa 29.88529.99230.96132.01833.19632.89632.09934.5855.28867.5276.95160.396.85104.417102.68710.48110.43820.40421.9131.96724.83926.21529.64221.35717.77818.59724.19930.916
Langetermijnbeleggingen 02,236.2181,906.6781,830.2421,715.6041,662.0981,542.6081,254.833942.697771.032703.483-0649.31700560.971570.655531.724583.993554.91559.189562.255528.969392.3130000
Belastingvorderingen 16.40315.239-1,906.678-1,830.242-1,715.6041.4182.4347.55817.05513.1528.0696.3038.9229.79712.8377.7156.9048.27400006.581102.6010000
Overige niet-vlottende activa 2,241.70923.6211,906.6781,831.4591,716.8211.2171.2171.217042.0980.708553.8715.283628.591523.97828.2223.3773.9140.9854.7383.831.7570.0060.006312.47550.42550.48650.551
Totaal niet-vlottende activa 2,619.8922,567.0062,096.4941,923.9171,788.4011,737.5971,610.8371,331.4861,060.074944.396846.399726.95891.725877.665773.102707.713726.267722.887835.363824.491801.32642.061651.167569.949391.754138.447150.851149.079
Totaal activa 4,668.9324,436.892,484.1022,318.0382,178.8672,094.5142,015.4661,716.9471,654.531,676.3361,667.9961,980.0761,995.2532,006.1932,037.5481,586.2311,597.571,584.111,625.4611,586.9061,586.3341,405.5831,409.5381,333.9551,084.064524.226595.637533.712
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 758.337620.273484.002124.69376.75341.74446.39568.61181.11777.46186.721199.591180.648170.489246.10462.31399.43382.412141.5245.525155.125114.21693.538139.479115.185114.596151.024147.645
Kortlopende schulden 1023.00230.0513155.949.1137.67444.326486760259.175230.197187.691250230220238290236.24239.235198.318192.528136.90259.278122.539158.385134.685
Belastingschulden 67.3570.0053.855.7069.376.4114.317.10112.0396.72114.82213.02215.41211.6878.9159.8842.99712.396-0.5444.932-0.4543.3097.2962.35810.279.1492.8672.698
Uitgestelde opbrengsten 001.4632.36732.0526.2184.3127.64979.44864.13769.75298.799100.8384.254110.71466.92158.64776.93967.44390.22476.58758.995115.67671.16262.60864.27374.8738.551
Overige kortlopende verplichtingen 204.079300.969-235.3775.6450.06133.17119.15328.5690.78214.941116.172239.209136.72257.624177.022143.744194.997128.01128.675282.634143.9196.661127.34396.36970.02167.04390.23656.239
Totaal kortlopende verplichtingen 1,039.773944.248282.526199.411174.092130.436107.532148.598231.938230.259277.715710.997562.979627.491682.041445.941517.427460.818559.655529.332537.816412.504420.705370.699254.754313.327402.512341.267
Langlopende verplichtingen:
Langetermijnschulden 84.96561.4725.8342.15200000000000005000000.550.5515.869012.55222.738
Uitgestelde opbrengsten niet-vlottend 4.514.7354.800.50002.5116.4385.688000000-500000000000
Uitgestelde belastingverplichtingen niet-vlottend 6.1786.1786.1786.1786.1786.1786.1786.1788.1279.39110.5426.1787.8374.6800.761.2720.7350000000000
Overige niet-vlottende verplichtingen 005.75000.7630000001.751.4250.92500.42-8.27400.250.4740.175000-5.21202.455
Totaal niet-vlottende verplichtingen 95.65472.38511.858.3316.6786.9416.1786.17810.63715.82916.2310.3039.5876.1050.9250.761.69250.7350.30.250.4740.1750.550.5515.869-5.21212.55225.193
Totaal passiva 1,135.4271,016.634294.376207.742180.771137.377113.71154.776242.575246.088293.945721.3572.566633.595682.966446.701519.119511.553559.955529.582538.291412.679421.255371.249270.623308.114415.064366.461
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000
Gewone aandelen 329.612329.612198198198198198198198198198198198198198198198198198198198198198165165120120120
Ingehouden winsten 1,341.8861,213.944946.487805.711743.244698.73679.163573.63392.745354.718318.971277.217405.265365.395328.788285.051249.292250.512229.004225.949227.927224.467218.868255.913184.38420.62-3.118-0.292
Overige gereserveerde algehele resultaten 0982.029742.637803.983938.914757.806721.705482.69402.634395.97336.46818.7820000000000000000
Overige totale aandeelhoudersvermogen 1,862.007894.6711,207.188302.602117.9391,781.345302.693303.956303.956303.956303.956308.051589.408308.051543.529303.639514.333510.447508.807507.058503.103492.132494.1473.569444.71721.54111.3673.844
Totaal eigen vermogen van aandeelhouders 3,533.5053,420.2562,189.7262,110.2961,998.0961,957.1371,901.5621,558.2761,297.3351,252.6471,185.7181,075.7521,192.6731,132.7151,070.3171,008.261957.488958.322935.812931.007929.59914.6904.855891.794750.709162.161128.249123.552
Totaal eigen vermogen 3,533.5053,420.2562,359.3782,110.2961,998.0961,957.1371,901.7561,562.1711,411.9551,430.2471,374.0521,258.7761,422.6871,372.5971,354.5821,139.531,078.4511,072.5561,065.5061,057.3251,048.043992.904988.283962.707813.441216.112180.572167.252
Totaal passiva en aandeelhoudersvermogen 4,668.9324,436.892,484.1022,318.0382,178.8672,094.5142,015.4661,716.9471,654.531,676.3361,667.9961,980.0761,995.2532,006.1932,037.5481,586.2311,597.571,584.111,625.4611,586.9061,586.3341,405.5831,409.5381,333.9551,084.064524.226595.637533.712