Jiangsu Hongdou Industrial Co., Ltd

SSE:600400.SS

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

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,183.5631,418.341962.951997.2851,038.5891,118.795979.161,460.6631,484.903789.593143.694728.398451.078426.065439.184726.213496.435677.733406.961604.151598.208223.18304.965394.121407.47526.9972.5717.441
Kortetermijnbeleggingen 1,087.1820-107.00345.50897.26641.0752,170.696-84.693-1,026.033826.4870000000.616000001.58100000
Liquide middelen en kortetermijnbeleggingen 1,183.5631,418.341962.9511,042.7941,135.8481,759.871979.161,460.6631,484.903789.593143.694728.398451.078426.065439.184726.213497.051677.733406.961604.151598.208223.18306.546394.121407.47526.9972.5717.441
Nettovorderingen 553.695595.644721.132565.174386.554400.669354.474178.112150.545203.703218.783456.362412.5790000064.73620.517-13.400.08378.75300.960.68615.599
Voorraad 307.284326.329152.453113.737124.659209.228273.072233.8524,541.9873,501.8933,907.9734,280.5554,259.163,636.5872,662.9061,726.9781,432.7131,420.2731,301.51,022.248675.37531.19341.309114.83398.2676.07753.29983.618
Overige vlottende activa 76.852136.19688.162109.02768.30741.286949.3851,043.1081,107.028140.752146.589126.493223.93887.777274.064470.28834.832796.799279.087198.216426.736161.016114.12267.64391.91116.20185.37368.811
Totaal vlottende activa 2,121.3952,476.511,924.6991,830.7321,724.3292,411.0532,556.0912,930.4167,360.9794,688.254,422.1585,591.8085,257.9994,473.8033,665.9783,260.9852,764.5962,894.8042,046.4031,845.1321,700.315915.386761.977576.632597.645220.235141.928175.356
Niet-vlottende activa:
Materiële vaste activa, netto 678.9161,048.47859.355847.716451.482593.095510.448435.372421.682434.8412.359438.287565.58578.613575.962564.701545.065587.621623.103566.184509.584491.343357.903157.742100.55264.42961.51762.456
Goodwill 0000000000000000000000000000
Immateriële activa 74.619131.658145.134135.629145.294179.432134.005100.669102.055105.317103.97113.578114.144117.335118.54566.79650.89252.20453.45454.78256.09157.08817.9418.32218.704000
Goodwill en immateriële activa 74.619131.658145.134135.629145.294179.432134.005100.669102.055105.317103.97113.578114.144117.335118.54566.79650.89252.20453.45454.78256.09157.08817.9418.32218.704000
Langetermijnbeleggingen 01,319.2441,519.8051,626.8291,840.3051,420.371-01,891.8671,857.416-0271.504262.313275.087000106.335000007.61800000
Belastingvorderingen 254.614225.236235.178227.115194.743157.79610.9935.8688.3398.224.1736.3255.1683.7197.6326.6777.8547.04900005.84100000
Overige niet-vlottende activa 1,248.36366.27552.781224.475308.787730.762,271.69485.07892.7231,518.528574.602584.165613.439910.449855.449360.984191.0473.0697.90610.82512.82213.8273.25914.2980000
Totaal niet-vlottende activa 2,256.5132,790.8842,812.2543,061.7632,940.613,081.4532,927.142,518.8542,482.2152,066.8651,366.6081,404.6681,573.4181,610.1161,557.588999.157901.192649.943684.463631.791578.497562.258392.562190.362119.25664.42961.51762.456
Totaal activa 4,377.9085,267.3944,736.9524,892.4954,664.9395,492.5065,483.2315,449.279,843.1936,755.1165,788.7666,996.4766,831.4166,083.9195,223.5664,260.1423,665.7883,544.7472,730.8662,476.9232,278.8111,477.6441,154.539766.994716.901284.665203.445237.811
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 598.603534.98748.306481.092447.387503.786639.136469.436809.016920.711820.299765.12315.113459.626497.625169.301216.184259.696195.577191.674128.855129.317113.296100.03966.48644.69826.08932.515
Kortlopende schulden 530.446571.185368.482386.565181.17500.684600.85770.041392.2255657.2688668.8766.111478.306463.5469.1844855850839527327301520.17.829.05
Belastingschulden 18.75110.59529.89742.15519.19930.99343.20448.9978.99774.14438.314-82.814-29.4217.712-20.477-22.32435.08993.27265.54143.0898.93928.93423.4329.4913.88913.5962.3425.545
Uitgestelde opbrengsten 0013.673211.236203.808177.52443.204222.951,940.457582.728377.624396.5651,254.4471,361.89781.422130.838241.132367.894272.666198.193233.315151.27680.158052.56267.64433.50968.348
Overige kortlopende verplichtingen 363.174747.969317.358108.202162.085167.145108.219178.0663,130.3761,909.929863.943,258.9632,478.8321,704.4391,361.7311,227.683465.448495.931377.033345.845528.848196.42479.78776.81784.32767.17936.21278.547
Totaal kortlopende verplichtingen 1,510.9731,864.731,464.0421,229.25795.3171,202.6081,434.62848.7174,410.5893,159.7842,757.3774,629.2693,433.3242,937.8882,292.4491,837.6271,185.9011,296.8991,196.151,088.6081,061.642627.675489.515186.345179.702145.57372.463125.656
Langlopende verplichtingen:
Langetermijnschulden 256.971367.366206.528317.4980000962.21,0521,294.05685.391,736.8281,511.2281,337.391,056.7411,134.57934.5209.48181.4869.91360000000
Uitgestelde opbrengsten niet-vlottend 7.26221.27712.3456.193.740.0670.0830.10.1170.1330.1500000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.1671.4477.67386.692111.9151.9956.9280-962.2-1,052-1,294.0500000000000000000
Overige niet-vlottende verplichtingen 000088.4760-56.845000.133004.7425.90500000000000000
Totaal niet-vlottende verplichtingen 264.4390.09226.546410.381115.64152.0570.0830.1962.3171,052.1331,294.2686.7631,741.571,517.1331,337.391,056.7411,134.57934.5209.48181.4869.91360000000
Totaal passiva 1,775.3732,254.821,690.5881,639.631910.9571,354.6641,434.704848.8175,372.9064,211.9174,051.5775,316.0325,174.8944,455.0223,629.8392,894.3692,320.4712,231.3991,405.631,270.0881,131.555687.675489.515186.345179.702145.57372.463125.656
Eigen vermogen:
Preferente aandelen 00226.167152.84657.96200000000000000000000000
Gewone aandelen 2,296.5722,300.2522,303.0222,291.3722,533.2572,533.2572,533.2571,809.4691,644.972711.85560.4560.4560.4560.4431.077431.077431.077431.077391.888301.452215.323179.523179.523179.523179.523129.523129.523100
Ingehouden winsten 507.093752.411795.228893.5821,071.0841,053.131872.7021,050.115674.771570.655521.128476.329442.201431.281423.573376.433363.719338.19310.594268.025229.53171.585106.70666.06532.9110.567-1.2754.482
Overige gereserveerde algehele resultaten 0-210.975-226.167-152.846-57.962121.835423.229201.424139.873131.783000000000000000000
Overige totale aandeelhoudersvermogen -259.975112.401-110.802-49.947-69.356267.417152.061,675.9211,638.829796.608363.961360.038357.351347.805469.154473.632461.048457.938450.818533.968608.304356.087361.074335.061325.2669.0022.7347.673
Totaal eigen vermogen van aandeelhouders 2,543.692,954.0892,987.4473,135.0083,592.9473,975.643,981.2484,535.344,098.4452,188.0441,445.4891,396.7671,359.9521,338.3421,323.8041,273.0181,255.8441,223.8941,153.2991,103.4451,053.157707.196629.35580.649537.198139.092130.982112.155
Totaal eigen vermogen 2,602.5353,012.5743,046.3643,252.8643,753.9824,137.8424,048.5274,600.4534,470.2882,543.1981,737.1891,680.4441,656.5221,628.8971,593.7271,365.7741,345.3161,313.3481,325.2361,206.8351,147.256789.968665.023580.649537.198139.092130.982112.155
Totaal passiva en aandeelhoudersvermogen 4,377.9085,267.3944,736.9524,892.4954,664.9395,492.5065,483.2315,449.279,843.1936,755.1165,788.7666,996.4766,831.4166,083.9195,223.5664,260.1423,665.7883,544.7472,730.8662,476.9232,278.8111,477.6441,154.539766.994716.901284.665203.445237.811