COSCO SHIPPING Specialized Carriers Co.,Ltd.

SSE:600428.SS

5.84 (CNY) • At close April 18, 2025
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,880.6321,481.547997.0531,914.0251,513.789902.1951,080.2711,443.7161,386.6951,351.2262,064.832,058.1313,813.733,764.6612,876.5782,293.2712,704.466920.965791.058550.678522.649235.439798.76982.4967.36223.68
Kortetermijnbeleggingen 2,661.0250-692.326-744.825-241.485132.113-223.276-223.625-265.643-257.838-256.529-271.017-595.55357.241.241.241.241.20006.530.1641.79500
Liquide middelen en kortetermijnbeleggingen 2,880.6321,481.547997.0531,914.0251,513.789902.1951,080.2711,443.7161,386.6951,351.2262,064.832,058.1313,813.733,764.6612,876.5782,293.2712,704.466920.965791.058550.678522.649241.939828.93384.28467.36223.68
Nettovorderingen 0874.1451,326.0181,043.576608.1091,011.734758.271452.706585.069510.639466.39402.449533.2290000000000000
Voorraad 873.279676.143681.354454.501344.813372.162394.566259.422207.549183.49317.607279.842265.755228.396138.437125.479142.971135.027231.649191.5172.01758.85739.94430.82740.29836.189
Overige vlottende activa 3,039.591,370.7361,124.726138.274116.949720.662895.618739.821841.402620.931832.09584.5711,020.571184.261141.928125.408164.338166.42424564.8154.08130.28719.68712.44827.703140.369
Totaal vlottende activa 6,793.5014,402.5724,129.1514,486.3983,313.9953,168.5793,128.0012,895.6663,165.612,666.2863,680.9173,324.9934,871.7554,445.9733,320.2082,671.1623,189.1961,456.5581,289.425910.045788.123331.083888.564127.559135.363200.238
Niet-vlottende activa:
Materiële vaste activa, netto 23,911.30818,340.79217,014.615,374.76615,485.15416,496.61216,688.89116,438.88716,313.62113,519.77312,655.78812,879.5059,507.8818,554.2416,693.6814,598.5993,886.7033,503.1972,855.2922,869.2322,334.4751,311.962765.189399.379445.599497.58
Goodwill 00000000000000000000000000
Immateriële activa 97.951105.55397.028101.645309.312361.094413.813420.873260.068268.607275.973283.0994.2794.8125.7822.9023.1221.4261.0760.1690.1920.2150000
Goodwill en immateriële activa 97.951105.55397.028101.645309.312361.094413.813420.873260.068268.607275.973283.0994.2794.8125.7822.9023.1221.4261.0760.1690.1920.2150000
Langetermijnbeleggingen 04,159.6863,797.2892,784.7042,324.7171,741.0441,349.2341,410.291,488.9151,416.9261,199.322961.863657.8310000000000000
Belastingvorderingen 695.897388.959190.852182.299135.38139.62756.56848.62261.91671.46879.00466.359.9959.82258.82514.3634.4451.36300000000
Overige niet-vlottende activa 3,429.988168.1394.844.6277.972342.17829.91336.4340.0180.0180.0175.15-595.55357.241.241.241.241.241.241.204.7162.35702.8782.846
Totaal niet-vlottende activa 28,135.14523,163.12921,104.60818,448.04218,262.53519,080.55518,538.4218,355.10518,124.53815,276.79214,210.10314,195.9179,634.4288,676.0746,799.4884,657.0653,935.473,547.1862,897.5672,910.6012,334.6661,316.893767.546399.379448.478500.426
Totaal activa 34,928.64527,565.70125,233.75922,934.43921,576.5322,249.13421,666.42121,250.77121,290.14817,943.07817,891.0217,520.9114,506.18313,122.04710,119.6967,328.2287,124.6665,003.7444,186.9923,820.6463,122.7891,647.9761,656.111526.938583.841700.664
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,438.1371,912.0231,994.8331,703.3721,309.911,861.0181,914.0991,816.2181,843.4861,559.2391,464.8951,362.4281,231.848667.262545.957523.697552.336592.493499.638137.717174.87242.87629.25730.09732.22520.813
Kortlopende schulden 265.061691.0962,127.4881,247.9431,440.591500650811.4212,087.6032,267.6412,123.8022,840.4661,005.681,444.0381,092.746498.459136.692007.24700020300
Belastingschulden 221.79343.46167.46104.6963.88352.28317.7569.04812.66915.73327.62720.39524.42773.556122.1275.516113.247150.17399.719152.585137.38426.3976.7456.4530.3150.817
Uitgestelde opbrengsten 00351.9451,080.869740.821828.80217.756548.752653.542675.752807.0971,690.771506.919436.467504.875265.588322.185303.19513.37578.09600085.943117.5980
Overige kortlopende verplichtingen 5,115.192,519.8471,276.2111,640.086813.6682,656.9012,673.318318.693953.696928.108991.04110.2561,683.324444.748664.388417.034431.976332.483443.92731.211460.783121.671262.849109.975154.52284.589
Totaal kortlopende verplichtingen 8,040.1815,166.4265,817.9385,776.9594,368.8725,899.0045,255.1733,504.1324,897.4544,770.7224,607.3646,024.3153,008.1562,629.6032,425.2181,444.7061,234.2511,075.1491,043.2771,028.761773.039190.944298.852166.525217.062106.22
Langlopende verplichtingen:
Langetermijnschulden 10,934.9528,918.5137,086.1615,871.4986,362.4884,845.1065,295.4486,824.4695,503.0334,914.1845,348.3684,735.8276,144.1073,770.8972,863.9661,336.4831,164.769362.311488.061626.819519.21500041.441286.493
Uitgestelde opbrengsten niet-vlottend 132.151151.4640.2430.3550.7790.8820.8560.7240.8150.636-4,216.211-4,735.827-4,775.275-3,770.897-2,863.966-1,336.483-1,164.769-362.31100000000
Uitgestelde belastingverplichtingen niet-vlottend 845.153605.724387.656378.144358.867508.351401.95380.056324.975314.683197.565199.85777.00774.971273.375276.525274.508157.38600000000
Overige niet-vlottende verplichtingen 1,186.2981,315.6731,340.6341,254.3511,281.8481,334.591,127.6681,032.2221,144.1021,199.4511,132.1570244.0520000000000000
Totaal niet-vlottende verplichtingen 13,098.55410,839.918,701.3747,504.3487,644.3296,688.9296,825.9228,236.7466,972.9256,428.9546,678.094,935.6844,852.2823,845.8693,137.3411,613.0081,439.277519.698488.061626.819519.21500041.441286.493
Totaal passiva 21,138.73615,978.75314,519.31213,281.30712,013.20112,587.93312,081.09511,740.87811,870.3811,199.67611,285.45410,959.9997,860.4386,475.4725,562.5593,057.7142,673.5281,594.8471,531.3381,655.581,292.254190.944298.852166.525258.502392.713
Eigen vermogen:
Preferente aandelen 0000000000435.45283.63800000000000000
Gewone aandelen 2,146.6512,146.6512,146.6512,146.6512,146.6512,146.6512,146.6512,146.6512,146.6511,690.4461,690.4461,690.4461,690.4461,690.4461,310.4241,310.4241,310.4655.2655.2655.2468360360230230230
Ingehouden winsten 5,294.6494,342.473,638.72,990.542,801.3572,675.8962,583.4452,546.1542,330.1622,306.8042,215.082,020.4151,795.7931,826.4441,771.0371,443.9441,577.2271,547.169926.414566.539388.37387.92438.23418.971.030
Overige gereserveerde algehele resultaten 0772.09622.244212.888317.146541.99570.334532.865608.938414.587-435.45-283.63800000000000000
Overige totale aandeelhoudersvermogen 5,140.9964,277.644,277.644,277.644,277.045,149.3625,134.4925,128.6494,281.452,254.3553,058.4021,970.7175,265.763,080.8521,588.5521,479.0091,574.0941,176.9171,024.964900.452950.471983.9981,005.825111.44394.30877.951
Totaal eigen vermogen van aandeelhouders 12,582.29611,538.85110,685.2359,627.7199,542.7949,642.1779,578.079,503.319,367.26,666.1926,528.4796,482.4656,577.5256,597.7434,523.4284,233.3764,366.1763,338.1182,602.1172,121.5831,806.8441,431.9221,357.259360.413325.338307.951
Totaal eigen vermogen 13,789.9111,586.94810,714.4479,653.1329,563.3299,661.2019,585.3269,509.8939,419.7696,743.4026,605.5666,560.9116,645.7456,646.5754,557.1374,270.5144,451.1383,408.8982,655.6552,165.0661,830.5351,457.0311,357.259360.413325.338307.951
Totaal passiva en aandeelhoudersvermogen 34,928.64527,565.70125,233.75922,934.43921,576.5322,249.13421,666.42121,250.77121,290.14817,943.07817,891.0217,520.9114,506.18313,122.04710,119.6967,328.2287,124.6665,003.7444,186.9923,820.6463,122.7891,647.9761,656.111526.938583.841700.664