Hang Xiao Steel Structure Co., Ltd.

SSE:600477.SS

2.52 (CNY) • At close April 30, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 446.796767.224774.317552.884594.839730.976790.219545.763693.548646.508582.603516.715449.963880.243505.635314.525300.251311.743238.898202.155164.525296.89117.32433.30822.076
Kortetermijnbeleggingen 0.3660-46.931-44.498-67.645-34.655-56.754-27.119-26.095-20.81600018.10500000000000
Liquide middelen en kortetermijnbeleggingen 447.161767.224774.317552.884594.839730.976790.219545.763693.548646.508582.603516.715449.963898.348505.635314.525300.251311.743238.898202.155164.525296.89117.32433.30822.076
Nettovorderingen 9,313.2289,248.2247,818.5436,231.1664,434.291,556.7521,284.5941,224.8651,212.2521,064.91814.238599.729438.048646.649645.56689.721721.776694.135879.877630.273584.829324.383179.89194.859133.553
Voorraad 640.861711.727796.025864.721662.0053,467.9843,019.4643,149.4423,150.6593,448.4913,920.813,807.6713,489.7742,746.1891,468.737955.818933.917888.487344.706262.872191.682196.648113.62640.11631.448
Overige vlottende activa 331.21445.246441.8271,009.82635.97763.583461.617195.82193.164350.94146.235150.041153.45991.7573.026-34.46-54.883-44.0880.004-23.441-18.892-16.472-20.973-9.213-30.16
Totaal vlottende activa 10,732.46111,085.3419,714.1318,283.9656,105.6616,238.3575,540.8015,135.2695,115.9195,391.2175,531.3015,140.3654,608.024,370.6942,692.9591,925.6051,901.0611,850.2771,463.4851,071.86922.144801.45289.868159.07156.918
Niet-vlottende activa:
Materiële vaste activa, netto 3,510.0093,333.4382,234.9821,607.5991,204.8711,163.2151,136.772803.668738.448753.035763.572819.349896.415976.9971,016.2221,088.4361,112.6831,169.8641,254.7611,172.94868.21468.716314.519115.4492.7
Goodwill 0000000000000000000000000
Immateriële activa 787.094833.025597.026429.422304.314172.615149.07119.494121.618125.981129.255132.953104.833107.486110.622115.947118.023113.99332.66925.12227.92821.55510.5022.3342.215
Goodwill en immateriële activa 787.094833.025597.026429.422304.314172.615149.07119.494121.618125.981129.255132.953104.833107.486110.622115.947118.023113.99332.66925.12227.92821.55510.5022.3342.215
Langetermijnbeleggingen 542.51743.646786.816934.203896.585804.269719.217518.844214.55764.7742.500000000000000
Belastingvorderingen 477.848386.848307.963233.53202.833155.248110.88199.1184.61686.383106.275108.191107.64348.21917.52427.40824.75516.6660000000
Overige niet-vlottende activa 489.34635.88290.457265.386250.44249249271.2-0.0151.5952.409000.30512.9160.14622.2781.7751.9322.7345.37-0.848-2.54313.367-2.992
Totaal niet-vlottende activa 5,806.8065,332.8384,217.2443,470.142,859.0432,544.3472,364.9391,812.3151,159.2251,031.7691,004.0111,060.4931,108.8911,133.0061,157.2851,231.9371,277.7391,302.2981,289.3611,200.796901.508489.423322.477131.14291.923
Totaal activa 16,539.26816,418.17913,931.37511,754.1058,964.7048,782.7047,905.7416,947.5846,275.1446,422.9866,535.3126,200.8595,716.9115,503.73,850.2433,157.5423,178.83,152.5752,752.8462,272.6561,823.6521,290.872612.345290.211248.841
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,077.6323,832.613,223.6243,303.0122,582.3781,899.3681,830.2951,735.391,821.0071,694.6561,990.2412,019.1981,712.0421,740.2241,143.55973.571,073.006863.756584.584438.554439.531313.683170.40841.20142.989
Kortlopende schulden 3,979.0153,715.0662,875.6311,761.32829.202-33.9851,149.397712.067899.3471,495.9961,798.7881,851.5251,583.6391,675.68888.7930.2908.29773989.1764.5649.2311.55152.7584.6593.95
Belastingschulden 136.012107.135102.921131.79196.174104.393156.763141.243118.156110.818109.93974.43864.641110.19951.00548.79845.48443.15738.6814.6749.9887.38410.1256.8719.855
Uitgestelde opbrengsten 00790.931762.613539.142258.642156.763288.483243.081282.762270.425239.38154.488318.747157.818122.70577.92282.449114.7992.65256.52336.11353.69833.63536.4
Overige kortlopende verplichtingen 1,338.9971,602.7451,596.905481.245348.312523.731,201.5561,031.074773.294741.226693.276806.727996.913382.483382.779247.116247.988450.98766.15799.15848.64453.53842.96420.71614.917
Totaal kortlopende verplichtingen 9,531.6569,257.5567,799.0816,668.4564,595.9075,063.2584,494.7743,908.2573,854.8854,325.4584,862.6694,991.2694,511.7224,227.3322,623.8522,322.392,352.6912,213.351,793.3111,409.5391,203.887722.268429.945187.074198.111
Langlopende verplichtingen:
Langetermijnschulden 1,343.4231,366.105497.994323.2725.026290070.53073.500.6810.6818310118293.8331.8245.80.6819060300.681
Uitgestelde opbrengsten niet-vlottend 206.692209.368118.58354.53649.13720.05318.4618.86619.27319.6790000-82.319-9.319-117.319-291.0350000000
Uitgestelde belastingverplichtingen niet-vlottend 8.74513.4868.0724.9742.882-2900-20.5500002.7160.3340.6991.1652.3790000000
Overige niet-vlottende verplichtingen 22.958221.281178.57213.45174.28320.0530070.53.1214.56914.56959.04548310118293.80.6810.681011.2190.6810.6810
Totaal niet-vlottende verplichtingen 1,581.8171,600.873684.638450.767126.30249.05318.4618.866139.773102.888.06914.56959.7277.39784.01511.38119.847298.944332.481246.4810.681101.21960.68130.6810.681
Totaal passiva 11,113.47310,858.4298,483.7197,119.2234,722.2095,112.3114,513.2343,927.1233,994.6584,428.2584,950.7385,005.8384,571.4494,234.732,707.8682,333.772,472.5372,512.2942,125.7931,656.021,204.568823.487490.626217.755198.793
Eigen vermogen:
Preferente aandelen 0186.55200000000000000000000000
Gewone aandelen 2,368.9662,369.1112,369.1112,153.7372,153.7372,153.7371,790.1731,374.0311,056.759808.867553.458463.458463.458463.458386.215321.846247.574247.574247.574247.574154.73477.36752.36752.36752.367
Ingehouden winsten 1,741.3211,806.811,627.3371,529.0911,378.189955.6691,044.4151,181.852689.199349.96265.372225.534186.816302.297329.076317.479290.074238.973146.129138.915130.46383.90137.0957.312-3.224
Overige gereserveerde algehele resultaten 0-186.552330.546480.151385.173271.954292.725236.462211.112125.8582.8160.2020000000000000
Overige totale aandeelhoudersvermogen 965.4441,192.1571,165.309619.24522.876114.826110.683103.475211.651371.333351.61599.45293.8496.54589.88783.923101.70994.287151.285145.937220.882276.11317.0674.8830.002
Totaal eigen vermogen van aandeelhouders 5,075.7325,181.5265,072.7344,302.0694,054.8023,494.9163,237.9962,895.822,168.7221,656.0181,173.262788.647744.115862.3805.178723.249639.356580.834544.989532.426506.079437.38106.52964.56249.146
Totaal eigen vermogen 5,425.7945,559.755,447.6564,634.8824,242.4953,670.3933,392.5073,020.4612,280.4861,994.7281,584.5741,195.0211,145.4621,268.971,142.376823.772706.263640.281627.053616.636619.084467.385121.71972.45650.048
Totaal passiva en aandeelhoudersvermogen 16,539.26816,418.17913,931.37511,754.1058,964.7048,782.7047,905.7416,947.5846,275.1446,422.9866,535.3126,200.8595,716.9115,503.73,850.2433,157.5423,178.83,152.5752,752.8462,272.6561,823.6521,290.872612.345290.211248.841