Hundsun Technologies Inc.

SSE:600570.SS

26.42 (CNY) • At close May 16, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,277.3252,421.9992,872.6341,727.7051,374.8431,328.708566.504499.998343.463302.553522.326340.928358.013528.763411.451491.424206.723264.686222.312162.514148.298224.329109.94175.22849.103
Kortetermijnbeleggingen 1,676.9641,177.3351,497.7081,991.5232,723.352,694.018175.82839.74816.61873.379146.515146.57310.27625.165187.90567.437195.214127.68336.36818.93437.49564.6686.5460.3370.288
Liquide middelen en kortetermijnbeleggingen 3,954.2883,599.3334,370.3433,719.2284,098.1934,022.726742.332539.746360.081375.932668.841487.497668.288553.928599.356558.862401.937392.368258.68181.449185.793288.997116.48775.56549.392
Nettovorderingen 1,084.8960969.94797.221557.6490151.695210.016261.669220.991212.797154.549120.324192.168110.341056.399103.9760.144054.2810000
Voorraad 633.199595.125541.39466.992351.69125.68715.73644.93251.80158.65757.36267.75686.536155.37191.973297.432116.72517.8214.06212.12713.01811.1915.26513.61415.303
Overige vlottende activa 146.5341,875.55271.87151.23546.76210.25250.3011,837.779801.413743.1591,134.829690.956150.879-10.672-11.5792.0233.1147.146.2859.36727.28847.72934.15232.05947.746
Totaal vlottende activa 5,818.9186,070.015,953.5445,034.6775,054.2944,542.4792,936.3712,989.782,361.4761,934.9971,861.0321,427.441,026.028890.793890.091938.792578.175521.3313.862252.943294.547347.917155.905121.237112.441
Niet-vlottende activa:
Materiële vaste activa, netto 2,117.461,915.6431,791.3221,737.8961,204.761800.754470.434366.194340.364315.493245.236160.15591.6188.95987.60597.35796.357140.776145.73123.078104.12857.16342.70639.78429.921
Goodwill 642.954699.322678.449367.492312.159350.728355.066355.0660011.07211.0720000000000000
Immateriële activa 822.107927.853404.431376.46161.013109.509115.632123.35222.55828.636.04642.97346.64148.91953.67418.08610.78234.8665.8479.8083.7574.2474.73700
Goodwill en immateriële activa 1,465.061,627.1751,082.88743.952473.172460.238470.697478.41722.55828.647.11854.04546.64148.91953.67418.08610.78234.8665.8479.8083.7574.2474.73700
Langetermijnbeleggingen 2,569.0014,051.0022,340.3152,166.825328.933-336.7372,070.3381,935.3231,656.9611,399.629599.215520.971321.473645.079336.036167.494-20.10562.83241.99648.3331.823-44.052-3.195-0.875-0.916
Belastingvorderingen 260.259223.549193.122163.43671.41126.50838.79517.21517.21921.3839.018.54213.757.2344.7193.7293.3513.607018.93437.49564.668000
Overige niet-vlottende activa 2,498.113466.3511,643.3962,233.1222,838.5742,866.256229.71265.219149.898275.178269.179167.547348.46465.794226.557111.984243.514153.74136.368510156.5460.3370.966
Totaal niet-vlottende activa 8,909.8948,283.727,051.0347,045.2324,916.853,817.0183,279.9752,862.3682,187.0012,040.2841,169.757911.26821.938855.985708.591398.65333.899395.822229.94205.153157.20297.02650.79439.24629.97
Totaal activa 14,728.81214,353.7313,004.57812,079.9089,971.1458,359.4976,216.3465,852.1484,548.4783,975.283,030.7892,338.71,847.9661,746.7781,598.6831,337.442912.074917.122543.803458.096451.749444.943206.698160.483142.411
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 580.114521.287556.386503.759192.173180.141135.04843.38350.25263.23437.23239.87616.83643.79548.33294.89931.9130.56424.16626.48926.58919.6299.54612.0959.145
Kortlopende schulden 258.058305.77554.994178.02846.71820.99860000000033.7502516010352228018
Belastingschulden 258.62524.701235.335196.065187.413124.81551.14330.11416.01182.06241.54543.63837.09351.12740.88430.31619.73218.28313.2869.2524.9075.2450.3722.0360.898
Uitgestelde opbrengsten 003,026.7394,345.284,070.6411,251.22351.1431,249.2721,056.04000211.54169.642150.381142.891100.55684.87551.22330.40117.28223.80115.34013.881
Overige kortlopende verplichtingen 3,894.8484,370.5584,398.5294,611.2541,088.4482,849.9152,471.7922,410.0171,889.8191,138.909841.626465.516341.151268.001250.302230.875159.959130.62864.12840.87614.44922.20728.39235.35638.984
Totaal kortlopende verplichtingen 4,991.6455,222.3225,245.2445,489.1064,616.2813,175.872,717.9832,483.5141,956.0821,284.205920.402549.03395.08362.923373.268356.09213.601230.475159.47386.61880.94569.08166.30949.48767.028
Langlopende verplichtingen:
Langetermijnschulden 188.632165.171150.819251.752208.745202.187000030.19916.5312.571.5138.2552353500009.2732013.5
Uitgestelde opbrengsten niet-vlottend 28.18929.43229.7638.21156.38644.1553.80248.54252.76149.02934.483.528000-0000000000
Uitgestelde belastingverplichtingen niet-vlottend 17.93930.2345.89768.20142.47931.62120.18826.33415.25825.6255.2362.98705.4331.6792.750.98623.5740000000
Overige niet-vlottende verplichtingen 95.33261.853139.98955.52865.87912.2939.9717.9696.8764.1144.6663.8214.5543.0472.431.8791.5871.2012.9732.3242.6931.0610.67502.275
Totaal niet-vlottende verplichtingen 330.092286.686284.873375.481317.103290.2583.96182.84474.889138.76774.58126.46517.05479.98142.35956.62937.57359.7752.6342.3242.6931.0619.9482015.775
Totaal passiva 5,321.7375,509.0085,530.1175,864.5874,933.3843,466.122,801.9432,566.3592,030.971,422.972994.983575.495412.134442.903515.628412.72251.175290.249162.10788.94183.63970.14176.25869.48782.803
Eigen vermogen:
Preferente aandelen 0000000000000000000000000
Gewone aandelen 1,894.1451,900.0061,900.0061,461.561,044.091803.147617.805617.805617.805617.805617.805617.805623.75623.75623.75445.536297.024185.64142.81026868515151
Ingehouden winsten 5,841.7435,148.5564,100.5283,697.0472,893.6263,007.1141,929.6941,463.4871,111.3571,295.3381,003.001784.58555.583426.098230.04234.38151.497156.64638.85931.40540.02450.21419.34918.960.201
Overige gereserveerde algehele resultaten 0730.198759.665576.1733.685593.247451.981972.903665.003512.12843.95831.4070000000000000
Overige totale aandeelhoudersvermogen 930.428250.13851.819-39.676-1,243.539659.039182.024754.463671.798518.92302.131156.9770136.972128.531182.932248.962200.749220.882256.948251.62652.23617.9966.109
Totaal eigen vermogen van aandeelhouders 8,666.3158,028.8996,811.7615,695.0314,554.0294,478.9633,181.5053,073.0042,400.962,432.0661,916.0391,650.0611,336.311,217.986990.762808.447631.453591.248366.858354.287364.971369.84122.58587.95657.31
Totaal eigen vermogen 9,407.0748,844.7227,474.4616,215.3215,037.7614,893.3773,414.4033,285.792,517.5072,552.3082,035.8061,763.2051,435.8311,303.8751,083.055924.722660.899626.872381.695369.155368.11374.802130.44190.99659.609
Totaal passiva en aandeelhoudersvermogen 14,728.81214,353.7313,004.57812,079.9089,971.1458,359.4976,216.3465,852.1484,548.4783,975.283,030.7892,338.71,847.9661,746.7781,598.6831,337.442912.074917.122543.803458.096451.749444.943206.698160.483142.411