Dalian Sunasia Tourism Holding CO.,LTD

SSE:600593.SS

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

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 117.815107.83942.69237.7165.482125.337171.56199.787398.24119.23120.671176.512141.949114.62370.02487.68721.56535.23137.40365.753119.356108.384228.77841.8545.05832.053
Kortetermijnbeleggingen 394.660-43.452-106.138-121.083-125.54267.655-55.642-55.288-1.07400000000.5020.460.50.48100000
Liquide middelen en kortetermijnbeleggingen 117.815107.83942.69237.7165.482125.337171.56199.787398.24119.23120.671176.512141.949114.62370.02487.68721.56535.73337.86366.253119.837108.384228.77841.8545.05832.053
Nettovorderingen 7.30213.4573.8724.64776.7168.4083.0512.452.072.0532.4762.90618.06524.224051.05430.40725.5161.0995.265000000
Voorraad 11.739.535.5546.5744.7182.0841.9632.7883.7351.8211.8361.67110.0399.1269.1025.1953.0521.6354.3993.3652.0251.8622.091.941.7120.812
Overige vlottende activa 17.84214.84114.55449.71265.16398.4779.933123.065107.865.7886.4282.46120.3692.13933.02637.72630.96831.51519.89338.18434.27912.9670.26422.5817.3184.029
Totaal vlottende activa 154.689145.66777.298.642183.493338.859333.823328.09511.905132.157143.452195.809172.357150.113132.996181.66297.49393.50987.444113.067156.141123.213231.13266.37164.08936.895
Niet-vlottende activa:
Materiële vaste activa, netto 934.081955.004905.694909.999820.1161,019.769673.917430.305254.737292.365302.981314.03343.885285.715280.459271.353278.078295.429467.707434.065288.732251.064145.05154.0553.13145.61
Goodwill 00000000000.6230.6230.6230000000000000
Immateriële activa 408.531414.839423.736433.095441.73573.777585.841202.4370.146107.286115.803122.73991.86836.64443.25255.26257.25959.25622.73620.93421.80210.92300.3961.8392.299
Goodwill en immateriële activa 408.531414.839423.736433.095441.73573.777585.841202.4370.146107.286116.427123.36292.49236.64443.25255.26257.25959.25622.73620.93421.80210.92300.3961.8392.299
Langetermijnbeleggingen 0434.014493.302572.635628.706242.5580113.00288.09221.08122.35217.27815000059.40572.75449.77640.30500000
Belastingvorderingen 107.95289.4979.60870.19525.2199.3449.25613.25612.8788.4034.9153.6880.0310.0230.0520.2630.3080.390.7640000000
Overige niet-vlottende activa 477.45582.65655.6476.7650.4360.5192.74576.46782.63581.0985.79883.3884.346127.971140.128143.721167.80898.2423.5527.7393.28606.4421.5572.7172.056
Totaal niet-vlottende activa 1,928.0191,976.0021,957.9881,992.6891,916.2081,845.9481,461.759835.46508.488510.226532.472541.738535.753450.353463.891470.598503.452512.721567.513512.514354.125261.987151.49356.00257.68749.965
Totaal activa 2,082.7082,121.6692,035.1872,091.3322,099.7012,184.8081,795.5831,163.551,020.392642.383675.924737.548708.11600.465596.887652.26600.945606.23654.957625.581510.265385.2382.625122.373121.77686.86
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 281.4110.69813.52310.0196.6153.24821.9642.6941.7132.3843.5738.34112.7562.9112.5122.1041.1641.4253.1311.0143.6691.5640000
Kortlopende schulden 77.61578.817115.446152.835118.058160.293216.5126.512570.56861148170255229242182132.371439550000200
Belastingschulden 3.6464.6138.8087.5648.4739.58516.05519.26814.75911.0549.2687.7470.6511.5391.0111.7761.4153.0611.005-0.39530.976-0.433-0.457-0.302-2.339-0.591
Uitgestelde opbrengsten 036.58737.847588.04494.208460.04516.055253.301103.94758.53455.07866.27571.41548.43268.9586.05382.916118.07599.186-0.39530.97600000
Overige kortlopende verplichtingen 739.77847.86841.29643.022464.98513.419544.064328.746153.72954.2876.92562.48673.67949.18574.125106.50581.521115.025118.18182.2149.52182.74852.56552.65537.56612.391
Totaal kortlopende verplichtingen 1,102.44998.448979.066847.507735.852705.707798.584477.209295.201138.287150.765226.574257.086309.155306.648352.384266.101251.88265.317177.829134.16683.87956.70852.35355.22611.8
Langlopende verplichtingen:
Langetermijnschulden 298.757432.912440.766434.587469.116315.439127.75327.76104.41280125.5158.4351427064378108.371205000000
Uitgestelde opbrengsten niet-vlottend 1.6481.731.8131.8953.0272.4832.5692.6743.4823.654.317000000-78-108.6190000000
Uitgestelde belastingverplichtingen niet-vlottend 89.94190.87285.46384.84685.84185.5484.1411.6140.4370.1770.0940000000.1010.2490000000
Overige niet-vlottende verplichtingen 293.194238.115216.849326.704204.196223.161012.94612.94610.558.044.3143.4840000000000000
Totaal niet-vlottende verplichtingen 683.54763.629750.054848.032762.18626.622214.46344.994121.27794.377137.951162.749145.4847064378.101108.371205000000
Totaal passiva 1,785.9811,762.0771,729.1211,695.541,498.0311,332.3291,013.046522.202416.477232.664288.716389.323402.57316.155306.648358.384309.101329.982373.687297.829184.16683.87956.70852.35355.22611.8
Eigen vermogen:
Preferente aandelen 00000000000000000000000000
Gewone aandelen 128.8128.8128.8128.8128.8128.8128.892929292929292929292929292929292606060
Ingehouden winsten -177.716-105.779-142.596-64.542133.213203.193163.689119.39389.21977.79152.03315.534-16.995-27.75-32.395-39.364-42.981-46.617-46.748-7.377-10.439-14.51514.1540011.901
Overige gereserveerde algehele resultaten 0040.72544.28148.49652.34543.91130.3623.47519.7540000000000000000
Overige totale aandeelhoudersvermogen 197.468199.44159.974216.455216.185159.974214.84227.134196.774216.528213.099211.087213.753216.958215.13204.109216.681216.681217.517219.606219.955219.462224.06210.026.553.159
Totaal eigen vermogen van aandeelhouders 148.553222.462186.903268.513470.483544.313497.186438.527401.468386.319357.132318.621288.758279.38274.735269.317265.7262.064260.011304.229301.516296.947325.61570.0266.5575.06
Totaal eigen vermogen 296.727359.592306.067395.792601.669852.479782.536641.347603.915409.719387.208348.225305.54284.31290.24293.875291.845276.248281.27327.752326.099301.321325.91770.0266.5575.06
Totaal passiva en aandeelhoudersvermogen 2,082.7082,121.6692,035.1872,091.3322,099.7012,184.8081,795.5831,163.551,020.392642.383675.924737.548708.11600.465596.887652.26600.945606.23654.957625.581510.265385.2382.625122.373121.77686.86