Shanghai Chlor-Alkali Chemical Co., Ltd.

SSE:600618.SS

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

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,650.7553,562.1653,507.0553,527.0562,221.0371,902.4581,238.258467.405434240.426402.636573.468573.937513.913521.477405.832790.661536.203793.343626.126498.33777.694913.546787.112456.996306.91375.636491.152781.812618.226440.747369.475534.953
Kortetermijnbeleggingen 1,257.52200-23.681-9.32901,146.934000000002.7240003300.03617.09426.9816.13918.139147.238193.676122.0569218.91.5
Liquide middelen en kortetermijnbeleggingen 2,650.7553,562.1653,507.0553,527.0562,221.0371,902.4581,238.258467.405434240.426402.636573.468573.937513.913521.477408.556790.661536.203793.343629.126501.33777.694913.582804.205483.976323.05393.775638.391975.488740.283532.747388.375536.453
Nettovorderingen 425.62496.968346.061462.952472.732345.117497.144564.092651.094458.81900665.20300000000001,207.485-1134.729136.309102.10953.37373.874852.69316.33862.025
Voorraad 363.963408.187375.635212.254137.859185.24999.928183.966159.467384.885497.804390.477401.05267.251311.331349.404464.821451.594354.9327.064533.184361.265301.053276.889230.281143.76208.128353.535206.791245.646242.913300.969166.626
Overige vlottende activa 152.447121.118203.825253.541236.807344.113210.916211.176100.875276.455220.826230.395178.566179.219153.31366.861117.23695.97727.31549.37736.843753.802789.1171,180.7051,415.1051,331.3481,388.381,168.442819.51718.113852.802526.175471.838
Totaal vlottende activa 3,592.7854,588.4384,432.6754,455.9072,958.412,776.9361,946.2381,331.411,295.381,360.5861,758.9321,793.4821,818.7561,748.7391,577.6551,109.4791,791.7781,648.8991,380.7031,453.4951,750.6711,892.7612,003.7522,288.7992,165.3941,932.8862,084.3122,262.4772,055.1611,777.9151,628.4621,231.8571,236.941
Niet-vlottende activa:
Materiële vaste activa, netto 5,964.7065,469.6934,753.6622,714.1071,573.2471,546.6251,705.3631,861.5662,075.6942,439.3113,017.1433,458.3113,836.8173,671.6833,438.1133,936.6964,150.6354,061.4592,834.9472,791.1542,742.0462,629.6522,520.2522,095.8462,349.0712,643.1972,894.8582,751.8142,327.0362,406.9092,424.5482,487.7092,441.9
Goodwill 000000000000000000000000000000000
Immateriële activa 410.596428.849339.446354.059370.432301.043244.74273.74284.886311.542337.753264.221259.351234.015255.733258.319190.306162.3294.6332.0143.044.0869.78110.50876.618116.188120.48668.09661.84664.64543.78245.0150
Goodwill en immateriële activa 410.596428.849339.446354.059370.432301.043244.74273.74284.886311.542337.753264.221259.351234.015255.733258.319190.306162.3294.6332.0143.044.0869.78110.50876.618116.188120.48668.09661.84664.64543.78245.0150
Langetermijnbeleggingen 01,589.9971,472.611,293.8571,145.7541,099.46201,065.133818.425712.934620.592458.779396.82300370.738000801.815680.4590241.357197.173195.277195.921192.58800168.036416.691413.39350.607
Belastingvorderingen 27.72534.91219.4890.3610.3340.0460.0760.0440.0360.0211.2291.0121.4030.3930.3840.6470.451.48305.2363.82601.1380-194.012-194.71321.81900122.0569218.90
Overige niet-vlottende activa 1,809.67148.811152.876482.197166.7819.931,164.11617.49515.19623.46119.06916.77726.982353.1341.83845.565585.95876.656825.97411393.9130.01617.761310.111309.7430.687225.168407.54654.71164.43874.1171.5
Totaal niet-vlottende activa 8,212.6977,672.2636,738.0834,844.5813,256.5482,957.1053,114.2963,217.9783,194.2373,487.2693,995.7864,199.0994,521.3764,259.1914,036.0684,611.9654,927.345,101.9273,665.5543,601.223,430.3723,027.6512,772.5452,321.2882,737.0653,070.3363,230.4383,045.0782,796.4282,816.3573,041.4593,039.1312,794.007
Totaal activa 11,805.48212,260.70111,170.7589,300.4886,214.9585,734.0415,060.5344,549.3884,489.6164,847.8545,754.7185,992.5816,340.1336,007.9295,613.7225,721.4446,719.1186,750.8265,046.2585,054.7155,181.0434,920.4124,776.2974,610.0864,902.4595,003.2225,314.755,307.5554,851.594,594.2724,669.9214,270.9884,030.948
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,625.9951,100.631765.1574.058414.984397.793298.306457.507358.648376.956395.975372.059364.27365.023321.758290.573232.613274.804296.224130.125217.313172.64891.804107.656110.634107.321138.96376.20162.08385.777134.77118.5161
Kortlopende schulden 589.796250.1220822.0300280440.7211,256620868.531422.801577.905636.05576.051,630.051,160.551,576.021,568.1821,542.3411,353.1591,115.011,071.351,016.711,028.015966.057991.576856.024699.447614.517676.499426.5526.1
Belastingschulden 9.86950.073117.307202.484105.50278.765157.2226.5480.2714.82527.39362.08543.54757.63571.37448.52530.5940.74320.50913.561-13.77315.51718.25811.01322.23730.48221.6619.1940.83224.31326.357-0.9024.794
Uitgestelde opbrengsten 00103.59621.241136.288133.461157.22173.451305.236462.513776.024876.008973.748829.421865.303766.429368.584125.061114.56173.356.84585.161144.95492.444252.434236.145300.721324.603375.982411.909256.432158.57330.061
Overige kortlopende verplichtingen 676.217721.07535.666273.915285.245470.056285.711500.637468.561700.8641,052.6531,145.2941,304.7561,076.0321,053.041,311.435838.924185.982287.864124.284167.713129.312212.74301.553656.368708.56679.975531.121614.113431.547280.846236.475174.367
Totaal kortlopende verplichtingen 2,901.8772,121.8961,418.0732,041.843805.731946.6141,021.2361,425.4062,163.4791,712.6452,344.5532,002.2392,290.4782,134.7412,022.2213,280.5822,262.6772,077.5491,980.0671,810.3111,724.4121,432.4871,394.1521,436.9321,816.7251,812.4191,830.9451,472.541,376.4751,156.1541,118.473680.589706.261
Langlopende verplichtingen:
Langetermijnschulden 9.2051,203.4511,309.5038.428100.080001706459509506445976.02626.0261,233.281,456.281,585.8178.6393.27472.32406.28304.2999.4182.47428.769735.999562.023733.719833.9161,200.9211,068.621
Uitgestelde opbrengsten niet-vlottend 62.40558.90329.21319.21111.80916.03818.03520.6986.8746.656.1980.9311,073.7261,076.31600-750.134-1,273.134000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 56.76849.4838.60822.64418.92319.028.10210.63214.56311.6532.2751.7962.1872.62.141.5741.23475.189000000000000000
Overige niet-vlottende verplichtingen 92.0791.6893.11104.63892.3997.786114.7541.238193.418201.93195.43961.0471.16497.757.12483.146183.14687.8583.14683.36683.14683.14628.154-6.65-3.993-5.14529.92829.846-6.9040-21.932-29.546
Totaal niet-vlottende verplichtingen 220.4471,403.5141,470.435154.921133.588132.844128.759208.499384.855865.2341,153.9031,048.7271,140.9611,125.081,075.86684.7211,717.661,714.615308.946261.746476.636555.466489.426332.444-0.797178.477423.624765.927591.869726.815833.9161,178.9881,039.074
Totaal passiva 3,122.3243,525.412,888.5082,196.764939.3191,079.4591,149.9951,633.9042,548.3342,577.8783,498.4563,050.9663,431.4383,259.823,098.0873,365.3033,980.3383,792.1652,289.0132,072.0572,201.0481,987.9531,883.5791,769.3771,815.9281,990.8962,254.5692,238.4681,968.3441,882.9681,952.3891,859.5771,745.336
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000
Gewone aandelen 1,156.41,156.41,156.41,156.41,156.41,156.41,156.41,156.41,156.41,156.41,156.41,156.41,156.41,156.41,156.41,156.41,156.41,156.41,156.41,164.4831,164.4831,164.4831,164.4831,164.4831,164.4831,058.6211,058.6211,058.621962.383962.383962.383831.811831.811
Ingehouden winsten 5,199.3654,638.7234,294.5063,529.6922,004.3621,571.277979.01266.364-920.865-592.774-688.38987.21671.537-30.658-259.755-401.358-9.096-19.804-140.64758.41557.53113.47-5.595-39.7171.468136.8180.256189.348147.55439.849202.442192.04455.191
Overige gereserveerde algehele resultaten 00854.813695.468496.772443.467364.349211.471221.989213.7211.926.971000000000000000000000
Overige totale aandeelhoudersvermogen 2,335.4842,333.7072,338.0371,483.2161,483.2161,483.2161,859.6641,695.6691,484.1981,484.1981,696.6441,604.5851,600.5271,484.1981,608.5641,549.981,540.2181,761.992,027.9111,702.4431,697.4461,684.1661,661.4751,678.4891,929.321,805.0451,877.9991,808.8111,771.3371,702.1651,552.7071,387.5571,398.611
Totaal eigen vermogen van aandeelhouders 8,691.2498,128.837,788.9356,864.7765,140.7494,654.363,915.2112,918.4331,941.7212,261.5452,164.6562,848.2012,828.4652,726.2032,505.212,305.0212,687.5222,898.5852,690.8082,925.342,919.462,862.1182,820.3642,803.0193,051.2653,000.4653,048.3733,056.782,881.2742,704.3972,717.5322,411.4112,285.613
Totaal eigen vermogen 8,683.1588,735.2918,282.257,103.7245,275.6384,654.5833,910.5392,915.4841,941.2822,269.9762,256.2622,941.6152,908.6952,748.1092,515.6352,356.1412,738.782,958.6622,757.2452,982.6582,979.9952,932.4592,892.7182,840.713,086.5313,012.3273,060.183,069.0872,883.2462,711.3042,717.5322,411.4112,285.613
Totaal passiva en aandeelhoudersvermogen 11,805.48212,260.70111,170.7589,300.4886,214.9585,734.0415,060.5344,549.3884,489.6164,847.8545,754.7185,992.5816,340.1336,007.9295,613.7225,721.4446,719.1186,750.8265,046.2585,054.7155,181.0434,920.4124,776.2974,610.0864,902.4595,003.2225,314.755,307.5554,851.594,594.2724,669.9214,270.9884,030.948