Shanghai Fudan Forward S&T Co., Ltd

SSE:600624.SS

6.94 (CNY) • At close May 12, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 92.749305.482309.179309.766306.812296.531357.243269.587383.599208.833237.998344.049417.955449.093411.825275.391171.863164.891118.737103.892111.35149.58798.366118.63164.043121.605106.282106.25684.15786.8725.11125.53930.696
Kortetermijnbeleggingen 30.7070-173.53-179.689-145.813-150.765-154.055-159.758-110.369-112.893-114.037-118.26-121.675-137.895-146.574-101.6558.67410.3391.51.5741.4942.3866.4415.36800.2927.7935.10312.35.4227.033155.2
Liquide middelen en kortetermijnbeleggingen 92.749305.482309.179309.766306.812296.531357.243269.587383.599208.833237.998344.049417.955449.093411.825275.391180.536175.23120.237105.466112.84551.973104.808123.998164.043121.896114.075111.35996.45792.29232.14156.53985.896
Nettovorderingen 93.96490.15190.121101.58494.453108.515111.125102.37989.50571.998134.03664.11999.8750289.2560000392.49210.72124.3780025.0322.55713.9791.8383.9283.99800.8561.097
Voorraad 510.298636.848655.752664.834784.14838.9671,237.641976.633775.684347.916323.01345.24196.143298.717271.004192.85159.258125.56689.90392.456141.588155.984193.622201.203221.409219.432192.683119.29878.87246.30641.57426.25413.563
Overige vlottende activa 35.57332.23539.0944.16963.00674.63124.8674.9369.5776.40138.603087.71328.93330.01940.3415.51317.0610.5171.4812.422435.161310.848389.23300.713216.751212.455199.434133.924111.81385.36493.52420.037
Totaal vlottende activa 732.5841,064.7161,094.1431,120.3531,250.3971,318.6421,805.4361,423.5291,318.358768.931778.647860.672701.6851,087.6561,002.001834.08681.352661.657581.758591.893615.878643.118609.277714.43681.109560.636524.201431.93313.182254.409160.759177.172120.593
Niet-vlottende activa:
Materiële vaste activa, netto 419.441429.005470.977495.764462.533462.041481.386494.223553.528534.036456.479263.133185.011137.477131.919139.656149.927152.523219.315240.664235.875231.484211.742203.457187.06203.798172.368114.5387.46857.37626.16516.02612.789
Goodwill 001.781.8812.4446.6466.6466.6466.6466.6466.6460.1436.79006.65300.0216.6756.6826.6896.6966.7036.711000000000
Immateriële activa 82.21175.25671.71474.63677.26178.871.13474.06776.17964.89863.10970.14364.72356.69557.32152.08359.52460.66255.12857.02958.1465.25776.39669.46524.67526.53427.53129.15726.19321.655010.6551.012
Goodwill en immateriële activa 82.21175.25671.71474.63677.26178.877.7880.71382.82671.54569.75570.28671.51356.69557.32158.73659.52460.68361.80263.71164.82971.95383.09976.17624.67526.53427.53129.15726.19321.655010.6551.012
Langetermijnbeleggingen 038.264206.868214.593291.877360.809380.992386.729338.319436.104337.249335.25344.429225.844226.149162.61217.2211.36749.41958.68465.22295.85570.71647.493023.04429.6930029.09244.878-4.407-34.839
Belastingvorderingen 23.18419.44711.9145.4713.8664.0033.0283.5372.3982.2961.860.8370.8973.0441.641.8993.8973.5340.5090.37417.074-3.8480004.05221.673005.42203155.2
Overige niet-vlottende activa 166.72170.64.7935.4115.2725.4175.6938.6979.55924.22810.25110.90312.11113.31914.52815.736169.952184.611105.435105.03543.63324.37827.82826.93860.37531.01113.84153.36445.76913.40825.2746.380.019
Totaal niet-vlottende activa 691.556732.573766.266795.875840.81911.069948.88973.899986.631,068.209875.594680.408613.96436.378431.556378.64400.52412.718436.48468.468426.634419.823393.385354.064272.11288.44265.107197.05159.429126.95296.31759.65434.181
Totaal activa 1,424.141,797.2891,860.4091,916.2272,091.2072,229.7112,754.3162,397.4272,304.9881,837.141,654.241,541.0811,315.6461,524.0341,433.5571,212.721,081.8721,074.3751,018.2381,060.3611,042.5111,062.9411,002.6621,068.494953.218849.076789.308628.981472.612381.361257.075236.827154.774
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 54.74673.25159.7868.837225.23270.591334.952291.984330.62253.82226.1930.84842.183112.20455.04439.6837.10935.29619.93836.02735.61744.32851.47361.26438.56642.00436.58321.34421.6715.2451.4543.971.777
Kortlopende schulden 314.62479385.705465.444413387385.943352.06473.456293.8216.7643.5471.1544.7558.422502.4436.8433.2418.1437420404404.53372267.844227.3114.349.858.83640.316.28.2
Belastingschulden 20.0626.43623.29625.22725.3218.67225.39325.26137.07420.93930.78719.56517.06722.82113.0259.9455.55221.32816.58318.39715.03214.30614.66.7642.158-1.644-1.3150.0831.644-1.5820.6071.9420.845
Uitgestelde opbrengsten 007.321188.14169.151137.15725.393124.59286.89866.6675.63866.332109.56491.71579.80247.63540.92861.84348.89654.48450.724114.24197.669131.1146.8018.30253.6551.96437.07422.26311.4114.84319.067
Overige kortlopende verplichtingen 204.214206.251254.281241.309100.441276.956566.879321.17256.14756.31155.88933.46999.549120.53882.27656.85744.69946.98943.57643.0242.581110.58892.136147.247134.24637.98368.28755.62877.74751.92212.35113.47418.899
Totaal kortlopende verplichtingen 593.639784.938587.185725.048825.46878.1081,365.519990.478897.299418.532332.204755.715629.899800.263708.766608.881524.16536.813498.197534.443513.23573.223562.74587.275388.093305.644216.944126.855159.86391.58554.71235.58629.721
Langlopende verplichtingen:
Langetermijnschulden 15.88825.702141.69750.21311.68111.57611.65343.7965.194110.61693.81243.79050.96386.17831.3874.2061.9669.7492.46232.66532.6732.8138.76933.97340.89772.00328.34610.58313.86.217.110.6
Uitgestelde opbrengsten niet-vlottend 69.54272.76977.11780.16584.03184.93888.63991.10792.58794.98769.40532.42900-0001.583000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 3.1914.3260.0460.0460.0460.0460.0460.0460.0460.0460.0460.0460.0460.6920.6920.6920.6920.692000000000000000
Overige niet-vlottende verplichtingen 64.31264.05369.05661.82924.0275069.25171.56490.514178.34472.45887.90449.75734.60515.4810.7355.852.9250.4601000-0.3370000.0750.1130.46102.191
Totaal niet-vlottende verplichtingen 152.933166.85279.496191.804145.758146.56169.589215.4248.341289.006235.721131.7449.80386.26102.35142.81410.7497.1669.9922.46233.66532.6732.8138.76933.63640.89772.00328.34610.65813.9136.66117.112.791
Totaal passiva 746.572951.789866.681916.853971.2181,024.6681,535.1081,205.8781,145.641707.538567.925887.455679.702886.523811.117651.696534.909543.979508.189536.904546.895605.896565.55626.044421.729346.541288.947155.201170.521105.49861.37352.68642.512
Eigen vermogen:
Preferente aandelen 01.7750000000018.9113.13000000000000000000000
Gewone aandelen 684.712684.712684.712684.712684.712684.712684.712684.712684.712526.702405.155345.155345.155345.155345.155345.155345.155345.155345.155263.477263.477263.477263.477263.477263.477202.675168.896168.89699.3599.3558.75758.75743.391
Ingehouden winsten -160.8970.13459.37162.98168.405248.935270.778253.448229.953208.323170.649154.842135.371119.66597.0176.57162.40850.16711.611.311-3.147-13.318-21.954-55.7542.1830.00336.40227.79423.050.19123.2221.0190.227
Overige gereserveerde algehele resultaten 0-1.77516.59220.31231.79436.15528.423.719.54814.333-18.91-13.13000000000000000000000
Overige totale aandeelhoudersvermogen 113.631121.728231.977148.325263.485317.952264.045156.746257.81415.82537.365143.77598.578101.75677.422101.257101.233100.56499.898205.963198.352192.299185.229232.685297.554292.25305.769275.97176.889170.756109.52996.76264.359
Totaal eigen vermogen van aandeelhouders 637.446804.8882.403916.3291,041.6571,126.0931,141.1491,118.6061,090.961,064.1141,025.698594.458579.105566.576542.822522.983508.796495.885480.079480.751458.682442.458426.752432.842506.304494.928498.338472.659299.29270.298191.505176.538107.977
Totaal eigen vermogen 677.568845.501993.728999.3751,119.9891,205.0421,219.2081,191.5491,159.3481,129.6021,086.315653.626635.944637.512622.44561.025546.963530.396510.05523.456495.616457.045437.112442.45531.489502.535500.361473.78302.09275.864195.703184.14112.263
Totaal passiva en aandeelhoudersvermogen 1,424.141,797.2891,860.4091,916.2272,091.2072,229.7112,754.3162,397.4272,304.9881,837.141,654.241,541.0811,315.6461,524.0341,433.5571,212.721,081.8721,074.3751,018.2381,060.3611,042.5111,062.9411,002.6621,068.494953.218849.076789.308628.981472.612381.361257.075236.827154.774