Shanghai Guijiu Co.,Ltd.

SSE:600696.SS

6.07 (CNY) • At close July 18, 2025
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 18.4253.54202.30166.27415.62121.99124.476110.595195.262144.89633.01134.44536.23385.4655.8766.2182.555274.19640.848123.085157.227241.5681.1975.4641.9141.42426.1545.37818.5210.6210.16145.223
Kortetermijnbeleggingen 00-87.083-93.088000049.27000082.5931.9762.4391.6935.1050007.50000000000
Liquide middelen en kortetermijnbeleggingen 18.4253.54202.30166.27415.62121.99124.476110.595195.262144.89633.01134.44536.23385.4657.8528.6574.248279.340.848123.085157.227249.0681.1975.4641.9141.42426.1545.37818.5210.6210.16145.223
Nettovorderingen 6.53229.79326.59610.49851.08334.9160500.19138.7260.150.44440.8670020.97617.632.11282.696103.196248.862527.9690000.1281.5352.3160.5373.8782.04505.825
Voorraad 526.257609.622474.046351.16431.1531.7870.252-487.908101.0321,163.7971,038.859821.161550.541377.928507.652401.831582.833539.225521.883369.682372.121529.191389.488474.58947.23759.84186.011117.07191.47759.17531.30419.282
Overige vlottende activa 101.23118.249166.382145.85633.8992.761220.932500.191123.74127.865271.58248.258234.409364.085167.61458.74323.769164.02196.931432.216542.253222.709125.42951.31455.28944.5955.97184.99869.40182.39589.47460.93
Totaal vlottende activa 652.439811.203842.73563.294305.849361.456252.688610.787458.7611,352.2611,361.883944.731821.183827.479683.118469.231610.851982.545759.662924.9821,071.6011,000.959596.114531.367104.568106.966170.852207.983181.954154.235130.939131.259
Niet-vlottende activa:
Materiële vaste activa, netto 1,079.2561,055.013399.397305.7814.8491.3492.5093.5124.413.83610.64512.8099.97712.6469.7047.156.8188.841138.887224.511232.997241.416243.856259.453456.793655.215584.796555.177453.603435.285359.922215.116
Goodwill 00000000000.1160.1160.1160.1160.1160.1160000000000000000
Immateriële activa 171.775175.76171.28325.2833.2570.6321.018005.0910000000000000-18.48219.49254.58327.78626.99128.51931.673018.395
Goodwill en immateriële activa 171.775175.76171.28325.2833.2570.6321.018005.0910.1160.1160.1160.1160.1160.1160000000-18.48219.49254.58327.78626.99128.51931.673018.395
Langetermijnbeleggingen 50.73378.214160.928177.52987.08386.631155.62719680.579017.892104.8599.787075.085151.054161.51624.99900016.5540000000000
Belastingvorderingen 070.95639.24834.808-87.083-86.631-155.6270-80.57906.584.3824.6496.1916.3397.2786.8076.96200000000000000
Overige niet-vlottende activa 129.32392.6418.322-0.03489.05489.019158.1952.75183.9020.0220.0840.3050.6683.6382.4552.8511.6935.10514.51235.72327.2837.59.47728.862139.2627.506107.9576.92437.87136.36141.05919.646
Totaal niet-vlottende activa 1,380.3531,472.586679.178543.36797.15991161.722202.26388.30318.94835.317122.461115.188102.5993.699168.449176.83445.907153.399260.235260.28265.47253.333269.833615.545737.305720.532659.091519.993503.319400.98253.156
Totaal activa 2,032.7922,283.7891,521.9081,106.661403.009452.456414.41813.05547.0631,371.211,397.21,067.192936.371930.069776.817637.68787.6851,028.452913.0611,185.2171,331.8811,266.43849.447801.201720.113844.271891.384867.074701.947657.554531.919384.416
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 613.555483.6118.21560.91159.1174.1166.3813.3073.952127.92370.5346.72957.7022.5951.8421.8062.0787.73820.44914.17210.0635.32911.12524.4529.98531.16535.74837.46122.59117.48440.8499.514
Kortlopende schulden 272.954301.56632.048001047.8102.53900680000114203327.38359.2432.4525.09246.47173.80994.389121.562140.92496.75929.54422.88245.46541.296
Belastingschulden 170.063121.84367.19451.4229.9419.40215.97910.1487.06721.7833.70420.973-12.34-2.754.5385.878-3.481.05215.10212.35741.96431.03519.71718.1050.6511.3640.7151.2161.5976.0025.6392.015
Uitgestelde opbrengsten 0229.987127.705401.96615.426133.3421.3352.087171.505-27.248-5.42668.2180000129.753236.27568.67141.016205.02282.16945.37795.52270.17158.0385.77478.90842.41858.9677.90110.923
Overige kortlopende verplichtingen 355.574247.079510.065-37.3380.28157.89446.719438.557164.998540.4637.367318.592254.235300.541208.03795.215156.168298.55281.433255.765265.99480.1855.242102.31671.28671.80235.27180.48244.20857.5034.96310.166
Totaal kortlopende verplichtingen 1,412.1461,384.075855.227476.96169.339172.41370.415501.9278.555690.104741.605482.511299.597300.386214.417102.898268.766510.342440.272641.495750.42641.635332.554318.681196.312225.893238.94215.91797.94103.87296.91562.991
Langlopende verplichtingen:
Langetermijnschulden 0.22914.33917.80105.12200000007510000003.55354.5385.638147.493130.521129.736141.556162.7169.713107.63774.50140.75516.8920
Uitgestelde opbrengsten niet-vlottend 0.1680.1760.1840.1920.20-00000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 11.64320.37416.22915.7874.6933.6852.9292.1381.788000000000.77500000000000000
Overige niet-vlottende verplichtingen 24.84000-4.9222.18625.79214.4378.84695.8422.291.07300001.3493.59200000000000035.4370
Totaal niet-vlottende verplichtingen 36.87934.88934.21415.9794.6935.87128.72116.57510.63495.8422.291.07375100001.3494.3673.55354.5385.638147.493130.521129.736141.556162.7169.713107.63774.50140.75552.3290
Totaal passiva 1,449.0251,418.964889.441492.9474.032178.28499.136518.475289.189785.946743.895483.584374.597400.386214.417102.898270.115514.709443.824696.025836.057789.128463.074448.416337.867388.593408.653323.555172.441144.627149.24462.991
Eigen vermogen:
Preferente aandelen 00000120.72191.7840000000000000000000000000
Gewone aandelen 334.469334.469334.469334.469334.469334.469340.566340.566340.566340.566340.566340.566340.566340.566340.566340.566340.566340.566340.566340.566340.566340.566261.974261.974261.974261.974261.974261.974261.974261.974187.128138.56
Ingehouden winsten -66.46150.89463.68326.439-35.48941.079-118.478-137.698-155.73390.606193.031129.556122.07698.38480.96676.16370.08365.09947.41843.02439.12634.13910.246-153.117-116.876-124.793-17.74543.04431.1338.32853.99311.13
Overige gereserveerde algehele resultaten 00114.38121.492118.778-120.721-91.78455.23455.23455.2340000000000000000000000
Overige totale aandeelhoudersvermogen 131.261117.987128.551135.663132.949-241.441-371.89841.67240.94873.04261.99354.39253.04352.4349.47248.57248.41547.97134.09345.57343.82242.752114.154243.928298.891237.148249.47238.502236.4242.626141.554171.734
Totaal eigen vermogen van aandeelhouders 399.27603.35512.532482.401309.921254.827296.006276.633257.875504.214595.589524.513515.685491.379471.003465.3459.064453.635433.288429.162423.513417.457386.373352.784382.246374.328482.731543.52529.507512.927382.675321.424
Totaal eigen vermogen 583.767864.825632.468613.72328.977274.172315.275294.574257.875585.264653.305583.608561.775529.683562.4534.781517.57513.743469.237489.193495.823477.302386.373352.784382.246455.677482.731543.52529.507512.927382.675321.424
Totaal passiva en aandeelhoudersvermogen 2,032.7922,283.7891,521.9081,106.661403.009452.456414.41813.05547.0631,371.211,397.21,067.192936.371930.069776.817637.68787.6851,028.452913.0611,185.2171,331.8811,266.43849.447801.201720.113844.271891.384867.074701.947657.554531.919384.416