Hunan Tyen Machinery Co.,Ltd

SSE:600698.SS

6.61 (CNY) • At close May 13, 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 254.014297.446351.947370.953363.289385.312358.177393.41428.456345.44310.789269.493384.557182.701147.97106.634261.078201.847182.145220.211163.665130.76679.64351.707139.339105.88655.197109.984118.2987.2836.853180.853
Kortetermijnbeleggingen 00000-0.927-1.109-1.286-1.965-2.814-0.4500-0.598000000.60.28900.303000000000
Liquide middelen en kortetermijnbeleggingen 254.014297.446351.947370.953363.289385.312358.177393.41428.456345.44310.789269.493384.557182.701147.97106.634261.078201.847182.145220.811163.954130.76679.94651.707139.339105.88655.197109.984118.2987.2836.853180.853
Nettovorderingen 384.732465.414312.22378.638534.591400.36367.77485.007463.123300.3790379.382291.6330086.6514.639221.433259.3250125.39500010.339080.2930000462.025
Voorraad 85.198116.184108.675123.437143.919137.711145.972156.066141.975131.083132.131121.864113.998133.852190.678161.732249.119237.325208.151202.609191.946171.588125.615113.484244.623363.666369.703368.209535.186317.953194.321191.677
Overige vlottende activa 13.57517.72733.1264.53511.6545.7827.89411.00222.57325.57717.58369.96554.2269.57518.50411.617192.27250.07534.5718.327.3341,215.51,785.9692,627.2832,689.5612,307.0941,682.571,265.295690.535430.834564.448355.601
Totaal vlottende activa 737.519896.771789.771877.5621,048.297929.164879.8131,045.4851,056.126802.477842.065808.54819.929411.902480.153363.256702.467689.247681.934559.986502.0121,517.854407.8852,792.4743,083.8622,776.6452,187.7631,743.4881,344.019756.07765.622728.13
Niet-vlottende activa:
Materiële vaste activa, netto 245.304234.195181.363162.033172.945190.672203.235215.558235.035194.347190.029194.771181.635294.208349.147376.452397.417426.231425.526420.351427.778449.562487.667571.756869.3821,023.4281,050.2721,023.524596.324260.135201.208191.877
Goodwill 00000000000000000000000000000000
Immateriële activa 117.35192.19267.37741.01128.03127.75322.43817.50730.32926.12519.8249.70.841173.829189.506290.098293.915250.569243.5948.42149.7251.01853.18447.10447.81448.82449.48322.08522.5823.045024.006
Goodwill en immateriële activa 117.35192.19267.37741.01128.03127.75322.43817.50730.32926.12519.8249.70.841173.829189.506290.098293.915250.569243.5948.42149.7251.01853.18447.10447.81448.82449.48322.08522.5823.045024.006
Langetermijnbeleggingen 0000.5530.73966.19330.00930.18630.86531.71429.350059.549000002.3196.23104.547000000000
Belastingvorderingen 10.4829.25911.0348.74810.08510.73911.035.8221.3021.0030.6550.7810.7480.3480.0420.0350.099000000000000000
Overige niet-vlottende activa 35.0692.46911.22520.37412.3566.85612.63719.89119.33873.2527.6281.1640.129-0.40564.19563.75363.15265.53230.4760.60.28910.90.30353.293145.7590000026.2626.726
Totaal niet-vlottende activa 408.206338.115270.999232.719224.155302.212279.349288.964316.869326.438267.486206.417183.353527.529602.89730.337754.583742.333699.592471.69484.017511.479545.701672.1541,062.9551,072.2511,099.7561,045.609618.904283.18227.47222.608
Totaal activa 1,145.7261,234.8861,060.771,110.2811,272.4521,231.3761,159.1621,334.4491,372.9951,128.9151,109.5511,014.9571,003.281939.4321,083.0431,093.5931,457.051,431.5791,381.5261,031.676986.0292,029.333953.5853,464.6284,146.8173,848.8973,287.5192,789.0971,962.9231,039.25993.092950.738
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 239.137331.331180.562192.955329.652205.004204.345304.745258.512162.569208.967177.688126.826302.369101.407335.796369.712606.122518.917243.3206.804642.891741.211642.436705.025613.056118.06313.238536.302203.42299.586218.103
Kortlopende schulden 000000250250250132402040217.672103120151.812136.7650.84245.95623.9304.083733.55578.44510.35130.8704020000
Belastingschulden 0.1950.0030.753.2277.5491.9480.3693.1530.1790.2023.7628.7478.707-3.648-2.9221.81-7.1244.6018.0816.631.524-11.74113.4625.337-0.942-0.52912.3380000.2182.429
Uitgestelde opbrengsten 002.419121.123124.283178.3320.369126.285111.657119.058107.092122.402131.363144.869195.348262.276200.165239.915155.144151.098174.639256.033388.345319.164167.571105.6591.94870.1488.046000
Overige kortlopende verplichtingen 130.897135.405110.821-2.785145.825202.69133.337139.316141.77138.42115.917118.021194.845690.644643.4324.718537.982284.639191.878349.076364.582712.7361,056.725437.986187.136117.18180.43470.34188.232155.67431.19163.707
Totaal kortlopende verplichtingen 370.229466.739294.552314.52483.026409.642588.421697.213650.461433.191368.646324.456370.378816.378844.886782.3241,052.3821,032.122769.718644.978598.8481,647.972,544.9481,664.21,401.568860.509280.836123.579644.534359.094330.994384.239
Langlopende verplichtingen:
Langetermijnschulden 2.5681.641.9292.205027.5648.97527.08320.96736.61735.1380070000000000000000000
Uitgestelde opbrengsten niet-vlottend 1.5823.1363.7954.9746.9978.80514.02513.47220.8477.7847.529000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0000-2.8423.036-29.575-7.683-1.567-36.617-35.138000000000000000000000
Overige niet-vlottende verplichtingen 2.490009.99719.39531.1932.87240.2470008.05-66330000000000000000
Totaal niet-vlottende verplichtingen 6.644.7765.7237.189.99758.79682.40159.95561.21444.40142.6666.6258.0543300000422.481694.39104.08300000000
Totaal passiva 376.869471.515300.275321.7493.023468.438670.821757.168711.675477.592411.313331.081378.428820.378847.886785.3241,052.3821,032.122769.718644.978598.8481,647.972,544.9481,664.21,401.568860.509280.836123.579644.534359.094330.994384.239
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000
Gewone aandelen 1,071.221,072.781,064.411,064.411,064.411,064.41971.817971.817971.817971.817971.817971.817971.817971.817971.817971.817971.817971.817971.817971.817971.817971.817971.817971.817971.817971.817971.817971.817494.545248.64177.6177.6
Ingehouden winsten -908.929-913.046-915.898-888.099-896.864-929.909-941.66-852.72-768.681-778.677-731.762-746.125-805.147-1,086.195-974.37-924.612-835.315-839.092-563.773-776.372-781.649-1,855.729-3,717.846-557.342305.264577.697595.489377.144173.9144.3686.97510.656
Overige gereserveerde algehele resultaten 00.775265.231265.518265.131281.685277.145264.48264.48264.48-0000000000000000000000
Overige totale aandeelhoudersvermogen 606.565602.862611.983346.752346.752346.752470.848374.183109.703109.703109.703374.183458.183604.373250.459250.459250.46250.419345.81111.702175.3611,242.8142,935.5531,376.1491,601.6971,438.8741,469.7931,316.558649.93427.157397.523378.243
Totaal eigen vermogen van aandeelhouders 768.857763.371760.495788.581779.429762.938488.34577.281661.32651.324698.238683.875624.853136.082247.907297.665386.962383.144589.52366.288365.529358.902-1,611.6231,790.6242,715.9552,988.3883,006.6832,665.5191,318.389680.156662.098566.499
Totaal eigen vermogen 768.857763.371760.495788.581779.429762.938488.34577.281661.32651.324698.238683.875624.853119.054235.157308.268404.669399.457611.808386.698387.181381.364-1,591.3631,800.4292,745.2492,988.3883,006.6832,665.5191,318.389680.156662.098566.499
Totaal passiva en aandeelhoudersvermogen 1,145.7261,234.8861,060.771,110.2811,272.4521,231.3761,159.1621,334.4491,372.9951,128.9151,109.5511,014.9571,003.281939.4321,083.0431,093.5931,457.051,431.5791,381.5261,031.676986.0292,029.333953.5853,464.6284,146.8173,848.8973,287.5192,789.0971,962.9231,039.25993.092950.738