Cultural Investment Holdings Co.,Ltd

SSE:600715.SS

2.31 (CNY) • At close May 14, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 988.33298.568140.595.67424.313884.0871,054.731,650.872941.9131,116.5868.0292.1138.31948.87619.2850.0170.0563.7110.2060.710.7150.7450.7470.6074.7225.12510.22349.58165.34314.96118.521
Kortetermijnbeleggingen 11.9881.041.04890.9511,083.911,328.284-929.38769.938-464.092310000000000000000000000
Liquide middelen en kortetermijnbeleggingen 988.33299.608141.54986.6221,508.2232,212.3711,054.731,720.81941.9131,116.5868.0292.1138.31948.87619.2850.0170.0563.7110.2060.710.7150.7450.7470.6074.7225.12510.22349.58165.34314.96118.521
Nettovorderingen 248.418322.048129.793399.74600565.7420540.17025.855044.1180070.04186.7720.93878.2628.6970.8100006.2522.5549.36312.47500
Voorraad 2.933148.791334.503239.729159.468234.801362.47416.83237.29716.3760018.8090.2201.4894.1825.473.8623.3121.5031.10900054.05980.071135.39999.89843.49889.791
Overige vlottende activa 19.12736.092106.9581,033.4461,268.0551,411.0881,092.306917.8471,050469.08504.30230.8650.0960.6510.2190.21840.988.3980.9682163.406112.219133.133209.056138.702137.103162.024185.513114.296106.616
Totaal vlottende activa 1,258.811606.539846.7482,659.5423,507.0255,056.6583,144.5614,764.82,688.3052,105.25433.88486.109102.11359.57319.93671.76791.22671.09990.729122.35140.569165.259112.966134.168213.776224.136287.179356.367363.229172.754214.928
Niet-vlottende activa:
Materiële vaste activa, netto 235.988532.445905.3351,110.849179.804353.69411.587427.25291.302193.95374.0379.45490.63798.94756.22279.09688.051145.438151.631150.713159.526176.417235.103307.647323.521316.065321.479343.921275.061228.079119.664
Goodwill 183.864586.6651,473.2771,829.2421,855.433,598.2253,630.7313,520.2013,146.5572,980.203000000000000000000000
Immateriële activa 44.22802.894921.486424.648100.34110.82770.89775.73178.57758.16160.06762.17664.95267.56131.21610.37211.1111.84876.80778.83180.85582.879104.573106.959109.346111.73289.24591.14493.04394.94215.971
Goodwill en immateriële activa 228.0841,389.5592,394.7632,253.8891,955.7713,709.0533,701.6283,595.9323,225.1343,038.36360.06762.17664.95267.56131.21610.37211.1111.84876.80778.83180.85582.879104.573106.959109.346111.73289.24591.14493.04394.94215.971
Langetermijnbeleggingen 0342.402618.88-225.059-179.336-551.1482,199.221736.2941,048.249356.83300155.589000000000000000000
Belastingvorderingen 1.92827.1590.0072.8665.6685.1196.3833.4556.9042.08203.450.8780.08100000000000000000
Overige niet-vlottende activa 55.345107.395256.7211,416.871,774.4132,468.75202.864971.6776.40724.94500-155.589-093.94133.21170.559125.50347.59548.09556.42479.24150506.250.5280.5450.0450.0450.0450.052
Totaal niet-vlottende activa 521.3462,398.964,175.7064,559.4163,736.325,985.4646,521.6835,734.6024,647.9963,616.176134.097145.081156.467166.589181.378222.678269.72282.789276.032277.639296.805338.536389.676464.606439.117428.325411.27435.11368.149323.066135.687
Totaal activa 1,780.1563,005.55,022.4547,218.9597,243.34411,042.1229,666.24410,499.4027,336.3015,721.431167.981231.19258.579226.162201.314294.445360.946353.888366.761399.989437.373503.795502.642598.775652.892652.46698.449791.477731.378495.82350.615
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 44.542133.133140.713187.449279.712312.459312.344347.354520.374323.11611.91119.91933.09724.5826.45968.81761.53349.05651.40152.28451.97455.11254.94155.75458.67881.62682.75595.67477.45769.30670.343
Kortlopende schulden 00519.015100.1561,411.74393.9212461895205858341029290000198.56198.56122.36201.871125.671119.832142.032177.822138.89117.287.62773.054
Belastingschulden 41.265125.759124.09121.725154.825242.929150.954160.595115.248101.63120.39522.16731.53531.13523.43623.922.25929.79230.5929.19829.08729.66427.71222.59326.28415.317.867-2.6270.3211.0311.024
Uitgestelde opbrengsten 00456.1972,714.842230.241,733.705149.872679.558494.8541,044.09728.44335.23455.05252.01523.4360000109.244101.08370.489111.73787.55964.65948.36952.239.2114.93920.9719.983
Overige kortlopende verplichtingen 333.1082,957.9922,468.4242,950.4291,895.861,804.385733.617979.626543.9181,122.4378.40113.56923.99221.02222.11655.53693.02899.828118.969110.73697.569145.05399.628103.751165.715113.33364.75917.9046.32125.72425.714
Totaal kortlopende verplichtingen 418.9153,216.8843,252.2423,776.7753,742.1382,753.6931,442.9151,676.5741,699.5391,605.18598.70789.65598.624105.736101.011148.253176.819178.676200.959390.777377.19339.765384.153307.769370.508352.3321.397249.841201.299183.688170.134
Langlopende verplichtingen:
Langetermijnschulden 201.993582.45940.9241,210.2651,619.8221,845.9131,771.6911,584.9211,069.2416102929000001639.51739.51749.5174298.244.10783.964103.182157.306135.087104.42168.654
Uitgestelde opbrengsten niet-vlottend 5.74239.21630.212.01317.40420.82619.4394.9965.596.949000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.01524.0623.244004.1048.20712.31116.415-160.004000000000000000000000
Overige niet-vlottende verplichtingen 43.584290.96839.418100.409-934.155019.439007.946107.259101.74593.823082.94978.919070.58500000008.98412.3357.81805.0250
Totaal niet-vlottende verplichtingen 251.334936.694980.3421,322.687685.6671,870.8431,799.3381,602.2281,091.245168.946107.259130.745122.82388.83982.94978.919070.5851639.51739.51749.5174298.244.10792.948115.516165.124135.087109.44668.654
Totaal passiva 670.2494,153.5784,232.5845,099.4624,427.8054,624.5363,242.2533,278.8022,790.7851,774.13205.966220.4221.447194.576183.96148.253176.819178.676216.959430.294416.706389.282426.153405.968414.615445.248436.913414.965336.386293.134238.789
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 4,059.8541,854.8541,854.8541,854.8541,854.8541,854.8541,854.8541,854.8541,649.129824.565224.256224.256224.256224.256224.256224.256224.256224.256224.256224.256224.256224.256224.256224.256140.16140.16140.16140.16116.88080
Ingehouden winsten -8,840.627-7,533.637-5,885.603-4,610.581-3,868.297-401.815-387.649402.418-2.844-580.506-718.322-670.516-643.204-648.75-662.983-534.144-496.21-505.124-530.534-554.879-495.197-390.854-396.517-239.426-152.478-183.542-132.402-17.42612.73400
Overige gereserveerde algehele resultaten 0-314.349385.678414.926381.658467.702441.882441.882412.649412.6490-00000000000000000000
Overige totale aandeelhoudersvermogen 5,896.7014,955.6524,479.9644,955.6525,048.0994,479.9644,926.0394,921.8472,466.0283,290.592456.08456.08456.08456.0843.431535530.721526.665456.08300.318291.608293.536248.751220.983274.833250.595325.655253.778265.458122.68631.826
Totaal eigen vermogen van aandeelhouders 1,115.927-1,037.481834.8922,139.1632,848.1796,400.7066,389.0517,179.1184,524.9613,947.3-37.9869.8237.13231.58617.353146.192184.126175.212149.802-30.30620.667114.51476.489192.806238.277207.213261.536376.512394.992202.686111.826
Totaal eigen vermogen 1,109.907-1,148.079789.872,119.4972,815.546,417.5866,423.9917,220.64,545.5163,947.3-37.98610.7937.13231.58617.353146.192184.126175.212149.802-30.30620.667114.51476.489192.806238.277207.213261.536376.512394.992202.686111.826
Totaal passiva en aandeelhoudersvermogen 1,780.1563,005.55,022.4547,218.9597,243.34411,042.1229,666.24410,499.4027,336.3015,721.431167.981231.19258.579226.162201.314294.445360.946353.888366.761399.989437.373503.795502.642598.775652.892652.46698.449791.477731.378495.82350.615