Yunnan Yunwei Company Limited

SSE:600725.SS

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

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 124.88889.037155.58163.336155.434148.97378.94254.8190.8571,217.9612,048.0281,921.8851,298.038882.685722.779701.757510.715215.75454.88333.9128.15465.262144.041161.317114.48104.082140.131121.987146.199.0235.333
Kortetermijnbeleggingen 0032.49100040990-28.48361.2920166.001000158.7260000000019.634002000
Liquide middelen en kortetermijnbeleggingen 124.88889.037188.071163.336155.434148.97378.94254.8190.8571,217.9612,048.0281,921.8851,298.038882.685722.779701.757510.715215.75454.88333.9128.15465.262144.041161.317114.48123.716140.131121.987166.199.0235.333
Nettovorderingen 190.36318.728173.348171.354126.109117.295145.473-45.1360633.198981.316700.691,097.111-8.2891,107.093596.707250.975248.92836.57754.47141.21300015.51420.77616.4818.2752.253.233.926
Voorraad 21.20750.87934.93219.85143.998135.47635.50787.169215.88400.804659.7591,215.1071,177.2751,276.8041,068.657771.341691.274371.0479.9469.98458.33942.70332.14130.18923.3327.46936.41942.09557.96928.18515.919
Overige vlottende activa 30.25518.22740.246118.686138.831089.402136.0190375.622598.7392,221.4661,157.572,014.971,854.514979.782239.544576.316110.37259.98865.861104.0379.30890.96677.06466.53191.859141.037238.8646.6668.349
Totaal vlottende activa 366.709474.81436.597473.227433.412401.745342.804331.87216.7372,627.5844,349.1355,209.1394,589.6084,168.0253,645.9492,452.8791,692.5081,163.11221.17212.395189.851211.994255.49282.472229.676238.492281.717323.395465.26987.10433.527
Niet-vlottende activa:
Materiële vaste activa, netto 9.70512.96722.27118.8810.7730.6340.7460.6450.8144,247.0587,086.4777,322.01910,263.1659,306.0018,336.5896,982.0175,116.5423,597.281621.219557.038430.129347.448263.882181.958115.66879.77986.87686.49597.564103.40795.09
Goodwill 00000000040.62540.62540.62540.62540.62540.62540.62540.62540.6250000000000000
Immateriële activa 0.14900000000431.849482.198398.365440.016413.349405.391215.397191.959178.27710.25710.4884.0774.1714.2654.35904.5474.6410000
Goodwill en immateriële activa 0.14900000000472.474522.823438.99480.641453.974446.016256.022232.584218.90210.25710.4884.0774.1714.2654.35904.5474.6410000
Langetermijnbeleggingen 000000000465.804563.358563.2750000-00000000010.36600000
Belastingvorderingen 1.6933.743.9480000001.351705.5763.5397.9828.3045.94212.1225.3160000000000000
Overige niet-vlottende activa 0.1380.1580-18.8810000089.15743.07934.992201.84205.073182.997173.499169.74153.7132.4832.483030303035.12220.61531.2935.5825.8031.3212.18
Totaal niet-vlottende activa 11.68516.86526.21918.8810.7730.6340.7460.6450.8145,275.8448,285.7378,364.85210,949.1849,973.0318,973.9067,417.485,530.9883,975.198763.956600.006464.205381.619298.147216.317150.79115.307122.8192.077103.367104.72897.27
Totaal activa 378.395491.675462.816492.108434.185402.379343.551332.516217.5517,903.42812,634.87213,573.99115,538.79214,141.05712,619.8559,870.367,223.4965,138.308985.125812.401654.057593.614553.637498.789380.466353.798404.527415.471568.636191.832130.797
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 51.38688.19658.7856.58212.68521.6041.316003,682.3165,380.5033,254.1391,068.9862,154.3771,186.57652.545739.392480.338171.448124.87829.73914.61223.23914.95210.3949.01312.49514.27917.52920.1320
Kortlopende schulden 0.2000000030.0643,698.782,830.73,135.1263,569.1182,994.8722,238.3619401,324638415190178.05513021.55501.7524.921016028.112.6
Belastingschulden 2.0212.5850.4421.5340.1047.4780.0750.013.97455.37725.747-129.806-125.922-89.137-104.849-67.92253.74290.9314.668.6567.7781.4057.2415.5116.947-0.836-3.9720.5641.3771.5121.038
Uitgestelde opbrengsten 00.0252.72142.78571.80741.3606.1410517.335516.049113.637620.054466.566379.524545.17547.656559.39272.61328.46818.5813.53535.83552.786016.7427.78733.24356.27622.910
Overige kortlopende verplichtingen 15.85326.15523.84436.00699.17454.67516.07711.78941.3031,611.1492,071.5452,540.0824,898.5111,053.722762.721788.984634.482606.595-107.60632.03631.34516.23631.4943.1417.14720.79435.05235.53557.69827.18319.701
Totaal kortlopende verplichtingen 69.459116.96185.788136.907111.96383.75817.46917.9475.3429,047.62110,308.4958,763.8599,410.6936,106.9614,082.8032,313.6072,751.6161,836.749483.501355.57246.917162.25383.469126.8134.48830.72168.49560.378236.60476.92733.34
Langlopende verplichtingen:
Langetermijnschulden 6.7849.06115.68514.199000001,570.5131,713.622,549.2143,652.6824,557.1275,035.554,506.822,572.531,574.8800040.0690.13200000010.13420.508
Uitgestelde opbrengsten niet-vlottend 0000000009.965000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00.0570000000-1,148.709000000000000000000000
Overige niet-vlottende verplichtingen 4.5955.3076.2027.8375.10517.53837.59839.09946.319.96510.04464.137716.229284.969300.782226.3694.720.320000000000000
Totaal niet-vlottende verplichtingen 11.37914.42421.88722.0365.10517.53837.59839.09946.311,580.4781,723.663,013.3514,368.914,842.0965,336.3324,733.1892,577.251,575.200040.0690.13200000010.13420.508
Totaal passiva 80.838131.385107.675158.943117.068101.29655.06757.039121.65210,628.112,032.15511,777.21113,779.60310,949.0579,419.1357,046.7965,328.8663,411.949483.501355.57246.917202.313173.601126.8134.48830.72168.49560.378236.60487.06153.848
Eigen vermogen:
Preferente aandelen 000000000014.60800000000000000000000
Gewone aandelen 1,232.471,232.471,232.471,232.471,232.471,232.471,232.471,232.471,232.47616.235616.235616.235616.235616.235616.235342.353290.129290.12916516511011011011011011011011011072.567.461
Ingehouden winsten -2,841.402-2,673.203-2,783.86-2,805.836-2,821.884-2,837.918-2,850.517-2,863.525-2,871.706-4,434.966-1,834.634-798.999-842.466362.129412.673308.619279.677234.786108.9768.26551.53839.48830.58928.84213.829-3.8267.58429.85211.40300
Overige gereserveerde algehele resultaten 0281.692281.692281.692281.692281.692281.692281.692110.296144.848-14.60813.9160000000000000000000
Overige totale aandeelhoudersvermogen 1,906.4881,519.3311,906.5311,519.3311,906.5311,519.3311,519.3311,906.5311,519.3311,951.4021,285.0751,423.8881,617.7211,573.5511,583.3711,784.2731,019.211980.155224.254220.183243.676238.064235.839230.993218.786213.574229.911215.241210.62832.2719.488
Totaal eigen vermogen van aandeelhouders 297.556360.29355.142333.165317.117301.083288.484275.47795.899-1,867.33319.8731,384.0321,351.7582,551.9152,612.2792,435.2451,589.0171,504.376498.224453.448403.665387.552376.428368.402342.614319.748332.824355.093332.031104.77176.949
Totaal eigen vermogen 297.556360.29355.142333.165317.117301.083288.484275.47795.899-2,724.672602.7171,796.781,759.1893,1923,200.722,823.5641,894.631,726.359501.624456.83407.14391.3380.036371.979345.978323.077336.032355.093332.031104.77176.949
Totaal passiva en aandeelhoudersvermogen 378.395491.675462.816492.108434.185402.379343.551332.516217.5517,903.42812,634.87213,573.99115,538.79214,141.05712,619.8559,870.367,223.4965,138.308985.125812.401654.057593.614553.637498.789380.466353.798404.527415.471568.636191.832130.797