BAIC BluePark New Energy Technology Co.,Ltd.

SSE:600733.SS

7.97 (CNY) • At close July 25, 2025
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 11,851.7745,844.7954,900.9116,627.343,969.6648,969.2166,119.02878.02665.121107.332217.582287.317297.836375.47336.282248.026113.493116.53416.2954.87952.25392.623183.304243.588126.25775.18851.99537.25345.56718.2537.40511.341
Kortetermijnbeleggingen 333.540-478.104-517.885-153.477-173.906-202.746227.2212490000000003724.4824.54.3450000.251.92.841.9242.344
Liquide middelen en kortetermijnbeleggingen 11,851.7745,844.7954,900.9116,627.343,969.6648,969.2166,119.02878.02665.121107.332217.582287.317297.836375.47336.282248.026113.493116.53416.2991.87976.733117.123187.604247.588176.25775.18851.99537.50347.46721.0939.32913.686
Nettovorderingen 9,843.4697,264.1229,084.96216,900.68119,859.93724,261.14224,876.46604.3475.182007.52711.44497.12145.36200228.15169.37826.0960000.23235.6062.62219.4433.7764.6916.7755.159
Voorraad 1,689.8571,657.143,109.6451,244.4034,082.5685,751.801584.71216.739209.731207.582201.346182.597253.878163.931308.247241.07327.25264.469170.43412.05160.09183.65146.02627.40813.05356.6668.75860.03247.99148.89940.76457.389
Overige vlottende activa 1,037.665767.131985.3711,830.3151,747.9156,277.1072,399.465012.53449.0137.31615.0229.225116.05127.73811.931215.531221.6754.581264.708385.773285.393290.513107.60470.194137.214168.53149.382111.82461.32769.89535.116
Totaal vlottende activa 24,422.76515,533.18917,322.49724,917.67929,660.08545,959.45833,052.869329.389291.732369.109426.244484.935568.467636.914769.387646.389656.275602.678464.062368.638522.596486.166524.142382.6259.505258.195349.398266.361211.058134.622124.808111.349
Niet-vlottende activa:
Materiële vaste activa, netto 8,223.397,582.8766,823.1727,108.9947,416.6197,385.9455,327.10514.65415.3115.98116.6537.9388.3368.2698.539.31710.263208.825228.176244.571104.032105.15756.59647.10753.01365.55461.4189.40486.87370.60280.96176.166
Goodwill 00000000000000000000000000000000
Immateriële activa 7,572.176,234.2145,284.3494,970.9284,938.2564,458.3323,499.0270.0010.0270.170.2010.0080.0040.0080.0210.060.03810.35225.43654.9571.29189.19664.81727.01387.46549.3264.9925.1065.2195.3335.7515.916
Goodwill en immateriële activa 7,572.176,234.2145,284.3494,970.9284,938.2564,458.3323,499.0270.0010.0270.170.2010.0080.0040.0080.0210.060.03810.35225.43654.9571.29189.19664.81727.01387.46549.3264.9925.1065.2195.3335.7515.916
Langetermijnbeleggingen 0577.6861,053.3971,275.876802.175673.129527.72-187.51639.57239.7710-18.5350000000131.74252.25275.76537.95659.395-4.5710000000
Belastingvorderingen 665.781733.317748.599706.65677.143594.173258.1920.1910.11312.74217.37718.53519.72117.6070.0920.0450.0110.082000004.304500000000
Overige niet-vlottende activa 536.795139.995122.398100.757131.47264.722633.54227.99124.50725.51326.51918.5357.5887.9458.30110.00413.29213.7139.23637.3226.71329.2455.2560.2220.4685.86658.5842.52142.90825.1575.3221.5
Totaal niet-vlottende activa 16,998.13515,268.08914,031.91514,163.20413,965.66313,176.310,245.58455.32279.5394.17760.75126.48135.64933.82916.94519.42523.604232.973262.847468.583254.288299.363164.625138.041186.367200.745124.983137.03135101.09192.03383.581
Totaal activa 41,420.930,801.27731,354.41239,080.88343,625.74959,135.75843,298.454384.711371.262463.286486.994511.417604.115670.743786.332665.815679.879835.651726.909837.221776.885785.529688.768520.641445.872458.94474.381403.391346.058235.713216.841194.931
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 15,677.1346,620.9268,451.7146,320.2317,316.91816,118.93518,138.579,226.4626.6998.39512.43927.25957.40238.71373.40622.78236.16714.66760.87114.18424.57629.68823.8976.1270.62812.0977.6435.1180.0010.0011.6560.241
Kortlopende schulden 2,288.0625,434.2714,979.0915,114.3737,566.80210,699.6833,575.67635.20000000008.94544.643128.136307.95342.7280.516580159.89144.3992.8979.86861.3920.0614.63
Belastingschulden 39.08516.70934.55536.30125.766242.63310.88418.4448.33812.66814.18426.75428.22644.17732.55329.35232.05939.09732.43233.7435.80229.94728.20327.1218.14511.94523.76424.9721.83515.2515.0485.176
Uitgestelde opbrengsten 00293.6122,143.0992,024.8292,216.565310.88462.6130.6670000000160.127273.723234.695216.916101.92964.46855.95843.41268.45935.57541.21948.44635.34633.24428.27718.122
Overige kortlopende verplichtingen 5,697.3157,400.4655,368.287,598.2824,836.5113,538.9211,578.467-9,176.21739.60487.45489.33687.48212.87313.989380.237284.038285.274369.787240.17295.345101.43865.91736.84726.58672.31343.46223.68936.64420.77730.42430.75127.583
Totaal kortlopende verplichtingen 23,701.59619,472.37119,127.25219,069.18721,770.82630,600.16922,748.252103.88695.308108.517115.959141.492298.498396.879486.196336.172353.499432.495378.117471.404469.766468.251369.447224.834157.63219.083199.486159.622122.481107.06567.51647.63
Langlopende verplichtingen:
Langetermijnschulden 6,199.0982,779.4974,859.3157,3539,544.6369,860.5393,641.59231.124000000000109.06367.81376.5630055101518.735014.8392.720.51521.619
Uitgestelde opbrengsten niet-vlottend 112.279140.629705.616785.289861.711816.11855.155851.51700000000000000000-15000000
Uitgestelde belastingverplichtingen niet-vlottend 2.8433.862.4313.8167.4984.3164.758-231.124000000000000000003.614000000
Overige niet-vlottende verplichtingen 1,185.0561,446.221354.711970.03557.538202.635453.785-1,036.32146.32181.8210.32160.3210.3210.3210.3210.6415.78616.6161.321.2210.0820.10.2500009.8402.53400
Totaal niet-vlottende verplichtingen 7,499.2754,370.2075,922.0738,326.85110,471.38410,883.64,307.46846.32146.32181.8210.32160.3210.3210.3210.3210.6415.786125.67869.13377.7840.0820.15.2551018.61418.7359.8414.8395.23420.51521.619
Totaal passiva 31,200.87223,842.57825,049.32527,396.03832,242.2141,483.7727,055.719150.206141.629190.337116.279201.813298.819397.2486.516336.813359.285558.173447.25549.188469.848468.351374.697229.834167.63237.698218.22169.462137.32112.29988.03169.249
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000
Gewone aandelen 5,573.5035,573.5034,287.314,287.313,493.6593,493.6593,355.349197.586197.586197.586197.586197.586197.586197.586197.586197.586197.586197.586197.586197.586197.586197.586197.586197.586197.586197.586109.77109.77109.7761.1868.88668.886
Ingehouden winsten -29,729.741-22,781.73-17,380.141-11,915.265-6,671.484-189.044-134.869-81.726-89.448-56.04634.244-38.778-30.222-57.4-20.531-20.852-24.377-27.222-56.455-23.384-15.736-15.536-2.655-3.046-33.097-42.58758.79535.99516.70916.37714.71114.476
Overige gereserveerde algehele resultaten 062.69172.09457.18462.75144.02568.08175.71570.35270.352-0-000000000000000000000
Overige totale aandeelhoudersvermogen 29,666.69523,436.39418,764.46118,692.22614,036.04614,111.76513,422.87916,320.7536.35376.70576.705136.05576.05576.05576.05588.6180.54880.548118.338105.76187.93585.77475.88667.496119.32375.757155.14988.16582.25945.85845.21342.32
Totaal eigen vermogen van aandeelhouders 5,510.4586,290.8585,671.48811,121.45510,920.97217,384.68716,260.434192.565184.843218.245308.535234.864243.419216.242253.11257.282253.756250.912259.469279.963269.785267.824263.453262.036278.242221.242256.161233.93208.738123.414128.81125.682
Totaal eigen vermogen 10,220.0296,958.6996,305.08711,684.84511,383.53917,651.98916,242.734234.505229.633272.948370.715309.604305.535273.543299.815329.002320.594277.477279.659288.033307.036317.178314.071290.807278.242221.242256.161233.93208.738123.414128.81125.682
Totaal passiva en aandeelhoudersvermogen 41,420.930,801.27731,354.41239,080.88343,625.74959,135.75843,298.454384.711371.262463.286486.994511.417604.354670.743786.332665.815679.879835.651726.909837.221776.885785.529688.768520.641445.872458.94474.381403.391346.058235.713216.841194.931