Ningbo Fubang Jingye Group Co.,Ltd

SSE:600768.SS

10.62 (CNY) • At close May 9, 2025
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 224.399197.727144.77875.185104.801124.57218.111170.471224.2594.493208.707158.98194.288205.014132.056110.838100.83549.49351.5722831.15922.71331.91734.2334.08411.0439.3929.2919.8122.9526.6374.368
Kortetermijnbeleggingen 3.2753.21277.305152.66444.0126547.311-2.7873042.302.2532.3032.0062.3574.4191.3962.67300.5880.580.3880.266008.24.510.9326.223.36200
Liquide middelen en kortetermijnbeleggingen 227.674200.939222.083227.849148.814189.57218.111170.471224.2594.493208.707161.233196.592207.019134.413115.257102.23152.16651.57228.58831.73923.10132.18334.2334.08419.24313.89220.2246.0326.3146.6374.368
Nettovorderingen 273.79837.78731.71130.11256.66534.97361.9167.20578.92582.3485.92799.59960.77966.75455.41443.76251.48669.57239.97829.61724.01300007.02517.74750013.3710
Voorraad 154.69516.49211.7019.8018.50212.28294.13490.061100.74283.66486.032104.878114.198103.966101.03483.34682.026110.497123.04290.22671.63443.0429.95728.2416.357.4659.2813.21310.1016.0173.4922.389
Overige vlottende activa 30.2423.7984.9077.36211.35914.11438.24810.20945.00753.11822.8238.61413.73219.55810.24317.44923.97944.43458.42223.08713.41130.31310.19419.87829.77126.60656.52954.05735.51813.20215.27421.615
Totaal vlottende activa 686.409259.016270.401275.123225.34250.939414.59337.946448.924313.615403.488374.324378.777397.298300.279251.672249.812276.669273.014171.517140.79796.45372.33482.35240.20492.24893.74887.48991.65125.53325.40328.372
Niet-vlottende activa:
Materiële vaste activa, netto 55.31411.4888.8433.6123.9891.851142.07164.761194.546214.928232.222232.683209.169177.96189.426201.159219.106225.356276.333292.831294.075273.125162.728101.83988.399118.41194.14875.5534.52532.55730.93320.236
Goodwill 0000107.894000000000000000000000000000
Immateriële activa 0.4770.0240.0390.05312.0050.00121.1621.72424.34526.2526.92437.12838.09739.17340.36741.3542.33343.31616.43516.85517.27817.7027.3077.63418.4845.8936.1326.2146.2285.4253.9551.039
Goodwill en immateriële activa 0.4770.0240.0390.053119.8980.00121.1621.72424.34526.2526.92437.12838.09739.17340.36741.3542.33343.31616.43516.85517.27817.7027.3077.63418.4845.8936.1326.2146.2285.4253.9551.039
Langetermijnbeleggingen 304.725301.788201.695-105.3533.298-17.689050.09753.16153.39747.31152.73854.88765.1467.0175.61763.616102.969050.92250.9351.12357.1950064.30513.82500000
Belastingvorderingen 2.25700.0430.0020.730.00414.4910.0170.0090.0140.0020.0230.0190.081000.0560.5500000008.3414.80500000
Overige niet-vlottende activa 18.0817.06978.768153.76248.84567.59353.9731.3760.4506.3229.04113.6529.54810.16413.2676.85413.62751.5110.6470.6140.451.23372.30187.1613.9675.27519.32722.34517.83918.01717.59
Totaal niet-vlottende activa 380.854320.369289.38852.077176.76151.759231.694237.975272.511294.589312.781331.613315.826291.902306.968331.392331.965385.817344.278361.256362.899342.399228.463181.774194.045200.917124.185101.09163.09855.82152.90438.865
Totaal activa 1,067.263579.385559.789327.2402.1302.698646.283575.921721.436608.204716.269705.937694.603689.2607.247583.064581.777662.487617.293532.773503.695438.853300.797264.125234.249293.164217.932188.58154.74981.35478.30767.237
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 153.9525.476102.33198.38298.00172.369116.507182.703203.066142.37127.641188.226143.002127.42487.02482.07761.69432.76587.47613.31958.87139.6629.21618.91815.8576.0016.00111.8366.0526.0724.9156.994
Kortlopende schulden 268.873000.59116.2730183.97203.9350.3385355.2325.694333.5325.435353342377.35335340.85265.5209187142.15151.2590.7593.554431.613.6518.599.414.298
Belastingschulden 3.4440.5590.5571.5418.1151.30558.9162.8951.9372.3491.5051.6033.421.874-0.2890.3881.3172.837-0.925.9036.3734.425-0.736-1.3370.1020.06-0.05-1.096-0.401-0.1250.1220.469
Uitgestelde opbrengsten 000.8635.2519.3430.9558.91615.1157.5586.8155.7777.4410.4829.3176.1416.6924.6369.4277.28213.839.7666.9561.77611.21647.07842.6827.6996.9888.2647.5975.552.537
Overige kortlopende verplichtingen 117.04897.3544.4082.91-4.3393.469178.819-1.16853.18425.07729.80210.058.4760.77710.2718.8674.18613.68914.74433.819-4.2578.166.91816.57748.63843.88414.3719.89713.15211.32111.5643.337
Totaal kortlopende verplichtingen 543.317103.389108.159104.343135.48177.144538.212403.445616.045554.796514.148540.319488.398482.892450.006433.331449.183384.29442.15318.541279.753239.248157.548185.409154.775143.33464.32252.23532.45435.85826.01115.098
Langlopende verplichtingen:
Langetermijnschulden 6.2763.3161.2071.719000333402000000042.35043.356060400000000.5259.269.26
Uitgestelde opbrengsten niet-vlottend 3.657000000-33-3400000000-42.350-43.35-6000000000000
Uitgestelde belastingverplichtingen niet-vlottend 65.21664.4457.9220.1720.5560.8331.1644.4347.0047.3357.6659.20510.08612.04212.92816.51713.02623.5848.0798.2988.51600000000000
Overige niet-vlottende verplichtingen 0000001.63600075.61456.54556.54556.54500000.0990000000-0.5310.00300.351.5831.841
Totaal niet-vlottende verplichtingen 75.14967.75659.1291.8910.5560.8332.837.43441.0047.335103.27965.7566.63168.58712.92816.51713.02665.9348.17851.64868.51660400-2.0560-0.5310.00300.87510.84311.101
Totaal passiva 618.466171.145167.288106.234136.03677.977541.012440.88657.048562.13617.427606.069555.029551.479462.935449.848462.209450.224450.329370.188348.269299.248197.548185.409152.718143.33463.7952.23732.45436.73336.85426.199
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000
Gewone aandelen 133.747133.747133.747133.747133.747133.747133.747133.747133.747133.747133.747133.747133.747133.747133.747133.747133.747133.747133.747133.747111.456111.45692.8892.8892.8892.8851.651.651.6383838
Ingehouden winsten 234.968222.478208.17753.74151.62757.693-47.438-16.368-87.022-105.336-52.567-55.167-17.111-22.241-17.315-38.185-40.36621.85517.44112.41821.137.681-27.318-51.851-48.95815.82834.65720.3639.4372.820.3080.738
Overige gereserveerde algehele resultaten 0049.71432.61640.20332.4218.116.816.816.803.62600000000000000000000
Overige totale aandeelhoudersvermogen 9.07852.0150.86233.4780.86233.2825.341-12.758-12.758-12.758-12.7584.04122.9380.8620.86237.65426.18756.66116.54316.41922.8424.23737.68737.68740.78477.29578.39864.06261.2583.8013.1462.299
Totaal eigen vermogen van aandeelhouders 377.793408.24392.501220.966226.439224.721105.271135.04164.38746.07398.84299.868139.574137.72144.312133.216119.569212.262166.964162.584155.426139.605103.24978.71781.531149.83153.945136.024122.29644.62141.45341.037
Totaal eigen vermogen 448.797408.24392.501220.966266.064224.721105.271135.04164.38746.07398.84299.868139.574137.72144.312133.216119.569212.262166.964162.584155.426139.605103.24978.71781.531149.83154.142136.343122.29644.62141.45341.037
Totaal passiva en aandeelhoudersvermogen 1,067.263579.385559.789327.2402.1302.698646.283575.921721.436608.204716.269705.937694.603689.2607.247583.064581.777662.487617.293532.773503.695438.853300.797264.125234.249293.164217.932188.58154.74981.35478.30767.237