Yunnan Coal & Energy Co.,Ltd.

SSE:600792.SS

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

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 351.691290.414822.691532.995510.449712.098400.272213.356257.421325.491263.779477.226343.538534.04474.463186.314121.83563.50965.10726.20865.26442.4516.64968.9726.13757.3527.0152.69718.2868.881
Kortetermijnbeleggingen 52.3210-35.994-12.539-20.367-49.03731.243351.356-40.110.00100000000000000.633000000
Liquide middelen en kortetermijnbeleggingen 351.691290.414822.691532.995510.449712.098400.272213.356257.421325.491263.779477.226343.538534.04474.463186.314121.83563.50965.10726.20865.26442.4516.64969.6056.13757.3527.0152.69718.2868.881
Nettovorderingen 4,077.8183,517.7022,438.8261,870.6661,460.0681,689.36401,059.2171,884.894820.523982.112978.091772.543814.042141.223010.49781.602243.82232.00971.26465.195002.8932.0962.0990.3880.74521.008
Voorraad 319.089502.536468.187454.689349.72431.772418.663383.13383.913187.779418.869546.817648.325403.185288.953304.284348.012271.644246.425250.368241.48354.89839.09618.08117.96518.78716.68213.86511.8714.02
Overige vlottende activa 51.98871.104150.364212.846105.29685.7721,472.868162.309340.291209.462252.123232.798573.359275.8881,228.916146.537224.036119.34647.645.53419.00256.955103.80234.388100.42576.84844.36171.1139.0010.029
Totaal vlottende activa 4,800.5854,381.7563,880.0683,011.7172,425.5342,919.0062,295.251,818.0122,866.5191,418.7441,916.8832,242.9182,129.0342,027.16499.437637.136693.883536.101577.277312.201390.89219.499159.547122.074124.528152.98690.644138.0669.61733.938
Niet-vlottende activa:
Materiële vaste activa, netto 4,270.9944,723.6844,701.6462,384.0742,152.8432,244.6112,296.232,360.5232,457.1442,846.9963,049.4913,100.6792,880.5032,995.679331.118276.841314.047326.362308.43192.32141.721102.08985.40826.90329.71831.93182.72884.05358.04453.444
Goodwill 0025.56125.56125.56125.56127.2437.38837.38842.91550.50650.506000000000000000000
Immateriële activa 636.118636694.332717.345588.712589.654598.506589.592600.295659.188672.172684.7444.542453.10659.60661.98364.36165.69667.59268.51761.47936.73910.4965.4185.5475.67511.15111.38511.6180.893
Goodwill en immateriële activa 636.118636719.893742.906614.273615.214625.746626.98637.683702.102722.678684.7444.542453.10659.60661.98364.36165.69667.59268.51761.47936.73910.4965.4185.5475.67511.15111.38511.6180.893
Langetermijnbeleggingen 048.97181.88455.71961.82991.1310041.6331.2893.742000000000000-0.433000000
Belastingvorderingen 20.44823.73913.9629.91426.55235.44457.02360.5960.033102.788133.491129.30982.53843.8140.5270.7141.2790.6590.08300000000000
Overige niet-vlottende activa 109.89542.6574.19160.145.3310.585.334402.169350.5847699.56.1960014.25615.81616.8830.3140.5680.52900.8891.1170.6330.9511.5292.0470.3320.1350.263
Totaal niet-vlottende activa 5,037.4565,475.055,521.5773,252.7522,860.8282,986.9013,064.3343,450.2633,546.9934,500.1744,608.9023,920.8843,407.5833,492.599405.507355.354396.57393.031376.672261.366203.2139.71897.02132.52136.21639.13695.92595.7769.79754.599
Totaal activa 9,838.0419,856.8069,401.6456,264.475,286.3625,905.9075,359.5835,268.2746,413.5125,918.9186,525.7856,163.8025,536.6175,519.759904.944992.491,090.453929.132953.95573.567594.09359.217256.568154.595160.743192.121186.569233.83139.41488.538
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,934.3833,247.3773,267.0771,440.944781.291,008.9711,019.671824.1271,681.9691,803.8111,160.827543.5051,448.768554.49130.239389.675266.908250.232233.97717.863129.32946.55932.27923.79812.82725.02116.0276.3182.370.931
Kortlopende schulden 667.429965.681792.859730.0395231,084.32529482654.1581,037.556969.8791,0101,423.406811.352822752638548477.621015012078.21626.529.532.135.39548.8636.2814.19
Belastingschulden 20.37717.25710.84512.74331.04423.76927.34129.39938.72212.08417.26319.2568.70145.153-1.181-1.594-3.17-2.0472.107-0.6851.058-6.007-2.8884.038-2.7370.2581.2595.1443.974-0.003
Uitgestelde opbrengsten 0029.60394.37137.242104.34727.341144.646105.698126.102135.728186.046148.544252.75721.19122.10810.26141.09429.52735.32749.01118.98510.72824.1948.80313.19816.07832.90923.8558.483
Overige kortlopende verplichtingen 614.474729.973425.658462.387328.802120.198236.195387.306300.3061,052.606224.886929.669250.0251,463.0311,378.49235.979103.40177.21848.733110.93972.05732.00221.5925.97923.69121.52821.97137.52323.95412.722
Totaal kortlopende verplichtingen 5,236.6614,960.2874,496.442,646.1131,663.9862,237.2591,839.5471,722.8312,780.8532,757.7642,372.8562,502.433,130.8992,874.0261,232.2371,198.1681,005.139873.403762.418338.117352.443192.554129.19780.31463.28178.90774.65197.84466.57927.839
Langlopende verplichtingen:
Langetermijnschulden 756.657828.898704.2272.5-0197.591303.168518.05548.672248.359448.094359.758028032.40000.450.451.951.951.953.553.5544.153.15827.471
Uitgestelde opbrengsten niet-vlottend 23.09719.27319.58919.94520.84517.14414.56417.29417.26741.79426.50631.900-79.172000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.3270.36823.57923.57923.57924.5626.10127.528.89987.08591.12495.08361.94664.0479.172000000000000000
Overige niet-vlottende verplichtingen 730.314670.843907.833125.17682.483014.564269.097090.536165.9961.87934.35234.075-79.1721.0331.0921.150.40.40000-3.4-3.427006.950
Totaal niet-vlottende verplichtingen 1,510.3941,500.1091,655.228171.199129.582239.296343.833562.844594.838406.747731.714486.209176.298378.11533.3751.0331.0921.150.850.851.951.951.953.550.150.5734.153.1514.9527.471
Totaal passiva 6,747.0566,460.3966,151.6672,817.3121,793.5682,476.5542,183.382,285.6753,375.6913,164.5113,104.572,988.6393,307.1983,252.1411,265.6121,199.2011,006.23874.553763.268338.967354.393194.504131.14783.86463.43179.4878.801100.99481.52955.31
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 1,109.924989.924989.924989.924989.924989.924989.924989.924989.924989.924989.924494.962400.225400.225126.225126.225126.225126.225126.225126.225114.7576.55151515151513617.482
Ingehouden winsten -840.782-101.983-239.633-58.595-19.854-71.721-294.476-484.033-435.394-225.136471.712433.819465.044515.287-525.011-420.072-137.926-141.962-9.18940.70460.36917.894-41.249-52.165-26.807-11.478-16.5988.473.2290
Overige gereserveerde algehele resultaten 06.162605.187612.017623.232614.7588.262586.121594.385602.4493.6644.691000000000000000000
Overige totale aandeelhoudersvermogen 2,754.7082,435.7892,274.9472,435.3311,823.3141,688.0611,826.2782,409.4351,823.3141,691.7531,959.5792,246.3821,449.2521,242.142-957.84190.78545.48637.35235.81237.4634.75346.27391.40871.89571.57674.66275.71173.36618.65615.746
Totaal eigen vermogen van aandeelhouders 3,023.853,329.8923,178.7923,366.663,416.6163,356.2173,107.0262,915.3262,972.2282,754.4073,421.2153,175.1632,229.4192,267.618-343.312-242.5532.19417.535152.848204.389209.872140.667101.15970.73197.312112.642107.768132.83657.88533.228
Totaal eigen vermogen 3,090.9863,396.413,249.9773,447.1583,492.7943,429.3533,176.2032,982.5993,037.8212,817.3393,421.2153,175.1632,229.4192,267.618-360.668-206.71184.22254.579190.682234.599239.697164.713125.42170.73197.312112.642107.768132.83657.88533.228
Totaal passiva en aandeelhoudersvermogen 9,838.0419,856.8069,401.6456,264.475,286.3625,905.9075,359.5835,268.2746,413.5125,918.9186,525.7856,163.8025,536.6175,519.759904.944992.491,090.453929.132953.95573.567594.09359.217256.568154.595160.743192.121186.569233.83139.41488.538