Zhonglu.Co.,Ltd

SSE:600818.SS

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

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 229.609188.668211.64889.656157.22155.23172.646117.75164.872175.739126.47118.64696.55588.9583.9761.7757.6160.53985.97106.766159.33681.07124.24750.75822.01213.57475.59575.58184.81581.885100.567110.246
Kortetermijnbeleggingen 10.04235.44560.61839.1561.1440.8560.4046.186.0968.53728.61424.01438.3816.72829.19549.2243.780.0210.1050.0770.13411.24812.3980.3430.0374.1974.1998.5196.8799.648.4052.277
Liquide middelen en kortetermijnbeleggingen 239.651224.113272.266128.812158.36656.086173.05123.93170.968184.276155.084142.66134.934105.678113.166110.99461.3960.5686.076106.843159.4792.319136.64551.10122.04917.77179.79384.191.69491.524108.972112.523
Nettovorderingen 99.81359.16934.1630.62311.83715.10734.7551.58552.03667.59948.2436.13435.58800000168.621148.244106.81142.424123.485125.14521.40524.56335.87135.56156.45640.7708.882
Voorraad 54.75448.55839.49425.86522.87119.57942.92347.71348.17265.35280.54352.45462.86868.270.72173.00396.603101.147162.482131.788127.917116.02486.10770.17238.88667.974242.406370.658312.121286.439264.545284.723
Overige vlottende activa 6.5639.0919.00631.78211.34216.39444.87833.1949.80134.34417.66360.94953.57710.2038.0586.3358.14611.67266.46162.435171.8174.51240.55792.31682.277144.327308.44422.711515.212492.772117.156324.183
Totaal vlottende activa 400.781340.93364.926217.082209.216104.719287.398255.381354.24339.371334.756284.23279.838255.186222.552369.168325.893336.59483.64449.309459.197425.278386.793338.734151.128254.636666.509959.304975.482911.506763.829730.31
Niet-vlottende activa:
Materiële vaste activa, netto 76.30587.8668.59280.72379.6381.49786.38793.818105.392133.84109.74132.692143.135152.267176.586134.6122.547130.944266.932215.97179.398139.69981.27490.64372.539213.014227.74236.661248.655236.71290.474259.199
Goodwill 0000000.1930.1930.1930.1930.1930.1930.1930.1930.1930.1930.1930.1410.430000000000000
Immateriële activa 59.91767.62475.96290.245103.952112.545120.944129.975139.032148.10470.75872.3573.25874.7678.52780.46781.75984.04222.04518.38418.8819.31120.5523.75926.64128.59330.54532.49734.44936.438.72236.052
Goodwill en immateriële activa 59.91767.62475.96290.245103.952112.545121.138130.169139.225148.29770.95172.54373.45174.95378.72180.66181.95284.18422.04518.38418.8819.31120.5523.75926.64128.59330.54532.49734.44936.438.72236.052
Langetermijnbeleggingen 267.44281.219232.61422.963465.149492.511494.361541.298370.878306.228188.24210.857197.258215.927228.301116.475194.544139.60652.68334.26342.09628.74628.3642.75739.28843.17254.53821.1460101.355111.21693.648
Belastingvorderingen 62.08651.12456.44321.37626.9721.66416.57319.94926.210.41633.8615.6996.9644.9361.3020.7510.0210.4300008.479-39.288-43.172-54.5388.51909.6400
Overige niet-vlottende activa 59.81957.161121.58397.90669.469104.03525.92813.78413.95216.72230.64926.15740.74319.3232.01752.2753.7812.45.6757.0778.13420.29912.586-7.72427.76736.26657.64866.857101.3340.3168.4052.277
Totaal niet-vlottende activa 525.566544.989555.19713.214745.17812.251744.386799.018655.658605.503402.579446.111460.286469.432520.56385.312403.574367.155347.766275.695248.509208.055142.77157.914126.948277.873315.934365.679384.438384.421448.817391.177
Totaal activa 926.347885.919920.115930.296954.386916.971,031.7851,054.3991,009.898944.875737.336730.341740.124724.618743.112754.48729.468703.745831.406725.005707.706633.334529.562496.648278.076532.509982.4431,324.9831,359.921,295.9271,212.6461,121.486
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 79.05954.77458.17148.19546.8935.74624.03529.41639.86542.74152.69542.94952.85363.00662.65170.65491.295111.286145.379144.37832.979140.763119.67983.49996.413132.948177.316246.284256.217231.041149.361229.465
Kortlopende schulden 0017.0417.02480.11458.077135.22615451.506177204204206208189210205164200.783185.8178.153169.06120.09133.742291.69307.144361.27329.168299.248285.791320.44165.905
Belastingschulden 9.510.6419.1677.9119.5742.9228.4823.15649.53613.4462.5124.029-3.386-7.341-7.13710.44513.81220.60922.65728.93327.43415.7322.73225.5358.72113.10614.63910.37618.4822.64111.562.623
Uitgestelde opbrengsten 0058.03161.645106.66293.6248.48272.18473.1436.06220.21724.6515.92516.3456.749.21560.7264.40885.26287.06690.87870.79778.97133.876185.452110.42101.038112.506104.53686.90537.66438.668
Overige kortlopende verplichtingen 129.498152.048107.90946.5572.897134.33377.335109.08537.974154.21272.93573.5978.90777.126129.486109.22268.52967.808141.43184.35206.823117.439109.91156.423237.69109.926115.824142.836163.382148.28542.99387.915
Totaal kortlopende verplichtingen 218.067207.463192.287141.046242.6231.077245.078295.657265.919387.399332.142324.568327.245340.791365.994400.321378.636363.703510.251443.462445.389442.992372.412399.199603.729563.124669.049728.664737.327687.758524.354485.909
Langlopende verplichtingen:
Langetermijnschulden 33.46242.89338.85142.2823.22105.962171.36200000000000000000.80.800014.9214.299.16932.938
Uitgestelde opbrengsten niet-vlottend 80000-3.220000.10.3260000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 28.53843.45439.63128.88625.9884.9482.6238.14113.34810.646006.5093.3568.3864.5968.72711.86900000000000000
Overige niet-vlottende verplichtingen 30.92426.5668.4931.6232.45-9.041-29.36861.1389.1900000000000000002.652.57112.91724.45233.20496.55255.665
Totaal niet-vlottende verplichtingen 172.924112.907146.972102.78761.658101.869144.05469.271102.63810.972006.5093.3568.3864.5968.72711.86900027.03427.0340.83.2362.652.57112.91739.37247.494105.72188.603
Totaal passiva 390.991320.37339.258243.833304.257332.946389.132364.928368.557398.371332.142324.568333.754344.147374.38404.917387.363375.571510.251443.462445.389442.992372.412399.999606.964565.773671.62741.58776.699735.252630.075574.511
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000
Gewone aandelen 321.448321.448321.448321.448321.448321.448321.448321.448321.448321.448321.448321.448292.225292.225292.225265.659265.659265.659265.659265.659265.659265.659265.659265.659265.659265.659265.659265.659231.008231.008231.008231.008
Ingehouden winsten 173.653201.986179.48277.024242.671155.047169.1166.748139.25763.61139.39639.66366.66550.57234.22745.85616.2692.5619.8321.392-33.354-591.995-634.758-686.329-863.936-578.979-245.1779.9179.0727.82937.65823.579
Overige gereserveerde algehele resultaten 0043.82743.82741.05851.75148.348173.141118.92393.3120000000000000000000000
Overige totale aandeelhoudersvermogen 94.18285.68484.09684.09681.32840.2727.83110.2731.32610.2719.08417.49827.13121.92827.70934.06552.25438.5496.704-7.430.373482.888490.069483.683424.398297.407267.723369.272317.949316.1307.37292.388
Totaal eigen vermogen van aandeelhouders 589.283609.117585.025682.569645.448568.515634.932671.607589.898488.641379.927378.61386.022364.725354.161342.405334.182306.768274.817259.621232.679156.553120.97163.013-341.902-54.069288.205559.379558.029554.938576.036546.975
Totaal eigen vermogen 535.356565.549580.857686.463650.129584.024642.653689.471641.341546.504405.194405.773406.371380.471368.732349.563342.105328.173321.155281.543262.317190.342157.15196.649-328.889-33.265310.822583.403583.221560.676582.571546.975
Totaal passiva en aandeelhoudersvermogen 926.347885.919920.115930.296954.386916.971,031.7851,054.3991,009.898944.875737.336730.341740.124724.618743.112754.48729.468703.745831.406725.005707.706633.334529.562496.648278.076532.509982.4431,324.9831,359.921,295.9271,212.6461,121.486