Sichuan Changhong Electric Co.,Ltd.

SSE:600839.SS

10.02 (CNY) • At close July 21, 2025
Overzicht | Financiële gegevens

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 25,421.10726,382.19621,615.59121,171.619,86419,489.90916,871.02115,048.46111,955.05610,254.49413,999.81213,438.23710,878.31311,150.78410,235.4687,051.7675,229.8261,987.4932,254.2221,248.7392,065.2971,121.6081,005.1191,645.5161,523.7971,897.286911.7421,047.95397.145163.1720
Kortetermijnbeleggingen 200.2245,518.542300.302750805658.435272.326121.846241.06551.66686.30426.03728.1251.849.83565.25796.64899.674139.109210.419372.971959.8211,136.3561,073.9551,135.19000000
Liquide middelen en kortetermijnbeleggingen 25,621.33126,382.19621,915.89321,921.620,66920,148.34417,143.34815,170.30712,196.12110,306.16114,086.11613,464.27410,906.43311,202.58510,285.3037,117.0245,326.4742,087.1672,393.3311,459.1572,438.2692,081.4282,141.4762,719.4712,658.9871,897.286911.7421,047.95397.145163.1720
Nettovorderingen 19,100.6518,183.87314,660.98114,002.78114,326.13113,201.0314,526.82513,916.86413,912.43414,350.68717,346.21316,484.32415,182.71716,041.83411,978.0578,657.8734,737.5477,662.7533,601.685,302.0183,090.6188,068.0375,906.03291,003.81-216.5796,333.0847,063.4267,121.6033,577.450
Voorraad 22,864.69619,547.11918,887.17917,320.67317,657.59615,937.21414,112.72414,858.98712,044.63811,745.60211,917.25612,541.79312,556.01310,047.0858,851.9048,296.3476,007.8236,586.7185,301.5444,766.7586,012.8987,005.597,192.8745,941.36,457.0266,142.8177,705.5193,554.5022,715.7951,520.1810
Overige vlottende activa 5,747.6216,366.155,029.7233,129.4933,489.7083,050.0994,555.2283,261.8624,447.0422,293.684,882.6251,549.4643,133.611,089.733611.439199.5691,012.537853.136416.026206.155242.7958,450.4785,924.7425,576.8782,641.3325,355.1231,660.1832,775.5947,348.1363,912.2052,516.44
Totaal vlottende activa 73,334.29970,576.58561,604.98656,374.54756,142.43552,336.68750,444.21948,284.1142,600.23540,530.23948,495.21144,132.85540,471.20938,018.79431,279.98624,270.81317,084.38115,702.54211,957.10812,329.22111,911.82217,537.49615,259.09114,246.64912,715.41513,797.55216,343.20414,441.47210,461.0765,595.5582,516.44
Niet-vlottende activa:
Materiële vaste activa, netto 7,851.2147,758.3958,061.3528,417.498,349.6518,434.5128,125.3836,223.3936,064.5336,123.016,248.6239,121.6358,784.7448,930.1548,843.6217,875.627,488.5573,082.3772,645.1172,826.0453,116.693,336.7862,802.3342,764.2193,167.7242,318.3962,142.0552,006.37965.207759.396551.617
Goodwill 141.82141.82151.439171.05206.023274.596447.759268.96157.934157.526162.84165.107170.637160.03169.402148.323140.74328.7380000000000000
Immateriële activa 4,734.4974,673.5394,767.1624,633.6354,752.4514,844.6884,698.6513,888.1243,309.4453,254.0153,371.73,617.1113,746.23,583.4243,400.5833,220.9852,837.292,429.1621,668.294435.34434.107441.6451.725450.824445.493167.52171.054174.58810.24810.4680
Goodwill en immateriële activa 4,876.3184,815.3594,918.6024,804.6854,958.4745,119.2845,146.4094,157.0843,467.3793,411.5413,534.5413,782.2183,916.8373,743.4533,569.9853,369.3082,978.0332,457.91,668.294435.34434.107441.6451.725450.824445.493167.52171.054174.58810.24810.4680
Langetermijnbeleggingen 7,716.10657.1794,679.3223,204.7733,116.5592,340.1262,609.4792,953.4612,380.0391,324.0221,123.0181,146.51762.248629.296532.379645.087560.1081,251.78103.747-65.984-214.496-920.561-997.221-921.933-982.237000000
Belastingvorderingen 690.656498.944350.636312.479281.24215.097224.929168.882205.551178.751188.149156.473165.299197.648194.764221.437220.905211.064251.464320.408405.09970.4951,155.3191,098.6091,113.48000000
Overige niet-vlottende activa 4,909.8110,693.7885,922.8416,285.8435,739.2815,543.5064,954.5193,635.7655,145.2374,047.779635.066497.317445.205131.718135.209153.828393.157350.902-55.756-21.041-4.183-1.526-0.881-0.856145.135223.41196.133162.466102.92848.3643.932
Totaal niet-vlottende activa 26,044.10423,823.66523,932.75223,025.26922,445.20621,652.52721,060.7217,138.58417,262.73915,085.10311,729.39614,704.15314,074.33213,632.2713,275.95812,265.2811,640.767,354.0244,612.8653,494.7683,737.2083,826.7933,411.2763,390.8633,889.5952,709.3272,509.2422,343.4241,078.383818.224595.548
Totaal activa 99,378.40294,400.2585,537.73879,399.81678,587.64173,989.21471,504.93965,422.69359,862.97455,615.34160,224.60758,837.00854,545.54151,651.06444,555.94436,536.09328,725.14123,056.56516,569.97315,823.98915,649.0321,364.28918,670.36717,637.51216,605.0116,506.87918,852.44616,784.89611,539.4596,413.7823,111.989
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 47,189.47241,546.57134,848.4931,339.58924,334.77924,244.69524,165.12421,474.29718,063.69415,049.91213,175.18713,433.3857,044.55412,792.77410,920.9788,920.0078,112.6397,059.0254,239.0523,610.0192,526.8254,549.2293,568.0474,214.8062,557.0573,133.5646,190.0213,551.5893,560.4151,278.1530
Kortlopende schulden 10,232.02412,474.52114,426.87813,065.31417,488.80917,319.47416,198.42416,337.11713,896.9059,760.08716,749.99114,648.87312,464.5118,866.9657,236.3464,647.8124,287.9042,836.0112,228.5051,374.932,670.4592,706.0191,621.55485285243.9841,1532,478.1682,330.951,228.530
Belastingschulden 616.04504.755499.119496.547459.76348.221431.173432.191381.816-20.959-311.924-521.257-604.765-280.537-404.295-270.278-218.229-499.747-455.991-562.267-807.447-719.663-1,133.087-450.461-194.81411.29120.349440.778118.43557.1610
Uitgestelde opbrengsten 002,524.9338,044.6547,907.154,213.595431.1733,978.7923,671.6653,470.0973,084.0263,112.032,271.9611,915.6761,283.8581,098.015639.149217.429203.593-160.301-507.448-365.702-792.922-277.8476.266218.312222.2021,605.364972.658556.3970
Overige kortlopende verplichtingen 10,856.80210,628.3799,574.0399,358.8318,618.683,437.5066,548.6184,409.4761,683.1849,406.9764,878.8762,640.54710,432.3295,061.5572,517.6132,090.985964.0733,164.0861,031.8691,332.6851,585.1241,555.1951,671.1081,027.399857.623462.235475.5171,323.5551,071.559794.7571,394.715
Totaal kortlopende verplichtingen 68,894.33865,154.22659,348.52754,260.28154,298.39149,563.49147,849.22241,549.35437,697.26534,196.01637,576.15633,539.2530,770.79226,415.73723,660.15717,975.03714,892.36311,801.2427,302.5795,755.3685,974.9628,090.785,727.6224,876.7433,504.8663,564.5797,838.8867,794.097,081.3593,358.6011,394.715
Langlopende verplichtingen:
Langetermijnschulden 3,728.9753,337.8351,683.2711,880.4651,785.0341,167.755185.1981,030.719895.8162,450.0952,024.1524,606.7784,390.6876,261.2945,273.3554,315.06784.198186.84900707000663617.1881430
Uitgestelde opbrengsten niet-vlottend 661.225686.789725.298761.558681.543655.223593.93411.743450.153397.604410.9540018.49533.21435.3230000-54.77-60.4500-0-6-360000
Uitgestelde belastingverplichtingen niet-vlottend 291.363231.94898.3971.77166.14854.5353.13326.98951.5289.31432.39174.781111.149144.838175.916232.16457.10418.4062.0323.01244.985.9768.5719.79611.0212.2450000
Overige niet-vlottende verplichtingen 831.436929.061845.351586.237559.991,412.6421,566.3891,702.174739.454760.613728.5361,340.0211,161.868941.158804.586545.129370.037294.134110.35818.715.239.550000000010
Totaal niet-vlottende verplichtingen 5,5135,185.6323,352.3113,300.0313,092.7153,290.152,232.0943,016.5072,136.9523,617.6273,196.0335,795.915,663.7037,365.7866,287.0715,127.6761,211.339499.38924.32221.71289.2384.535.9768.571-77.63517.0248.24517.18814310
Totaal passiva 74,407.33870,339.85962,700.83757,560.31357,391.10652,853.64150,081.31644,565.86139,834.21737,813.64240,772.18939,335.1636,434.49533,781.52329,947.22823,102.71216,103.70212,300.6317,326.9015,777.086,064.1928,175.315,733.5984,885.3153,427.2313,581.5997,887.1317,811.2797,095.3593,361.6011,404.715
Eigen vermogen:
Preferente aandelen 000000000001.9860000000000000000000
Gewone aandelen 4,616.2444,616.2444,616.2444,616.2444,616.2444,616.2444,616.2444,616.2444,616.2444,616.2444,616.2444,616.2444,616.2444,616.2442,847.3171,898.2111,898.2111,898.2111,898.2112,164.2112,164.2112,164.2112,164.2112,164.2112,164.2112,164.2111,988.9681,529.976808.584505.365237.819
Ingehouden winsten 5,976.2765,627.9155,125.2574,749.714,517.8764,608.6574,652.1444,201.4954,047.8641,377.2632,081.5382,125.0731,671.0971,393.5861,048.062587.118566.223616.416284.96-1,412.856-1,697.8931,983.2271,821.231,682.2582,047.0781,840.3151,637.927493.76722.89819.829712.36
Overige gereserveerde algehele resultaten 00577.688607.193537.863455.275445.9042,163.958656.8832,929.37728.881-1.9860000000000000000000
Overige totale aandeelhoudersvermogen 4,067.7893,883.6113,138.8443,948.3713,877.7183,339.8553,802.275,655.9133,288.1263,184.0083,288.1267,302.847,266.9057,233.6815,978.7487,086.6356,522.1366,812.1936,916.0829,039.648,989.0058,984.6818,940.8058,900.3389,400.0428,931.0437,556.2866,949.8743,612.6182,526.987757.094
Totaal eigen vermogen van aandeelhouders 14,660.3114,127.7713,660.36913,314.32613,011.83813,020.03113,051.80212,892.58212,609.11712,106.82714,052.11514,044.15713,554.24613,220.9929,874.1279,571.9648,986.579,297.6398,960.3389,790.9959,455.32313,132.1212,926.24712,741.31413,174.62912,925.2810,965.3148,973.6174,444.13,052.1811,707.273
Totaal eigen vermogen 24,971.06424,060.39222,836.90121,839.50421,196.53521,135.57321,423.62220,856.83220,028.75717,801.69919,452.41819,501.84918,111.04617,869.54114,608.71613,433.38112,621.43910,755.9349,243.07210,046.9099,584.83813,188.97912,936.76912,752.19713,177.77812,925.2810,965.3148,973.6174,444.13,052.1811,707.273
Totaal passiva en aandeelhoudersvermogen 99,378.40294,400.2585,537.73879,399.81678,587.64173,989.21471,504.93965,422.69359,862.97455,615.34160,224.60758,837.00854,545.54151,651.06444,555.94436,536.09328,725.14123,056.56516,569.97315,823.98915,649.0321,364.28918,670.36717,637.51216,605.0116,506.87918,852.44616,784.89611,539.4596,413.7823,111.989