Longjian Road&Bridge Co.,Ltd

SSE:600853.SS

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

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,669.0564,232.3836,365.1495,359.7314,758.2422,547.5191,854.5871,549.3171,070.2151,034.437761.999658.53343.931307.413341.646314.961165.225149.81124.741156.894248.422283.583145.4883.25453.90690.883109.76387.26565.94541.2370
Kortetermijnbeleggingen 84.0284.0284.0284.0284.02-826.669-322.656-825.002-1,059.787-423.0870000000000000000.00400000
Liquide middelen en kortetermijnbeleggingen 5,753.0764,316.4036,449.1695,443.7514,842.2622,547.5191,854.5871,549.3171,070.2151,034.437761.999658.53343.931307.413341.646314.961165.225149.81124.741156.894248.422283.583145.4883.25453.90690.887109.76387.26565.94541.2370
Nettovorderingen 13,879.89712,855.29110,431.8366,890.6178,013.7684,350.2223,113.8612,798.861,974.0961,805.9261,315.8321,321.1731,456.884001,362.0120496.061610.879517.345509.878980.403990.79819.06153.06249.062173.6270.29753.78775.8940
Voorraad 1,692.4021,389.2151,253.7411,782.9671,471.3484,758.6134,836.8764,166.0963,366.4252,986.9972,544.9922,740.5312,373.142,735.242,342.1922,154.1011,734.1081,449.9161,440.8131,619.7821,072.249141.583132.643367.195374.459646.429757.358781.523837.63752.440
Overige vlottende activa 1,091.761,896.95211,217.231,708.3311,710.1446,023.5641,532.0891,894.2571,107.443639.474886.2121,011.1511,070.494204.626262.648653.841,020.343135.518169.01119.9221,013.776452.9281,196.4191,351.0411,453.9051,483.4181,183.7351,195.91,043.7471,090.7581,847.663
Totaal vlottende activa 22,417.13520,462.84818,954.80815,863.41416,093.66313,364.39811,337.41310,408.537,518.1796,466.8345,509.0345,731.3855,053.0444,794.6124,333.3924,484.9152,919.6762,696.4792,810.8032,996.4092,336.3331,858.4961,474.5511,737.4011,935.3322,267.8212,224.4762,134.9852,001.1091,960.3281,847.663
Niet-vlottende activa:
Materiële vaste activa, netto 953.432938.992910.211910.244867.577616.458561.049464.586344.84262.825290.197300.428337.939346.44333.725305.326263.2641,159.131,124.013561.752573.811453.094432.097204.515192.922651.667659.68914.537893.383852.378785.13
Goodwill 1.5471.5471.5471.5471.5471.5471.5473.463.463.463.463.463.463.463.463.463.463.460000000000000
Immateriële activa 1,875.3981,926.1212,228.1921,579.024461.913453.245434.884441.674461.24479.198496.501519.524539.796560.085580.366599.1551,072.25810.83511.10313.97814.30314.62714.95153.03754.31555.62157.08271.20472.76374.3230
Goodwill en immateriële activa 1,876.9441,927.6682,229.7381,580.571463.459454.792436.43445.134464.7482.658499.961522.985543.256563.545583.826602.6151,075.71914.29511.10313.97814.30314.62714.95153.03754.31555.62157.08271.20472.76374.3230
Langetermijnbeleggingen 1,528.5221,490.544904.087469.533454.1521,053.736394.089846.5641,074.291428.7670149.599149.59900149.59900000000061.94700000
Belastingvorderingen 61.24151.15234.35527.9732.06439.38332.95332.429.19525.40223.36623.71223.40418.96718.85216.45713.35311.9970000000-61.94700000
Overige niet-vlottende activa 10,676.0311,648.9149,451.6097,768.9135,535.3474,215.0292,610.043580.88929.40522519.911288.0440149.599149.5990.466149.599149.599152.057163.983164.522163.76165.30931.02835.94555.19758.20961.13753.74146.226123.695
Totaal niet-vlottende activa 15,096.16916,057.26913,53010,757.237,352.66,379.3984,034.5652,369.5731,942.431,221.6521,333.4341,284.7671,054.1981,078.551,086.0011,074.4631,501.9351,335.0211,287.172739.713752.636631.481612.357288.58283.183762.484774.971,046.8791,019.887972.927908.825
Totaal activa 37,513.30436,520.11832,484.80926,620.64423,446.26319,743.79615,371.97712,778.1039,460.6097,688.4866,842.4687,016.1526,107.2425,873.1625,419.3945,559.3784,421.6114,031.54,097.9753,736.1223,088.9692,489.9782,086.9082,025.9812,218.5143,030.3052,999.4463,181.8633,020.9972,933.2552,756.488
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 11,829.0639,636.5247,297.5567,661.3766,427.0335,836.1744,817.1434,584.6013,344.5363,046.6622,595.1592,365.0532,186.8492,006.7942,073.1551,743.4551,148.926326.5981,203.9311,164.608665.172890.343781.406389.384354.235526.961517.644466.276440.555504.5970
Kortlopende schulden 3,166.575,654.314,279.7422,803.1112,472.3154,612.4474,014.3281,731.51,101.69881803.712886.166677.295367306.994212181303.651506.766612.266557.266453.09246.29383.82549.61655.34591.76365.19536.39442.20
Belastingschulden 185.09164.62487.115110.70287.093157.08593.94285.91469.499250.428255.19268.441265.578271.458247.664206.443128.77115.436123.364107.49881.74472.09484.88298.44275.31562.63263.5652.87532.31829.1190
Uitgestelde opbrengsten 003,587.6892,577.4643,245.012842.27493.942710.18954.2451,450.5791,374.5921,474.3731,339.871,307.5781,149.1191,171.777945.591739.043657.485509.373311.011255.999276.837180.874153.995258.902229.863309.667354.76331.1830
Overige kortlopende verplichtingen 7,209.7226,693.1786,908.3013,089.9074,570.7862,458.3591,766.1932,827.5911,932.4692,060.4941,556.2032,064.9671,831.1592,051.1531,601.3761,760.1421,386.8431,751.371984.518927.681874.256340.249303.457382.736258.171371.885312.94489.109457.77456.611,330.469
Totaal kortlopende verplichtingen 22,390.44722,048.63618,572.71515,550.31216,041.66213,064.06610,691.6069,229.6066,448.1946,238.5845,210.2645,584.6284,960.8814,696.4054,229.1893,922.042,845.5392,497.0552,818.5792,812.0532,178.4391,755.7771,416.0341,254.3821,230.2571,616.8181,485.9041,373.451,467.0331,432.5251,330.469
Langlopende verplichtingen:
Langetermijnschulden 8,513.6318,597.7418,888.9656,869.8573,400.8813,803.3172,423.9182,331.8032,096.549446.019594.449547.51210303.009366.227589594569190.5000070200.55369154459207194.3410
Uitgestelde opbrengsten niet-vlottend 5.4086.3736.3736.37333.04248.5525.8525.5035.60747.452000000-323.5110000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.280.22000-3,173.955-1,980.535-2,115.1580-289.073-404.1570000000.0050000000000000
Overige niet-vlottende verplichtingen 02.131506.447168.084688.087629.362448.701222.14580.73156.947190.29290.637155.69108.60591.519286.767245.836245.489166.3416.0020001065.0965.0965.0965.0965.09237.97
Totaal niet-vlottende verplichtingen 8,519.3198,606.4649,401.7857,037.9414,088.9674,481.2312,872.6192,553.9482,177.279638.573832.194638.147365.69411.614457.746875.767839.836814.494356.82716.00216.0020071200.55434.09219.09524.09272.09259.431237.97
Totaal passiva 30,909.76730,655.10127,974.522,588.25320,130.62917,545.29713,564.22511,783.5548,625.4736,877.1576,042.4586,222.7745,326.5715,108.0194,686.9354,797.8083,685.3763,311.5493,175.4062,828.0552,194.4411,755.7771,416.0341,325.3821,430.8072,050.9081,704.9941,897.541,739.1231,691.9561,568.439
Eigen vermogen:
Preferente aandelen 00000000002.32100000000000000000000
Gewone aandelen 1,014.7781,014.9031,014.9031,014.9031,004.902837.418644.168536.808536.808536.808536.808536.808536.808536.808536.808536.808536.808536.808631.136532.4532.4532.4532.4532.4532.4532.4532.4484484484440
Ingehouden winsten 1,915.351,540.0891,273.927976.752715.106600.499421.856298.957175.423164.548150.118137.961126.46114.7985.62455.60530.30313.43546.61530.09122.76310.939-49.4250-386.133-194.44395.287.09585.4653.063120.806
Overige gereserveerde algehele resultaten 00166.118142.098149.786138.142126.436113.427104.35101.544-2.3215.2950000000000000000000
Overige totale aandeelhoudersvermogen 763.126181.369147.851115.484695.306372.513453.14107.7177.35690.476105.5110.307109.938106.321106.044162.393161.272161.272248.354336.561330.686185.566182.784263.764652.482641.845815.06713.228712.413704.236627.243
Totaal eigen vermogen van aandeelhouders 3,693.2532,736.3612,670.072,348.8752,415.3131,836.4561,546.202956.547823.937802.9790.105785.076773.206757.919725.407754.805728.383711.515913.415899.052885.849728.905665.759700.599787.707979.3971,294.4521,284.3231,281.8731,241.2991,188.049
Totaal eigen vermogen 6,603.5385,865.0174,510.3094,032.3913,315.6332,198.51,807.752994.549835.137811.329800.01793.378780.671765.143732.458761.57736.235719.951922.569908.067894.528734.201670.873700.599787.707979.3971,294.4521,284.3231,281.8731,241.2991,188.049
Totaal passiva en aandeelhoudersvermogen 37,513.30436,520.11832,484.80926,620.64423,446.26319,743.79615,371.97712,778.1039,460.6097,688.4866,842.4687,016.1526,107.2425,873.1625,419.3945,559.3784,421.6114,031.54,097.9753,736.1223,088.9692,489.9782,086.9082,025.9812,218.5143,030.3052,999.4463,181.8633,020.9972,933.2552,756.488