Guangdong Meiyan Jixiang Hydropower Co.,Ltd.

SSE:600868.SS

2.78 (CNY) • At close August 1, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 562.778330.723320.537274.573379.006325.148185.059210.88127.57320.3044.58143.6342.47512.90462.38421.91723.664161.32540.841400.336339.777463.119351.772950.341508.136475.491557.28611.40784.13433.0013.702
Kortetermijnbeleggingen 115.769.0125.127-241.007-247.405-253.892-259.691-282.376-179.219-110.5950-164.379-000000.7250.325.16511.26267.07875.57700000018.623
Liquide middelen en kortetermijnbeleggingen 562.778339.735325.663274.573379.006325.148185.059210.88127.57320.3044.58143.6342.47512.90462.38421.91723.664162.04941.141402.336344.942474.381418.8491,025.918508.136475.491557.28611.40784.13433.00122.325
Nettovorderingen 397.651440.013392.321302.3896.7889.1816.345086.00850.27320.98862.01487.73400129.17788.375101.211400.0761.602498.5170218.757031.28342.9083.58110.8016.9370.6421.211
Voorraad 55.70873.09268.76119.706-2.92300-6.0410.415.80713.313.76633.16444.51456.16257.69791.451131.74260.754561.68850.988641.405421.672281.198219.611224.21130.95942.32455.6718.8798.264
Overige vlottende activa 8.8945.89866.8913.4865.2453.2754.24855.57135.159154.88197.1962.90988.8624.9485.13912.799105.788543.4011,010.6171,096.361114.927300.34357.113295.462213.363238.884348.665203.527122.02890.72950.867
Totaal vlottende activa 1,025.032858.649857.622700.154391.039337.604204.932266.451214.045240.088234.752122.324124.501175.917224.166215.258220.903841.4581,316.0872,061.9791,816.9831,416.1291,116.3911,602.578963.576938.393940.444257.788262.423133.25182.667
Niet-vlottende activa:
Materiële vaste activa, netto 1,415.4951,422.5951,381.3821,536.3671,635.0471,685.3321,776.1391,784.2351,922.412,097.5512,211.812,464.0882,706.23,182.7633,417.4024,386.44,617.2766,249.2726,487.2956,534.5635,735.9653,982.1252,782.9121,617.2331,132.07559.907354.675336.819287.329332.315251.592
Goodwill 2.56853.574172.373172.37300000000003.83.83.83.80000000000000
Immateriële activa 77.23156.41247.41252.81425.12226.00426.93727.9349.31358.87863.38984.967118.475231.829235.067258.913747.583657.203269.428325.07350.868252.137261.449286.05850.88713.79913.69113.9879.1449.94910.142
Goodwill en immateriële activa 79.799109.986219.785225.18825.12226.00426.93727.9349.31358.87863.38984.967118.475231.829238.867262.713751.383661.003269.428325.07350.868252.137261.449286.05850.88713.79913.69113.9879.1449.94910.142
Langetermijnbeleggingen 097.80465.452312.98341.046326.833330.539307.254305.777207.55988.854206.16639.5460000188.30246.34672.17188.942255.874195.728195.3500000016.376
Belastingvorderingen 15.81720.6546.9412.93411.77511.775-330.539-307.254-305.7770.261-88.8541.0810.0420.1050.0580.0420.0610.101000089.90184.37100000018.623
Overige niet-vlottende activa 369.896256.129362.0935.3857.7119.944340.974321.276314.8060.5210.456.29512.36250.01248.47141.502103.927155.6635.69369.20472.1446.0980.011.815293.36393.513268.439203.71791.4440.4712.461
Totaal niet-vlottende activa 1,881.0081,907.1682,035.6532,082.8542,020.72,059.8892,144.0492,133.4422,286.5292,364.7492,485.6492,762.5982,876.6263,464.7083,704.7984,690.6575,472.6477,254.3426,808.7627,001.0086,347.9154,536.2343,3302,184.8281,476.318967.219636.805554.523387.913382.734299.193
Totaal activa 2,906.0392,765.8172,893.2742,783.0082,411.742,397.4922,348.9812,399.8932,500.5742,604.8372,720.4012,884.9213,001.1273,640.6253,928.9644,905.9155,693.5518,095.88,124.8489,062.9868,164.8985,952.3634,446.3913,787.4052,439.8941,905.6121,577.249812.311650.336515.985381.86
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 162.915140.299153.407117.2845.7337.99110.5615.8897.89929.69535.69322.24740.86632.7738.299145.27275.345502.937492.303519.999496.87786.96658.68587.94858.96949.47422.27333.04550.46411.61318.893
Kortlopende schulden 27.322.110.319000001.577.167.560.50319.550.257469.351835.741,623.686948.2781,904.6811,740.21,427.2875655500215.8105.34571.10852.55594.75739.857
Belastingschulden 26.1279.15916.2514.723.3267.1472.2536.4976.7289.2958.55612.04920.40727.81974.98731.0812.5638.642-0.98-0.0413.079-0.1577.1132.3629.13223.765.1816.0731.5351.3231.679
Uitgestelde opbrengsten 0037.41488.8531.732.0232.50529.11969.6949.99648.09653.00796.388173.153271.411400.352470.448296.242221.53655.45849.72337.715267.526146.01576.15642.75215.36919.35619.25979.2548.853
Overige kortlopende verplichtingen 128.059100.0752.028-2.16418.717.44724.55564.41190.05766.3967.63563.11142.496193.926423.018383.4951,029.711380.943722.92967.26356.23452.164262.746183.70549.20665.29451.74717.67122.57479.74213.894
Totaal kortlopende verplichtingen 344.402271.627269.418218.69227.75932.58437.36976.797106.184182.48179.384157.907203.534574.065536.5611,029.1962,153.362,444.2642,162.532,491.9022,296.3891,566.1731,203.544929.015617.308314.451184.547127.897127.128187.43674.323
Langlopende verplichtingen:
Langetermijnschulden 90.955115.295124.728136.3030000146250.29381.9447.8542.8845.851,166.41,710.221,281.283,395.1823,632.9553,506.6092,734.6111,383.697471.373240.6108.8588.9573.217.14.050.819.2
Uitgestelde opbrengsten niet-vlottend 2.4812.6212.8493.0773.3061.7211.9142.1062.2992.6572.4040.8000-1,684.0921.9714.510000000000000
Uitgestelde belastingverplichtingen niet-vlottend 16.63216.8099.26310.0750.4380.4380.4380-146-250.29-381.9-0.800048.85163.87226.0240000000000000
Overige niet-vlottende verplichtingen 248.16302.545000-0.438000000.80.821.5426.1300-9.80737.96.98.512.3500000.110.110.11
Totaal niet-vlottende verplichtingen 358.231134.726136.841149.4563.7432.1591.9142.106148.299252.947384.304448.6543.6846.651,187.941,785.2011,367.1223,435.7163,623.1483,509.6092,742.5111,390.597479.883242.95108.8588.9573.217.14.160.9119.31
Totaal passiva 702.632406.352406.259368.14831.50234.74339.28378.903254.482435.428563.687606.507747.1341,420.7151,724.5012,814.3973,520.4815,879.9795,785.6786,001.5115,038.92,956.771,683.4261,171.965726.158403.401257.747144.997131.288188.34693.633
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 1,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,898.1491,273.9251,273.9251,158.1141,113.5711,012.337694.338694.338433.961277.763154.31386.9464.4
Ingehouden winsten -174.81-91.99126.105-25.353-22.958-35.93-82.625-65.745-141.207-203.649-223.417-159.398-175.785-211.243-221.129-433.491-370.898-809.039-635.85665.072100.917163.90158.681135.404314.543211.851143.855121.36465.76048.519
Overige gereserveerde algehele resultaten 072.62871.35168.39168.39166.07463.93961.81163.57545.9630.0090.6960000000000000000000
Overige totale aandeelhoudersvermogen 443.353409.509480.86409.509409.509409.509410.312471.32409.509409.509409.688414.85449.495449.888390.326390.326419.499940.612817.6081,446.1161,485.8371,431.4451,282.8171,372.969669.022588.769738.021261.587298.976240.699175.308
Totaal eigen vermogen van aandeelhouders 2,166.6922,288.2952,405.1132,350.6952,353.092,337.8012,287.6542,303.7242,230.0252,149.9712,128.9722,197.1042,171.8592,136.7942,106.1471,884.561,946.7491,974.4222,081.7922,785.1142,823.6912,753.462,577.5612,519.3341,633.8271,494.8791,312.888660.715519.049327.639288.227
Totaal eigen vermogen 2,203.4072,359.4652,487.0152,414.862,380.2372,362.7492,309.6982,320.992,246.0922,169.4092,156.7132,278.4142,253.9932,219.912,204.4632,091.5182,173.0692,215.8212,326.1033,061.4753,125.9982,995.5922,762.9652,615.441,713.7371,502.211,319.502667.315519.049327.639288.227
Totaal passiva en aandeelhoudersvermogen 2,906.0392,765.8172,893.2742,783.0082,411.742,397.4922,348.9812,399.8932,500.5742,604.8372,720.4012,884.9213,001.1273,640.6253,928.9644,905.9155,693.5518,095.88,124.8489,062.9868,164.8985,952.3634,446.3913,787.4052,439.8941,905.6121,577.249812.311650.336515.985381.86