MeiHua Holdings Group Co.,Ltd

SSE:600873.SS

11.12 (CNY) • At close April 29, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4,561.0564,969.7944,333.6013,396.2021,571.8252,218.0211,912.5982,277.1162,404.4121,094.0891,410.7811,216.618863.6071,862.8691,215.569116.02991.08176.91668.59558.68118.73740.28561.05546.72556.23616.55619.39913.63948.85942.023
Kortetermijnbeleggingen 312.034271.079175.624-61.052-42.2061034.337.908-14.557-00-0-0000000000000000.15.5113.009
Liquide middelen en kortetermijnbeleggingen 4,873.095,241.0734,509.2253,396.2021,571.8252,228.0211,946.9282,285.0242,404.4121,094.0891,410.7811,216.618863.6071,862.8691,215.569116.02991.08176.91668.59558.68118.73740.28561.05546.72556.23616.55619.39913.73954.3745.032
Nettovorderingen 737.623830.373600.079387.658448.341490.521561.671584.765568.808468.805465.526357.089000178.318108.65437.97194.80186.423108.874041.3541.5121.0270.3334.10823.40.250.24
Voorraad 2,722.282,922.5194,068.552,964.1862,222.5022,133.0811,866.339995.023832.8861,275.5341,917.061,637.414944.7571,238.421701.905414.971333.69326.13237.329159.518115.913109.7217.95726.79327.54525.00724.49642.88916.1377.164
Overige vlottende activa 566.887513.346277.907451.672427.204555.629720.011225.022786.077753.5981,662.1451,130.927819.0371,826.3811,150.34275.39923.19642.65258.96453.28328.51890.73421.43421.83721.47917.58153.60640.57246.58736.822
Totaal vlottende activa 8,899.889,507.3119,912.5847,577.3565,551.7675,422.4185,094.9484,791.8774,609.1835,026.4075,961.2394,796.0973,307.9585,278.5863,357.169777.003556.622555.253459.688357.906272.042240.739100.44695.355105.659.476101.609120.6117.34289.258
Niet-vlottende activa:
Materiële vaste activa, netto 12,074.87911,600.29611,669.76911,066.47211,297.90111,484.07611,702.77110,643.79511,043.92111,717.75512,849.2212,496.74812,387.0587,574.265,233.139145.533158.33166.383165.771222.647219.138208.773233.123234.21228.442226.94221.41174.298143.611121.514
Goodwill 11.78911.78911.78911.789117.214117.214143.174143.174143.174143.174433.52511.78911.78918.0818.0819.41619.41619.416000000000000
Immateriële activa 1,356.8121,075.9431,109.4061,139.6131,182.5791,221.3331,224.108823.873783.523759.159865.501716.6805.776813.379760.82327.22330.17841.41344.48445.95347.1847.8543.36438.21239.23931.91730.08930.87931.66832.458
Goodwill en immateriële activa 1,368.6011,087.7321,121.1951,151.4021,299.7931,338.5471,367.281967.047926.697902.3331,299.025728.389817.565831.459778.90346.63949.59460.82944.48445.95347.1847.8543.36438.21239.23931.91730.08930.87931.66832.458
Langetermijnbeleggingen 146.636728.6611,109.236890.981612.147568.378656.102565.824309.076366.224233.616121.599151.863000000000000000041.682
Belastingvorderingen 101.815106.143135.669111.413179.088164.244110.45112.54513.9059.22328.5525.32610.6337.5743.0096.3135.4214.969000000000003.009
Overige niet-vlottende activa 1,217.748127.037541.77123.57852.612340.039133.475120.82880.23147.554230.022565.432423.237148.95630.0457.03651.62647.19242.99444.5246.25753.6256.5747.23765.56682.34887.16458.69851.5110.866
Totaal niet-vlottende activa 14,909.67813,649.86914,577.63913,343.84513,441.54113,895.28413,970.08112,310.03812,373.82913,143.0914,640.43413,917.49313,790.3568,562.2496,045.091255.522264.972279.373253.249313.121312.575310.243333.057319.659333.247341.206338.663263.874226.789199.529
Totaal activa 23,809.55823,157.1824,490.22220,921.20118,993.30819,317.70119,065.02917,101.91516,983.01218,169.49720,601.67318,713.5917,098.31513,840.8369,402.261,032.525821.594834.627712.937671.026584.617550.983433.502415.014438.847400.682440.272384.474344.132288.787
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,857.7512,608.6291,050.672387.7151,612.872886.3651,490.454679.123503.849748.252910.951,123.5422,142.365888.83990.271587.329125.626115.377104.42961.17266.46347.3820.5391.5452.0263.0392.3042.9813.1743.055
Kortlopende schulden 1,734.8331,543.8691,335.9282,269.0411,239.8942,201.9095,423.8382,768.4941,555.9151,516.1565,011.775,213.0462,976.8394,260.0031,953.625219.45170284.8233.17245.49191.35177.55767.16106627768.319.872.829
Belastingschulden 280.213138.281369.669307.85292.51484.789171.581146.397119.50646.85646.01928.802-260.021-434.753-189.8699.99311.3263.177-4.1368.96611.5148.0452.2071.4820.9231.3131.070.4784.063.636
Uitgestelde opbrengsten 001,092.8512,135.2421,494.232576.609171.581525.648650.496717.6361,077.968718.391312.13-110.435-53.0539.44531.11234.72214.33175.31361.21343.42118.57121.02129.60728.06419.11918.8229.67331.993
Overige kortlopende verplichtingen 2,566.1942,237.963,916.1582,211.8712,283.4981,565.769910.104698.562,407.5194,131.9965,309.2452,364.2583,418.253633.965399.339-133.788231.68137.902127.769141.61989.07874.28591.89220.88939.6172.16820.2321.73928.93130.539
Totaal kortlopende verplichtingen 7,438.9896,528.7396,672.4285,585.7335,228.7785,457.2397,995.9774,292.5734,586.7896,443.25911,277.9848,729.6488,277.4375,348.0463,153.366682.984534.632541.256461.232457.247357.815307.269161.798129.916104.558153.5291.70445.327108.96566.229
Langlopende verplichtingen:
Langetermijnschulden 1,350.0792,002.5533,681.034,198.3713,906.8874,090.2031,206.3853,290.9942,986.7453,002.675853.3611,893.8173,285.0363,310.3121,3209702640.73003059.937570830.652403000
Uitgestelde opbrengsten niet-vlottend 381.021384.988429.899474.936522.136549.488486.94190.79292.65164.05365.578000020-260000000000000
Uitgestelde belastingverplichtingen niet-vlottend 21.58521.496180.23240.6273.9574.2373.091-3,223.835-2,966.745-2,962.67522.73400001.0461.0460000000000000
Overige niet-vlottende verplichtingen 42.938441.37710.501500157.951112.65164.0530054.55638.200.2690001.43900.3520.6820.594-7.032-6.9074.0083.8393.6043.26
Totaal niet-vlottende verplichtingen 1,795.6232,465.4264,301.6624,713.9344,447.984,643.9271,696.4183,448.9453,099.3953,166.728941.6731,956.8333,339.5923,348.5121,32067.89627.04640.7301.4393060.28275.68270.59475.968-6.25544.00833.8393.6043.26
Totaal passiva 9,234.6138,994.16510,974.08910,299.6679,676.75810,101.1669,692.3957,741.5187,686.1849,609.98712,219.65710,686.48111,617.0288,696.5584,473.366750.88561.678581.956491.232458.686387.815367.551237.481200.509180.526147.265135.71279.166112.56969.489
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 2,852.7892,943.4263,042.4653,098.623,100.0223,104.293,108.1753,108.2273,108.2273,108.2273,108.2273,108.2272,708.2372,708.2371,008.237108.237108.237108.237108.237108.237108.237108.237108.237108.237108.237108.237108.237108.23794.994.9
Ingehouden winsten 10,370.649,427.7227,605.7694,548.7273,324.6033,244.8473,369.7373,503.3983,350.5812,730.5312,643.7652,499.4462,427.4532,120.1771,929.0549.44138.45330.9387.660.522-118.571-126.859-98.263-79.78-43.403-48.3082.3782.9270.630.969
Overige gereserveerde algehele resultaten 0759.1591,029.455910.493788.36501.12516.409458.735370.413259.596-00000000000000000000
Overige totale aandeelhoudersvermogen 1,351.5161,032.7082,324.7522,974.1861,872.9612,630.0982,636.0882,034.7982,234.7982,234.7982,464.5612,419.436345.597315.8641,991.60770.59475.61577.76489.31975.93188.837187.759186.048186.048194.389193.488198.896195.676136.032123.429
Totaal eigen vermogen van aandeelhouders 14,574.94514,163.01513,516.13310,621.5339,085.9468,979.2349,110.2899,105.1589,064.0198,333.1528,216.5528,027.1095,481.2875,144.2784,928.894236.047219.758216.939190.552184.688178.503169.136196.021214.505258.321253.416304.66305.346231.563219.298
Totaal eigen vermogen 14,574.94514,163.01513,516.13310,621.5339,316.559,216.5359,372.6349,360.3979,296.8288,559.518,382.0168,027.1095,481.2875,144.2784,928.894281.645259.915252.67221.705212.341196.803183.432196.021214.505258.321253.416304.66305.308231.563219.298
Totaal passiva en aandeelhoudersvermogen 23,809.55823,157.1824,490.22220,921.20118,993.30819,317.70119,065.02917,101.91516,983.01218,169.49720,601.67318,713.5917,098.31513,840.8369,402.261,032.525821.594834.627712.937671.026584.617550.983433.502415.014438.847400.682440.372384.474344.132288.787