Bank of Hangzhou Co., Ltd.

SSE:600926.SS

17.17 (CNY) • At close July 18, 2025
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 151,437.633154,967.833144,442.621127,608.691119,888.234143,515.257129,500.1101,443.05435,205.15852,797.66742,754.7326,503.50259,443.21423,705.14921,841.6584,410.3737,090.35822.4071,950.1122,753.5555,030.7626,717.0696,203.665
Kortetermijnbeleggingen 0-112,156.704000000000000000000000
Liquide middelen en kortetermijnbeleggingen 151,437.63342,811.129144,442.621127,608.691119,888.234143,515.257129,500.1101,443.05435,205.15852,797.66742,754.7326,503.50259,443.21423,705.14921,841.6584,410.3737,090.35822.4071,950.1122,753.5555,030.7626,717.0696,203.665
Nettovorderingen 00000000037,526.32234,299.33817,881.6913,622.4311,547.8826,859.3781,443.247351.376211.089161.778144.97371.119144.108138.059
Voorraad 00000-261,036.396-163,763.019-122,074.857-128,013.36500000000000000
Overige vlottende activa 0359,407.707000000000000000000000
Totaal vlottende activa 151,437.633402,218.836144,442.621127,608.691119,888.234144,486.015245,518.154206,042.73290,077.03490,323.98977,054.06844,385.19273,065.64435,253.03128,701.0365,853.627,441.7261,033.4962,111.892,898.5285,101.8816,861.1776,341.724
Niet-vlottende activa:
Materiële vaste activa, netto 3,513.9865,397.0293,210.1582,483.0592,137.0291,649.8641,481.981,448.6831,464.6681,549.9861,568.0311,606.7961,181.221929.724883.24838.822758.964516.883423.121307.969331.227213.402208.117
Goodwill 00000000000000000000000
Immateriële activa 1,543.2081,472.6641,159.7481,162.1351,139.8481,143.151,140.748202.915205.663210.729225.906240.833215.571193.343193.644147.847145.695140.552122.669127.7512.761116.41299.197
Goodwill en immateriële activa 1,543.2081,472.6641,159.7481,162.1351,139.8481,143.151,140.748202.915205.663210.729225.906240.833215.571193.343193.644147.847145.695140.552122.669127.7512.761116.41299.197
Langetermijnbeleggingen 982,079.4490753,979.099660,012.951533,483.961432,556.264303,820.707330,898.346297,045.893168,395.6780,769.06447,464.95335,327.19631,314.47933,037.88628,671.46516,854.04915,244.96811,894.2078,231.3191,207.5463,955.7591,479.18
Belastingvorderingen 0012,391.7089,798.3699,420.8755,663.1794,076.6073,381.1331,835.129000000000001,551.5344,285.5731,786.494
Overige niet-vlottende activa -987,136.6431,477,697.638-12,391.708-9,798.369-9,420.875-5,663.179-4,076.607-3,381.133-1,835.129-170,156.385-82,563.001-49,312.582-36,723.988-32,437.546-34,114.77-29,658.134-17,758.708-15,902.403-12,439.997-8,667.038000
Totaal niet-vlottende activa 1,960,918.2271,484,567.331758,349.005663,658.145536,760.838435,349.278306,443.435332,549.944298,716.224170,156.38582,563.00149,312.58236,723.98832,437.54634,114.7729,658.13417,758.70815,902.40312,439.9978,667.0381,551.5344,285.5731,786.494
Totaal activa 2,112,355.861,841,330.8021,616,538.0511,390,564.531,169,257.2481,024,070.107921,056.104833,338.728720,424.176545,314.565418,541.235340,188.56324,984.47243,937.268217,429.36149,991.28899,617.09569,271.22656,948.64146,381.70538,159.4639,752.06632,147.722
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0000008,127.3756,123.2335,282.6246,072.6515,215.6444,198.0042,976.8982,203.8791,335.0321,018.637822.24470.955331.847244.256158.564124.26984.126
Kortlopende schulden 00000000000000000000000
Belastingschulden 1,738.1212,032.9412,897.33,780.7675,517.0543,187.495743.4871,445.669681.401688.808568.642725.133888.109608.503401.862226.649187.619279.927184.684188.759148.41260.983-37.301
Uitgestelde opbrengsten 03.8043.6193.4223.2253.028-144,688.029-122,991.263-265,401.9200000000000000
Overige kortlopende verplichtingen 899,781.645909,168.962-2,900.919-3,780.767-5,517.054-3,187.495-8,870.862396,057.221-5,964.025-6,761.459-5,784.286-4,923.137-3,865.007-608.503-401.862-226.649-187.619-279.927-184.684-433.015-306.975-185.252-46.826
Totaal kortlopende verplichtingen 901,519.766911,205.707758,106.068864,813.758737,069.426617,595.6188,127.3756,123.2335,282.6246,072.6515,215.6444,198.0042,976.8982,203.8791,335.0321,018.637822.24470.955331.847244.256158.564124.26984.126
Langlopende verplichtingen:
Langetermijnschulden 02,057.503301,628.372291,760.585163,793.183159,314.422200,629.234193,384.384192,709.8760013,893.32527,149.8917,769.0555,811.1721,828.5132,191.359807.845797.0940000
Uitgestelde opbrengsten niet-vlottend 00297,834.649288,404.339161,440.753158,406.119199,203.965193,020.786192,410.91600000000000000
Uitgestelde belastingverplichtingen niet-vlottend 001,931.3781,477.4882,352.43908.3031,425.269363.598298.9600000000000000
Overige niet-vlottende verplichtingen 0827,862.529-301,628.372-291,760.585-163,793.183-159,314.422663,262.287184,497.263-192,709.87600-13,893.325-27,149.891-7,769.055-5,811.172-1,828.513-2,191.359-807.845-797.0940000
Totaal niet-vlottende verplichtingen 0829,920.032299,766.027289,881.827163,793.183159,314.422200,629.234193,384.384192,709.87697,874.53229,282.72513,893.32527,149.8917,769.0555,811.1721,828.5132,191.359807.845797.094000500
Totaal passiva 1,976,307.8611,730,037.592299,766.027289,881.827163,793.183159,314.422863,891.521781,507.77681,862.481513,420.123392,379.046319,575.512307,471.707229,508.908205,491.232139,628.30294,807.69565,431.8953,747.16643,891.35136,644.57838,307.56531,411.144
Eigen vermogen:
Preferente aandelen 9,979.2099,979.2099,979.2099,979.2099,979.2099,979.2099,979.2099,979.209000420.5800000000000
Gewone aandelen 6,049.2555,930.2855,930.2785,930.2555,930.25,130.25,130.23,664.4292,617.4492,355.6992,175.1991,671.4161,671.4161,671.4161,671.4161,671.4161,321.4161,321.4161,321.4161,255.4161,005.4161,005.416525.741
Ingehouden winsten 44,270.56238,294.59430,197.69725,186.54822,737.33820,109.49716,580.50414,571.92112,645.62911,257.45310,610.0428,762.6275,691.7394,911.5982,977.8662,154.9261,528955.583508.714344.533257.89225.144170.15
Overige gereserveerde algehele resultaten 0028,823.79125,332.58520,004.28318,440.80416,608.79613,283.75411,919.992676.227119.061-420.5800000000000
Overige totale aandeelhoudersvermogen 75,748.97348,645.21152,466.04148,974.57442,215.8088,884.88724,654.35710,331.64511,378.6258,021.5346,246.994,491.1184,856.4057,796.0087,288.8466,536.6441,959.9841,562.3371,371.345890.405251.577213.94140.687
Totaal eigen vermogen van aandeelhouders 136,047.999102,849.29998,573.22590,070.58680,862.55562,544.59757,164.58351,830.95838,561.69531,835.28126,094.64820,547.21117,457.42714,379.02211,938.12810,362.9864,809.43,839.3363,201.4752,490.3541,514.8831,444.501736.578
Totaal eigen vermogen 136,047.999102,849.29998,573.22590,070.58680,862.55562,544.59757,164.58351,830.95838,561.69531,894.44226,162.18920,613.04817,512.76314,428.3611,938.12810,362.9864,809.43,839.3363,201.4752,490.3541,514.8831,444.501736.578
Totaal passiva en aandeelhoudersvermogen 2,112,355.861,841,330.8021,616,538.0511,390,564.531,169,257.2481,024,070.107921,056.104833,338.728720,424.176545,314.565418,541.235340,188.56324,984.47243,937.268217,429.36149,991.28899,617.09569,271.22656,948.64146,381.70538,159.4639,752.06632,147.722