Jinling Hotel Corporation, Ltd.

SSE:601007.SS

7.17 (CNY) • At close May 14, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 291.056248.949411.331450.542305.037518.721244.334205.061318.165474.4387.238485.597493.11580.088546.77439.48495.54500.90397.8757.05128.39238.732
Kortetermijnbeleggingen 264.122549.999502.467397.96274.835-333.207126.391117.48893.296181.14275.6828.2917.9358.16489.88386.399000000
Liquide middelen en kortetermijnbeleggingen 555.178798.947913.798848.502579.872518.721370.724322.549411.461655.542462.918513.889501.045588.252636.653525.879495.54500.90397.8757.05128.39238.732
Nettovorderingen 91.85862.216123.14383.87661.73145.7850.52372.89252.51754.75783.7155.73158.90864.32847.6950-0.5399.73908.9110.0010
Voorraad 563.316518.123624.133452.618426.884363.096325.902257.036256.681227.313232.122247.466234.299182.583139.90992.38556.37736.21520.78219.09717.217.031
Overige vlottende activa 174.862102.257351.12178.616230.702320.981288.99129.409106.52779.757136.719138.43399.074351.01850.45349.74648.32622.48255.4919.9361.117.308
Totaal vlottende activa 1,385.2141,482.9752,012.1931,563.6121,299.191,246.082986.14781.886857.532993.671915.469955.519910.4891,186.181874.71700.57600.243569.339174.14495.285106.69273.071
Niet-vlottende activa:
Materiële vaste activa, netto 1,053.1311,278.8731,336.3641,348.1811,144.7741,205.321,265.3281,321.541,357.8881,377.2271,512.4571,933.8151,392.0091,081.103840.388723.034631.383555.812288.053311.704334.812341.028
Goodwill 0000000000000000000000
Immateriële activa 308.687322.545334.424347.175356.852367.375376.816387.401399.246410.829422.6499.5629.99217.61417.7130000000
Goodwill en immateriële activa 308.687322.545334.424347.175356.852367.375376.816387.401399.246410.829422.6499.5629.99217.61417.7130000000
Langetermijnbeleggingen -52.256377.922-415.507-319.406-220.835395.5-22.97-19.774-35.701-95.3590.51469.402130.57189.626.609-0.211000000
Belastingvorderingen 31.688.97315.9639.5938.4296.4774.8751.6682.6234.4855.7657.90112.8439.5360.5490.3450.3010.6310000
Overige niet-vlottende activa 592.74916.01817.082758.373606.0179.212479.333485.39477.607548.989370.84128.917.9358.16489.88386.39954.90758.15869.43370.4492.1310.149
Totaal niet-vlottende activa 1,933.912,084.3242,088.3252,143.9151,895.2381,983.8852,103.3822,176.2262,201.6632,246.172,312.2262,049.5891,553.351,206.036955.141809.567686.59614.602357.486382.153336.942341.177
Totaal activa 3,319.1243,567.0734,100.5193,707.5273,194.4283,229.9673,089.5222,958.1133,059.1963,239.8423,227.6943,005.1082,463.8382,392.2171,829.851,510.1371,286.8331,183.941531.63477.437443.634414.248
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 255.65895.513719.56340.658279.78113.777216.199118.982198.53316.525324.433262.487124.76129.35980.61650.34124.31819.3918.34819.67821.09719.482
Kortlopende schulden 152.74595.42140.99182.235104.37579.237123.4476.1319.55688.58160.4827.12154.06437.9332002.231.90000
Belastingschulden 19.08714.11921.93638.50821.09824.31720.47622.72817.33810.01411.74212.11518.53425.59318.02216.06310.35514.34412.83914.36550.49245.299
Uitgestelde opbrengsten 0092594.9353.047216.69520.476178.345141.411131.901122.805121.358145.599132.11125.454094.51493.6380000
Overige kortlopende verplichtingen 392.613623.534514.434468.457240.011431.527266.71256.354229.838296.02990.87178.014209.741391.714170.652137.809132.998121.20892.97789.44645.73440.898
Totaal kortlopende verplichtingen 820.104828.5851,462.8471,033.16738.662734.742550.861404.193465.266472.386610.332501.095407.1584.599289.29204.213169.871186.842124.164123.489117.324105.68
Langlopende verplichtingen:
Langetermijnschulden 81.458243.377259.415317.451124226308355.973471.912676.56540.59428.5110000000.0280.0660.1371.009
Uitgestelde opbrengsten niet-vlottend 14.661015.85116.48217.11317.74417.59318.08126.13533.32240.50900000000000
Uitgestelde belastingverplichtingen niet-vlottend 18.32178.8152.2361.991.959-196.5220.4753.0171.9742.1240.9380000.8190.241000000
Overige niet-vlottende verplichtingen 13.65634.72234.8341.04828.25547.22228.75529.26128.73428.62528.26669.16867.59352.34943.13820.957003.666000
Totaal niet-vlottende verplichtingen 128.095356.915312.333376.971171.327273.222354.823406.332528.755740.632610.303497.668177.59352.34943.95721.197003.6940.0660.1371.009
Totaal passiva 948.1991,185.5011,775.181,410.131909.9891,007.964905.684810.525994.0211,213.0181,220.635998.763584.693636.948333.247225.41169.871186.842127.858123.555117.461106.689
Eigen vermogen:
Preferente aandelen 0000000000000000000000
Gewone aandelen 390390390390300300300300300300300300300300300300300300190190190190
Ingehouden winsten 730.182745.973731.663724.214714.554674.678665.077664.355606.572577.248546.147535.55504.201403.212325.547222.977145.194115.67961.82141.25921.6749.699
Overige gereserveerde algehele resultaten 00118.563115.089113.71108.529103.11398.40888.71486.6940-00000000000
Overige totale aandeelhoudersvermogen 450.622457.85447.151445.163516.854408.875404.138502.284403.875477.286516.202510.947504.603495.407485.948476.05468.456462.596123.173118.685110.778104.209
Totaal eigen vermogen van aandeelhouders 1,570.8031,593.8231,568.8141,557.3761,531.4081,487.0821,472.0541,466.6381,399.1611,400.2031,362.351,346.4971,308.8041,198.6191,111.495999.027913.65878.275374.994349.945322.452303.908
Totaal eigen vermogen 2,370.9252,385.6242,325.3392,297.3962,284.4382,222.0032,183.8372,147.5872,065.1752,026.8242,007.0592,006.3441,879.1451,755.2691,496.6031,284.7261,116.962997.099403.772353.882326.173307.559
Totaal passiva en aandeelhoudersvermogen 3,319.1243,567.0734,100.5193,707.5273,194.4283,229.9673,089.5222,958.1133,059.1963,239.8423,227.6943,005.1082,463.8382,392.2171,829.851,510.1371,286.8331,183.941531.63477.437443.634414.248