Fujian Qingshan Paper Industry Co.,Ltd.

SSE:600103.SS

2.13 (CNY) • At close April 30, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) CNY.

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Assets:
Current Assets:
Cash & Cash Equivalents 653.603972.6021,113.342404.526478.102568.949944.583783.724628.658252.714517.82255.503242.293303.643282.401241.981187.199135.702150.443142.208128.382121.267195.041306.527404.271468.762308.708236.71225.13922.5819.444
Short Term Investments 1,737.1521,506.3871,159.6451,5601,5751,420-54.925-57.781,220-39.369-42.582-44.852-50.559-55.7510.08900-9.2393.3043.24346.50436.85561.02129.35581.90980.598144.986155.013000
Cash and Short Term Investments 2,390.7552,478.9892,272.9861,964.5262,053.1021,988.949944.583783.724628.658252.714517.82255.503242.293303.643282.49241.981187.199135.702153.747145.451174.886158.122256.062335.882486.18549.36453.695391.72625.13922.5819.444
Net Receivables 790.917718.044667.758680.55673.217547.154407.484563.70600438.1520404.1550483.631483.188451.544567.812664.387355.827466.4830576.835348.69148.77340.99518.57517.2198.18.25815.035
Inventory 569.09530.728599.133582557.871814.086632.907550.782568.654591.045609.252800.581713.816607.989465.611408.657497.104430.419173.362196.357158.824200.697179.923210.887178.58109.857136.553109.589204.623138.24240.358
Other Current Assets 111.36386.99963.28544.1113.71247.571,165.903979.71,223.37828.355103.51839.754445.097157.54971.68246.08829.93240114.03475.268231.484586.273577.398177.764373.346325.496329.502170.36196.05696.426128.202
Total Current Assets 3,862.1253,814.7613,603.1643,271.1873,287.9033,397.763,150.8782,877.9122,923.3661,362.2431,668.7421,616.3241,401.2061,408.8291,303.4131,133.8451,153.7871,158.572937.585884.4231,031.676945.0921,013.3831,073.2231,086.8781,025.708931.834684.623331.677265.508193.039
Non-Current Assets:
Property, Plant & Equipment, Net 1,799.431,631.3581,300.7771,408.6731,469.8761,519.5191,446.5841,362.3251,437.5131,357.1811,438.2651,547.0551,596.8881,756.1051,299.9661,141.4881,223.2281,298.1031,213.021,056.709904.723928.311957.759972.2121,088.178949.404675.357327.639354.744294.787246.199
Goodwill 8.0169.53811.07512.63214.18316.7791.8541.8541.8541.8541.8543.423.423.423.423.423.423.420000000000000
Intangible Assets 183.262179.158187.897218.87230.468433.266347.782385.573408.74432.594146.714141.663131.282134.953137.66718.90619.79618.24818.9517.00317.89619.0615.60515.60311.97112.7513.5663.563.6373.7143.792
Goodwill and Intangible Assets 191.278188.697198.973231.502244.651450.045349.636387.427410.595434.449148.568145.083134.702138.373141.08622.32523.21621.66818.9517.00317.89619.0615.60515.60311.97112.7513.5663.563.6373.7143.792
Long Term Investments -1,639.75-1,415.372-1,070.16-1,506.631-1,520.99-1,404.54871.81683.24562.76265.09168.477260.378336.982308.136406.08300647.63672.63677.87237.545128.196109.023171.559114.846-17.486-100.0310000
Tax Assets 103.011105.303100.61996.782102.67255.90256.94849.49847.18947.5546.53744.34443.83345.33645.86946.7442.08232.5813.9884.27648.3170.0040.0080.0130.0350.025147.3790000
Other Non-Current Assets 2,053.6281,842.2711,690.4541,889.2741,908.761,509.49431.5230.96310.21710.6997.8037.8037.8031.75357.009563.477282.2241.822172.036167.681147.471161.386170.622116.92387.70684.256.516310.481159.971160.003161.309
Total Non-Current Assets 2,507.5962,352.2562,220.6632,119.62,204.9692,130.4131,956.5041,913.4571,968.2771,914.971,709.652,004.6632,120.2082,249.7031,950.0131,774.031,570.7492,001.811,480.631,323.5421,155.9531,236.9581,253.0171,276.311,302.7361,028.943742.787641.68518.352458.504411.299
Total Assets 6,369.726,167.0165,823.8275,390.7875,492.8725,528.1735,107.3824,791.3694,891.6433,277.2133,378.3923,620.9873,521.4143,658.5313,253.4262,907.8752,724.5363,160.3822,418.2152,207.9652,187.6292,182.052,266.42,349.5332,389.6142,054.6521,674.6211,326.303850.028724.011604.338
Liabilities & Equity:
Current Liabilities:
Account Payables 879.726755.004744.32524.492354.801640.305435.466261.144376.694568.632268.885373.705202.43391.127168.854135.864208.57179.1959.417134.75694.175117.65786.38668.07569.17844.45250.21334.36280.41696.11354.27
Short Term Debt 641.412873.869429.499508.285719.82597.172544.89556.95780.249547.1490.687565.3051,013.905738.699292.936283.956159.701187.70668.731123.962205.602235.487307.45411.95323.9167.25192.4138.6175.79369.361.69
Tax Payables 10.777.42248.2620.9917.0898.35411.39516.7089.45636.41619.4072.006-20.945-6.32835.21317.96619.47315.37114.56810.04911.198-1.1473.8667.89625.57522.95519.2711.8318.20110.8067.922
Deferred Revenue 0053.403211.16198.787133.12611.395143.295142.231159.488185.767144.024151.918164.028268.503120.66489.19391.16793.05593.31490.28274.47588.396117.307134.056137.718109.12548.37638.15863.14467.869
Other Current Liabilities 441.428186.756126.671129.421-3.906217.281297.141222.741165.164358.38451.988274.645219.272497.089424.965235.722132.981248.366230.99998.92888.23890.046216.906123.412122.901171.357165.26861.61535.83271.30765.68
Total Current Liabilities 1,973.3361,823.0511,427.41,251.9671,286.5921,463.1111,288.8931,057.5421,331.5641,510.5321,016.7341,215.6611,414.6641,320.588921.968650.742520.726530.633373.715367.694399.213442.043614.608610.441541.554406.014427.151246.407300.242247.526189.561
Non-Current Liabilities:
Long Term Debt 1.18935.963143.68398.067194.166151.55965.89212.154139.065507.596954.513861.121509.655448.48239123527229735415912383.55131132241779559.553030.44333.243
Deferred Revenue Non-Current 4.4385.69710.84515.38820.59926.320.4119.6122.20823.11926.93414.22150.13565.5910.2450.631.4451.2840000000000000
Deferred Tax Liabilities Non-Current 85.61882.49577.86778.16779.86117.3470.9690.9690.9690.9690.96943.70159.80149.77580.113108.98537.562142.5280000000000000
Other Non-Current Liabilities -00002.04820.50437.04916.11328.670013.67912.7513.7329.4211.2319.7043.1040.9780.4652.3212.041.1180.540-0.0770.0070000
Total Non-Current Liabilities 91.245124.155232.395191.621296.675215.709124.318248.847190.913531.684982.416932.721632.34577.579480.778355.846320.711443.915354.978159.465125.32185.5914.118113.54224176.92395.00759.553030.44333.243
Total Liabilities 2,064.5811,947.2061,659.7951,443.5891,583.2671,678.8211,413.2111,306.3891,522.4772,042.2161,999.152,148.3832,047.0041,898.1671,402.7461,006.588841.438974.549728.693527.159524.535527.632628.725723.981765.554582.937522.158305.957330.242277.969222.804
Equity:
Preferred Stock 0000000000000000000000000000000
Common Stock 2,253.2552,305.8182,305.8182,305.8182,305.8182,305.8181,773.7061,773.7061,773.7061,061.8421,061.8421,061.8421,061.8421,061.8421,061.8421,061.8421,061.8421,061.842884.868706.3706.3706.3706.3706.3706.3353.15289.44289.44209.44209.44209.44
Retained Earnings 737.397698.124698.528510.813332.533255.999128.54-26.254-131.645-176.633-30.118-57.467-74.709245.375235.022192.317391.777385.871322.758312.754300.176291.825287.359278.006313.174267.208227.634154.4272.27813.2836.832
Accumulated Other Comprehensive Income/Loss 00252.98232.42221.419211.758211.758211.758211.758212.075-0128.1960000000000000000000
Other Total Stockholders Equity 939.182871.59861.811607.285770.875807.7861,339.9681,339.8981,339.898-0416.6927.459183.976358.514447.598641.757332.988646.57468.883577.84576.36566.364567.226574.226647.959815.749617.317618.096238.069223.32165.262
Total Shareholders Equity 3,929.8343,875.5323,864.6123,656.3363,630.6463,581.363,453.9013,299.1073,193.7161,097.2841,243.7991,344.6451,375.7251,665.7311,744.4621,801.4171,786.6072,094.2821,602.8071,596.8951,578.0281,564.4891,558.9111,556.9311,586.2671,436.1081,120.9121,018.54519.786446.043381.534
Total Equity 4,305.1394,219.814,164.0323,947.1993,909.6053,849.3533,694.1713,484.983,369.1661,234.9971,379.2421,472.6051,474.411,760.3641,850.681,901.2871,883.0992,185.8341,689.5231,680.8061,663.0941,654.4171,637.6751,625.5521,624.061,471.7151,152.4631,020.346519.786446.043381.534
Total Liabilities & Shareholders Equity 6,369.726,167.0165,823.8275,390.7875,492.8725,528.1735,107.3824,791.3694,891.6433,277.2133,378.3923,620.9873,521.4143,658.5313,253.4262,907.8752,724.5363,160.3822,418.2152,207.9652,187.6292,182.052,266.42,349.5332,389.6142,054.6521,674.6211,326.303850.028724.011604.338