Shenzhen Hopewind Electric Co., Ltd.

SSE:603063.SS

27.97 (CNY) • At close April 18, 2025
Overview | Financials

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

2024202320222021202020192018201720162015201420132012
Assets:
Current Assets:
Cash & Cash Equivalents 1,459.8891,263.057827.042642.673678.984643.291755.74680.461316.412207.494106.488173.64567.728
Short Term Investments 298.851211.105127.196106.6883.16127.81-3.157-3.19-4.5710000
Cash and Short Term Investments 1,758.7411,474.162954.238749.353762.144771.101755.74680.461316.412207.494106.488173.64567.728
Net Receivables 02,426.1781,930.1821,793.0591,573.0921,602.7431,475.3841,271.8421,104.5181,044.672671.436575.1790
Inventory 817.634892.631,101.147854.21721.063729.923461.064196.603235.074289.578313.736193.455123.023
Other Current Assets 2,927.185133.74110.947188.565326.674505.842344.685552.95751.19319.08294.4823.126447.454
Total Current Assets 5,503.564,909.7814,096.5143,585.1873,382.9733,405.5693,036.8732,699.8471,707.1971,560.8261,186.14965.404638.205
Non-Current Assets:
Property, Plant & Equipment, Net 1,748.0781,629.351,087.2141,029.533335.493201.241103.06741.17536.5523.04925.95720.57322.279
Goodwill 00000269.802372.971000000
Intangible Assets 81.77785.08788.20178.1379.19936.6117.9127.0798.5023.0961.0890.1540.324
Goodwill and Intangible Assets 81.77785.08788.20178.1379.199306.412390.8837.0798.5023.0961.0890.1540.324
Long Term Investments -24.608412.224154.393173.935112.25423.71258.65816.68117.153.3984.255-14.82322.603
Tax Assets 138.194120.774126.878176.774109.69886.8950.26730.88228.45345.74735.42314.8236.215
Other Non-Current Assets 503.71590.092315.706178.903227.784220.09121.61520.06312.10714.9660.4514.823-22.603
Total Non-Current Assets 2,447.1562,337.5271,772.3931,637.275864.427838.345624.491115.881102.76290.25567.17435.54928.819
Total Assets 7,950.7167,247.3085,868.9075,222.4624,247.4014,243.9143,661.3642,815.7281,809.9591,651.0811,253.3151,000.954667.024
Liabilities & Equity:
Current Liabilities:
Account Payables 1,795.1961,683.3281,551.6161,317.6891,106.4761,190.421659.114311.9774.767352.828322.146217.941131.224
Short Term Debt 30128.86538.24960.06220.96519.90000000
Tax Payables 95.4734.27361.88740.83839.96434.19349.30416.93716.51329.11438.70619.68226.827
Deferred Revenue 00116.602186.373265.311136.364148.2969.35846.52530.843000
Other Current Liabilities 423.77445.53156.284195.835244.284222.013200.52961.473239.44977.3440.4884.35295.15
Total Current Liabilities 2,344.4372,291.9951,924.6381,614.4241,411.6881,466.526908.947390.38377.254459.282401.332321.975253.201
Non-Current Liabilities:
Long Term Debt 741.089539.778439.791409.5990158258000000
Deferred Revenue Non-Current 9.8398.58.31913.47416.02720.20516.56219.13922.37417.55814.62412.8689.378
Deferred Tax Liabilities Non-Current 23.58418.7165.1290-21.9018.8150.0610000.00600
Other Non-Current Liabilities 429.701376.92876.91520.55421.54721.86337.60721.50616.89913.068.6623.593.146
Total Non-Current Liabilities 1,204.214935.422521.834443.62737.574208.882295.66840.64539.27330.61823.29216.45712.525
Total Liabilities 3,548.6513,227.4172,446.4722,058.0511,449.2631,675.4091,204.616431.025416.527489.9424.624338.433265.725
Equity:
Preferred Stock 0000000000000
Common Stock 443.992443.227441.691436.586433.842430.8942042036036030013.58810.49
Retained Earnings 2,435.542,083.8341,652.6581,441.5631,209.645987.377946.603952.155739.546523.936214.174449.024332.04
Accumulated Other Comprehensive Income/Loss 01.218192.332269.635169.44491.51274.66874.191293.887277.2450.03500
Other Total Stockholders Equity 1,422.0691,410.0351,323.6411,282.7471,153.1491,055.5251,011.6251,012.548293.811277.207314.516199.9158.768
Total Shareholders Equity 4,301.6013,938.3153,417.993,160.8962,796.6362,473.7922,378.2282,384.7041,393.4331,161.181828.69662.521401.298
Total Equity 4,402.0654,019.8913,422.4353,164.4112,798.1382,568.5062,456.7482,384.7041,393.4331,161.181828.69662.521401.298
Total Liabilities & Shareholders Equity 7,950.7167,247.3085,868.9075,222.4624,247.4014,243.9143,661.3642,815.7281,809.9591,651.0811,253.3151,000.954667.024