Shanghai Smith Adhesive New Material Co., Ltd

SSE:603683.SS

12.74 (CNY) • At close May 8, 2025
Overview | Financials

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

2024202320222021202020192018201720162015201420132012
Assets:
Current Assets:
Cash & Cash Equivalents 163.516283.739191.258213.561247.737167.913158.019245.785118.547107.30748.06944.41138.223
Short Term Investments 38.1669589.37650.408-18.44910.365-11.153800040.49150
Cash and Short Term Investments 201.682378.739280.633263.969247.737178.278158.019245.785118.547107.30748.06944.41138.223
Net Receivables 424.618328.185277.774214.918184.699150.899145.028104.93789.4968.51871.02360.75744.528
Inventory 332.728291.526276.471262.848209.966184.021192.1154.13131.151104.313106.18102.79292.287
Other Current Assets 83.0342.223140.618288.972126.84130.175160.371125.24928.04111.22747.1723.47414.171
Total Current Assets 1,042.0591,040.673877.542815.79760.88627.539655.485632.952357.596288.503278.229232.591185.651
Non-Current Assets:
Property, Plant & Equipment, Net 1,162.49753.131712.442706.922682.116624.482478.245326.814215.064173.132164.079155.102161.272
Goodwill 19.72119.72119.72119.72121.76621.76619.72119.72119.72119.72119.72119.72119.721
Intangible Assets 76.59106.37589.14991.703101.419104.95769.91671.77673.41221.29921.84621.8822.364
Goodwill and Intangible Assets 96.311126.096108.87111.424123.185126.72389.63791.49693.13341.0241.56741.60142.085
Long Term Investments -1.686-77.05-75.812-22.32136.43236.54921.1538.5961.1070.7271.0420.1350.047
Tax Assets 104.53781.35163.03542.44428.43830.7410.4644.5452.4921.2381.662.8592.851
Other Non-Current Assets 155.458202.84154.101106.45319.83765.86671.46896.91827.65157.6275.3135.8111.377
Total Non-Current Assets 1,517.111,086.368962.636944.921890.008884.361670.967528.37339.446273.744213.66205.508207.632
Total Assets 2,559.1692,127.0411,840.1781,760.7111,650.8881,511.91,326.4521,161.322697.043562.247491.889438.099393.283
Liabilities & Equity:
Current Liabilities:
Account Payables 259.18195.655231.884115.268162.559119.145137.239100.36969.97553.01955.26458.82161.789
Short Term Debt 323.892332.504334.463324.768221.177240.187241.006102.23690.75456.477132.812141.27597.38
Tax Payables 29.03513.87520.12412.80127.10511.079.9975.3297.03716.36113.4519.0084.953
Deferred Revenue 010.9657.74577.2488.33331.2939.99720.08621.23925.9625.90218.67554.696
Other Current Liabilities 234.74109.36995.801139.11584.787132.19631.91755.17741.62214.33822.82718.72367.16
Total Current Liabilities 846.847662.367682.271599.078501.683502.598420.159263.111209.388140.194224.354227.827231.282
Non-Current Liabilities:
Long Term Debt 266.963147.403130.214159.29176.649172.48584.69101.732002.5626.6
Deferred Revenue Non-Current 50.93916.59512.03213.9749.7698.72211.160.7880.9470.3530.4080.4630.518
Deferred Tax Liabilities Non-Current 1.5961.7911.2860.2520.7031.6650.8070.4630.3810.690.5690.6140.423
Other Non-Current Liabilities 53.55210.148000.0888.72209.6300000
Total Non-Current Liabilities 373.05175.936143.532173.516187.209182.87296.658112.6131.3291.0433.4777.07727.541
Total Liabilities 1,219.897838.303825.803772.594688.892685.47516.817375.724210.717141.237227.831234.903258.823
Equity:
Preferred Stock 00000000000.6260.440
Common Stock 262.499258.791217.155183.129130.515126.67126.67126.679595808065
Retained Earnings 492.155438.634407.899419.01400.217270.86275.829265.389224.917175.044130.64573.85765.589
Accumulated Other Comprehensive Income/Loss 0040.56919.3664.12727.24323.30112.07914.898.429-0.626-0.440
Other Total Stockholders Equity 575.836585.031343.039361.77397.001393.098389.185377.934153.989146.21351.21149.0053.38
Total Shareholders Equity 1,330.491,282.456968.093963.909927.732790.628791.633769.993473.906416.257261.23202.422133.97
Total Equity 1,339.2721,288.7381,014.376988.117961.996826.43809.635785.598486.326421.01264.058203.196134.46
Total Liabilities & Shareholders Equity 2,559.1692,127.0411,840.1781,760.7111,650.8881,511.91,326.4521,161.322697.043562.247491.889438.099393.283