Company Information
2026/03
CNY(K¥)
%Chg2025/12
CNY(K¥)
2024/12
CNY(K¥)
2023/12
CNY(K¥)
2022/12
CNY(K¥)

Non-current Assets
Long-term Equity Investments9,9841.12%9,8739,3319,7350
Investment Properties29,914-1.35%30,3248,1008,5699,556
Fixed Assets606,021-0.72%610,403457,259449,000470,806
Construction in Progress105,9451.34%104,542226,037112,9263,635
Intangible Assets76,997-0.66%77,51078,02580,64882,847
Goodwill0--0000
Other Non-current Assets178,94235.79%131,777125,58188,32271,376
1,007,8034.50%964,428904,332749,200638,220

Current Assets
Cash & Bank Balances428,041-15.25%505,058612,967802,7381,045,017
Accounts Receivable156,252-20.55%196,666290,943395,694311,176
Inventories148,2937.57%137,854130,05693,560142,588
Other Current Assets351,8330.86%348,818269,494219,23865,260
1,084,420-8.75%1,188,3971,303,4601,511,2301,564,041

Current Liabilities
Short-term Loans269,162-5.87%285,948307,190221,178182,064
Notes Payable0--0000
Accounts Payable56,388-26.85%77,08473,86178,97682,644
Other Current Liabilities126,023-3.74%130,921122,85699,686130,419
451,573-8.58%493,953503,907399,840395,127
Net Current Assets632,847-8.87%694,443799,5541,111,3901,168,914
Total Assets Less Current Liabilities1,640,649-1.10%1,658,8721,703,8861,860,5901,807,133

Non-current Liabilities
Long-term Loans0--0000
Bonds Payable0--0000
Other Non-current Liabilities36,337-0.91%36,67119,38217,42419,283
36,337-0.91%36,67119,38217,42419,283

Total Equity
    Share Capital95,2310.00%95,23195,23194,80094,800
    Reserves1,508,352-1.17%1,526,2401,588,4581,748,3651,693,051
Shareholders' Equity1,603,583-1.10%1,621,4711,683,6891,843,1651,787,851
Non-controlling Interests7300.00%73081500
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 : Eligible Stock for SH-HK Northbound trade (For all investors/ For institutional professional investors only)
N
 : Eligible Stock for SH-HK Ex-Northbound trade (sell only)
N
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N
 : Eligible Stock for SZ-HK Northbound trade (For all investors/ For institutional professional investors only)
N
 : Eligible Stock for SZ-HK Ex-Northbound trade (sell only)
Information provided by: etnet
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