Company Information
2025/03
CNY(K¥)
%Chg2024/12
CNY(K¥)
2023/12
CNY(K¥)
2022/12
CNY(K¥)
2021/12
CNY(K¥)

Non-current Assets
Long-term Equity Investments0--0000
Investment Properties0--0000
Fixed Assets1,179,456-0.90%1,190,1981,186,790956,728711,055
Construction in Progress22,39080.83%12,38244,274205,572304,910
Intangible Assets42,739-1.20%43,25645,51648,54051,638
Goodwill0--0000
Other Non-current Assets21,996-14.10%25,6066,99719,28620,056
1,266,581-0.38%1,271,4431,283,5771,230,1261,087,660

Current Assets
Cash & Bank Balances965,6117.89%894,967553,011650,142161,218
Accounts Receivable837,582-10.01%930,7001,013,666865,998627,829
Inventories959,798-4.65%1,006,6071,462,5831,592,1531,089,695
Other Current Assets194,32934.17%144,842204,37178,574109,674
2,957,320-0.66%2,977,1173,233,6303,186,8681,988,416

Current Liabilities
Short-term Loans199,463343.25%45,000218,778573,806241,125
Notes Payable0--059,34937,93026,449
Accounts Payable109,629-67.22%334,398643,653297,839242,356
Other Current Liabilities217,380-8.97%238,793221,579244,969231,281
526,472-14.84%618,1911,143,3591,154,543741,210
Net Current Assets2,430,8483.05%2,358,9262,090,2722,032,3241,247,206
Total Assets Less Current Liabilities3,697,4291.85%3,630,3683,373,8493,262,4512,334,866

Non-current Liabilities
Long-term Loans0--0031,54149,478
Bonds Payable0--0000
Other Non-current Liabilities5,947-39.57%9,8414881,2556,706
5,947-39.57%9,84148832,79756,185

Total Equity
    Share Capital501,7310.00%501,731501,731501,731376,298
    Reserves3,189,7512.28%3,118,7962,871,6302,727,9231,902,383
Shareholders' Equity3,691,4811.96%3,620,5273,373,3613,229,6542,278,681
Non-controlling Interests0--0000
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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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