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 Investments1,062-0.84%1,071000
Investment Properties12,226-0.66%12,30712,63512,96313,308
Fixed Assets261,915-1.47%265,823262,369268,303263,876
Construction in Progress15,0440.00%15,0440650624
Intangible Assets29,402-1.17%29,75131,78733,69331,040
Goodwill15,5410.00%15,5410045,781
Other Non-current Assets178,346-0.03%178,408124,733144,580163,662
513,535-0.85%517,946431,525460,189518,290

Current Assets
Cash & Bank Balances115,729-31.40%168,708159,11178,205124,716
Accounts Receivable261,426-11.04%293,853256,211280,017276,846
Inventories312,75517.00%267,323265,460269,431243,867
Other Current Assets97,52466.19%58,68346,78465,52149,528
787,433-0.14%788,567727,564693,174694,958

Current Liabilities
Short-term Loans89,284123.04%40,03130,02595,36519,341
Notes Payable26,527-48.43%51,43439,21129,50563,303
Accounts Payable140,7371.63%138,474147,906165,294155,695
Other Current Liabilities196,114-15.34%231,654189,791131,693122,196
452,662-1.93%461,593406,933421,856360,536
Net Current Assets334,7722.38%326,975320,631271,317334,422
Total Assets Less Current Liabilities848,3070.40%844,921752,156731,506852,712

Non-current Liabilities
Long-term Loans0--06,54840,76854,078
Bonds Payable0--0000
Other Non-current Liabilities86,333-9.77%95,68654,99453,15575,961
86,333-9.77%95,68661,54293,922130,038

Total Equity
    Share Capital146,6920.00%146,692146,692112,84086,800
    Reserves615,2822.11%602,543543,922524,744635,874
Shareholders' Equity761,9741.70%749,235690,614637,584722,674
Non-controlling Interests0--0000
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 : Eligible Stock for SH-HK Northbound trade (For all investors/ For institutional professional investors only)
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 : 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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Disclaimer:
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