Guizhou Changzheng Electric Co.,Ltd. Fundamental Rankings

This page is comprehensive fundamental data for Guizhou Changzheng Electric Co.,Ltd.. Fundamentals are ordered by how Guizhou Changzheng Electric Co.,Ltd. ranks compared to other companies (ordered high to low). All money values are in CNY. All data is powered by Quandl.

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Indicator Value n/price Rank Date Historic
Disposal of fixed assets and others7,697,6620.001211002015-06-30historic
Cash paid for other financing activities110,978,0000.017511332015-06-30historic
Prepayment278,120,2080.043871482015-06-30historic
Other receivables159,217,0620.025111702015-06-30historic
Investment income from associate and joint venture3,277,1245.2E-42002015-06-30historic
Other current liabilities3,270,3435.2E-42632015-06-30historic
Intangible assets261,062,1840.041182702015-06-30historic
Short term borrowings849,400,0000.133982862015-06-30historic
Goodwill39,818,1790.006283192015-06-30historic
Financial expenses31,487,8900.004973382015-06-30historic
Long term equity investment77,780,3010.012273632015-06-30historic
Deferred tax assets28,622,7130.004513742015-06-30historic
Cash inflows from financing activities667,400,0000.105274532015-06-30historic
Net change in cash30,813,9300.004865272015-06-30historic
Net cash flows from investing activities-37,349,906-0.005895432015-06-30historic
Notes receivable35,940,2460.005675602015-06-30historic
Total liabilities1,492,305,7400.235395682015-06-30historic
Total non-current assets1,416,511,0770.223445712015-06-30historic
Non-operating loss671,1301.1E-45852015-06-30historic
Purchases of fixed assets and others50,361,1690.007945942015-06-30historic
Selling expenses32,543,6980.005136142015-06-30historic
Other payables53,827,7960.008496492015-06-30historic
Net cashflow from financing activities8,667,4310.001376922015-06-30historic
Total liabilities and equity2,760,821,8660.435497162015-06-30historic
Cash paid for dividends, profits or interests31,436,3870.004967342015-06-30historic
Accounts payable169,345,5640.026717412015-06-30historic
Fixed assets351,990,5450.055527972015-06-30historic
Refunds of taxes40,8491.0E-58252015-06-30historic
Capital reserve392,311,0490.061888602015-06-30historic
Inventories200,688,8220.031668682015-06-30historic
Net cash and cash equivalents ending balance206,181,1430.032529212015-06-30historic
Cash paid for taxes29,167,9560.00469272015-06-30historic
Cash inflows from operating activities358,636,8280.056579772015-06-30historic
Total cost of goods sold304,770,3850.048079802015-06-30historic
Cash outflows from operating activities299,140,1770.0471910532015-06-30historic
Other current assets419,7487.0E-510572015-06-30historic
Operating profit4,313,6916.8E-410632015-06-30historic
Revenue283,006,9520.0446410712015-06-30historic
Total comprehensive income3,420,2375.4E-411062015-06-30historic
Total profit6,111,5639.6E-411092015-06-30historic
Net income3,420,2375.4E-411122015-06-30historic
Diluted eps00.012172015-06-30historic
Payroll payable624,4131.0E-413022015-06-30historic