Shaanxi Construction Machinery Co., Ltd. Fundamental Rankings

This page is comprehensive fundamental data for Shaanxi Construction Machinery Co., Ltd.. Fundamentals are ordered by how Shaanxi Construction Machinery 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
Special reserve4,835,4210.001051492015-06-30historic
Disposal of fixed assets and others2,242,2574.9E-41492015-06-30historic
Deferred tax assets51,097,0490.01111602015-06-30historic
Interests payable12,539,5830.002721932015-06-30historic
Net cash flows from investing activities1,915,2924.2E-42112015-06-30historic
Other payables197,566,6740.042912182015-06-30historic
Other receivables60,626,1900.013172922015-06-30historic
Cash paid for other financing activities14,934,9600.003243172015-06-30historic
Capital reserve672,560,9140.146064092015-06-30historic
Payroll payable18,924,2990.004114162015-06-30historic
Investment income from associate and joint venture-145,258-3.0E-54242015-06-30historic
Accounts payable176,889,4670.038425982015-06-30historic
Inventories251,540,2890.054636252015-06-30historic
Net change in cash-195,679-4.0E-56572015-06-30historic
Financial expenses5,785,2390.001266662015-06-30historic
Net cashflow from financing activities22,2940.07422015-06-30historic
Notes receivable8,943,1490.001947442015-06-30historic
Selling expenses15,708,1630.003417842015-06-30historic
Prepayment23,248,7550.005057942015-06-30historic
Long term equity investment181,4564.0E-58582015-06-30historic
Non-operating loss189,7084.0E-58702015-06-30historic
Total liabilities461,577,1000.100249002015-06-30historic
Fixed assets154,787,6730.033629632015-06-30historic
Short term borrowings25,000,0000.005439652015-06-30historic
Total cost of goods sold178,488,2270.0387610572015-06-30historic
Diluted eps-00.010672015-06-30historic
Cash inflows from financing activities28,600,0000.0062110722015-06-30historic
Total liabilities and equity1,017,644,4590.2210111042015-06-30historic
Intangible assets13,639,2280.0029611632015-06-30historic
Revenue139,950,6490.0303911852015-06-30historic
Total non-current assets219,705,4070.0477111872015-06-30historic
Cash paid for dividends, profits or interests2,142,7464.7E-412182015-06-30historic
Cash inflows from operating activities121,771,6040.0264512322015-06-30historic
Cash outflows from operating activities124,151,9850.0269612342015-06-30historic
Cash paid for taxes7,599,1750.0016512442015-06-30historic
Operating profit-38,682,836-0.008412672015-06-30historic
Total comprehensive income-34,571,999-0.0075112722015-06-30historic
Net income-34,571,999-0.0075112752015-06-30historic
Total profit-38,249,717-0.0083112802015-06-30historic
Purchases of fixed assets and others326,9647.0E-513212015-06-30historic
Net cash and cash equivalents ending balance13,239,4920.0028813402015-06-30historic