China BlueChemical Ltd. (FRA:H1Q)
Germany flag Germany · Delayed Price · Currency is EUR
0.2760
-0.0140 (-4.83%)
At close: Jan 30, 2026

China BlueChemical Balance Sheet

Millions CNY. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
533.06679.93597.27528.78674.452,765
Short-Term Investments
12,06211,06410,0498,8808,0347,400
Trading Asset Securities
1,1531,8302,8943,6182,756-
Cash & Short-Term Investments
13,74713,57513,54013,02611,46410,165
Cash Growth
-0.86%0.26%3.94%13.62%12.78%14.17%
Accounts Receivable
254.82116.75283.85433.01219.52649.03
Other Receivables
701.4492.14424.97164.01434.38234.98
Receivables
1,164608.9708.81597.02653.9884.01
Inventory
1,2201,125974.451,1901,2321,002
Other Current Assets
124.7648.01353.57671.84111.84634.5
Total Current Assets
16,25715,35615,57715,48513,46212,685
Property, Plant & Equipment
7,0727,3047,2717,1676,8736,665
Long-Term Investments
527.01461.91420.67330.27324.55259.17
Other Intangible Assets
119.42129.69152.5732.8639.8427.43
Long-Term Deferred Tax Assets
124.57123.89155.1253.3637.52470.82
Other Long-Term Assets
471.08491.79532.92429.51695.27640.27
Total Assets
24,57124,07624,31723,49821,43220,748
Accounts Payable
1,0231,0681,1381,3461,335740.41
Accrued Expenses
617.69436.12460.39407.34382.57-
Current Portion of Long-Term Debt
907.86434.41651.69869.15447.751,941
Current Portion of Leases
26.4628.341016.998.75.13
Current Income Taxes Payable
72.8939.892.95125.56171.2479.17
Current Unearned Revenue
441.84398.27610.14782.62811.12677.77
Other Current Liabilities
114.68108.01180.52554.39285.381,459
Total Current Liabilities
3,2042,5133,1444,1033,4424,903
Long-Term Debt
1,3731,6271,3491,186571.9910
Long-Term Leases
28.0829.6810.496.4617.1221.64
Long-Term Unearned Revenue
137.57125.35129.94112125.8123.47
Pension & Post-Retirement Benefits
236.03252.59258.19294.386.0631.27
Long-Term Deferred Tax Liabilities
18.5820.1416.4314.2227.3314.46
Other Long-Term Liabilities
1.641.641.795.74326.5616.08
Total Liabilities
4,9994,5694,9105,7214,5175,120
Common Stock
4,6104,6104,6104,6104,6104,610
Retained Earnings
12,77912,69612,58411,02610,1108,981
Comprehensive Income & Other
1,1051,1031,1081,1111,1071,109
Total Common Equity
18,49418,40818,30116,74715,82714,700
Minority Interest
1,0771,0991,1061,0291,088928.38
Shareholders' Equity
19,57219,50719,40717,77716,91515,628
Total Liabilities & Equity
24,57124,07624,31723,49821,43220,748
Total Debt
2,3352,1192,0212,0781,0461,978
Net Cash (Debt)
11,41211,45611,51810,94810,4198,188
Net Cash Growth
-1.66%-0.54%5.21%5.08%27.25%19.22%
Net Cash Per Share
2.482.482.502.372.261.78
Filing Date Shares Outstanding
4,6104,6104,6104,6104,6104,610
Total Common Shares Outstanding
4,6104,6104,6104,6104,6104,610
Working Capital
13,05212,84312,43311,38210,0207,783
Book Value Per Share
4.013.993.973.633.433.19
Tangible Book Value
18,37518,27918,14916,71415,78714,672
Tangible Book Value Per Share
3.993.963.943.633.423.18
Land
-4,8074,7354,5245,9525,957
Machinery
-13,41913,28711,14215,61215,702
Construction In Progress
-933.41524.642,2271,449789.71
Source: S&P Global Market Intelligence. Standard template. Financial Sources.