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 reserve 4,835,421 0.00105 149 2015-06-30 historic Disposal of fixed assets and others 2,242,257 4.9E-4 149 2015-06-30 historic Deferred tax assets 51,097,049 0.0111 160 2015-06-30 historic Interests payable 12,539,583 0.00272 193 2015-06-30 historic Net cash flows from investing activities 1,915,292 4.2E-4 211 2015-06-30 historic Other payables 197,566,674 0.04291 218 2015-06-30 historic Other receivables 60,626,190 0.01317 292 2015-06-30 historic Cash paid for other financing activities 14,934,960 0.00324 317 2015-06-30 historic Capital reserve 672,560,914 0.14606 409 2015-06-30 historic Payroll payable 18,924,299 0.00411 416 2015-06-30 historic Investment income from associate and joint venture -145,258 -3.0E-5 424 2015-06-30 historic Accounts payable 176,889,467 0.03842 598 2015-06-30 historic Inventories 251,540,289 0.05463 625 2015-06-30 historic Net change in cash -195,679 -4.0E-5 657 2015-06-30 historic Financial expenses 5,785,239 0.00126 666 2015-06-30 historic Net cashflow from financing activities 22,294 0.0 742 2015-06-30 historic Notes receivable 8,943,149 0.00194 744 2015-06-30 historic Selling expenses 15,708,163 0.00341 784 2015-06-30 historic Prepayment 23,248,755 0.00505 794 2015-06-30 historic Long term equity investment 181,456 4.0E-5 858 2015-06-30 historic Non-operating loss 189,708 4.0E-5 870 2015-06-30 historic Total liabilities 461,577,100 0.10024 900 2015-06-30 historic Fixed assets 154,787,673 0.03362 963 2015-06-30 historic Short term borrowings 25,000,000 0.00543 965 2015-06-30 historic Total cost of goods sold 178,488,227 0.03876 1057 2015-06-30 historic Diluted eps -0 0.0 1067 2015-06-30 historic Cash inflows from financing activities 28,600,000 0.00621 1072 2015-06-30 historic Total liabilities and equity 1,017,644,459 0.22101 1104 2015-06-30 historic Intangible assets 13,639,228 0.00296 1163 2015-06-30 historic Revenue 139,950,649 0.03039 1185 2015-06-30 historic Total non-current assets 219,705,407 0.04771 1187 2015-06-30 historic Cash paid for dividends, profits or interests 2,142,746 4.7E-4 1218 2015-06-30 historic Cash inflows from operating activities 121,771,604 0.02645 1232 2015-06-30 historic Cash outflows from operating activities 124,151,985 0.02696 1234 2015-06-30 historic Cash paid for taxes 7,599,175 0.00165 1244 2015-06-30 historic Operating profit -38,682,836 -0.0084 1267 2015-06-30 historic Total comprehensive income -34,571,999 -0.00751 1272 2015-06-30 historic Net income -34,571,999 -0.00751 1275 2015-06-30 historic Total profit -38,249,717 -0.00831 1280 2015-06-30 historic Purchases of fixed assets and others 326,964 7.0E-5 1321 2015-06-30 historic Net cash and cash equivalents ending balance 13,239,492 0.00288 1340 2015-06-30 historic