Zijin Mining Group Co Ltd
SSE:601899

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Zijin Mining Group Co Ltd
SSE:601899
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Price: 15.49 CNY 0.91%
Market Cap: 407.8B CNY
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Balance Sheet

Balance Sheet Decomposition
Zijin Mining Group Co Ltd

Current Assets 89.8B
Cash & Short-Term Investments 31B
Receivables 18B
Other Current Assets 40.7B
Non-Current Assets 279.1B
Long-Term Investments 52.5B
PP&E 129.2B
Intangibles 67.9B
Other Non-Current Assets 29.4B
Current Liabilities 84.4B
Accounts Payable 14.7B
Accrued Liabilities 4.6B
Short-Term Debt 25.1B
Other Current Liabilities 39.9B
Non-Current Liabilities 158B
Long-Term Debt 108.2B
Other Non-Current Liabilities 49.9B

Balance Sheet
Zijin Mining Group Co Ltd

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Balance Sheet
Currency: CNY
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Cash & Cash Equivalents
4 140
5 498
5 022
5 936
10 089
6 225
11 628
14 015
20 244
17 689
Cash
5
7
4
4
3
5
7
13
19 010
17 689
Cash Equivalents
4 135
5 491
5 018
5 932
10 086
6 220
11 621
14 001
1 234
0
Short-Term Investments
312
548
1 252
2 554
787
688
1 930
2 935
6 551
6 445
Total Receivables
3 561
3 073
3 210
4 396
4 263
4 000
5 015
7 470
18 205
18 805
Accounts Receivables
1 228
865
783
1 293
1 010
944
1 141
2 445
9 144
8 922
Other Receivables
2 333
2 208
2 427
3 103
3 253
3 056
3 874
5 025
9 060
9 883
Inventory
10 354
10 951
12 003
11 090
12 670
14 887
18 064
19 309
28 104
29 290
Other Current Assets
1 252
1 723
2 654
4 700
2 638
2 795
2 626
3 335
6 542
5 400
Total Current Assets
19 618
21 795
24 140
28 675
30 449
28 594
39 262
47 064
79 644
77 629
PP&E Net
35 577
38 156
39 103
35 696
41 828
47 662
68 389
78 486
99 465
122 887
PP&E Gross
35 577
38 156
39 103
35 696
41 828
47 662
68 389
78 486
99 465
122 887
Accumulated Depreciation
8 573
11 276
14 471
17 790
20 667
24 821
29 882
34 962
41 849
44 496
Intangible Assets
9 385
10 284
10 257
9 904
22 510
24 163
46 760
47 531
68 280
67 892
Goodwill
497
497
464
464
314
314
314
314
718
692
Note Receivable
0
0
0
3 330
4 182
5 267
8 496
9 900
12 421
17 861
Long-Term Investments
6 016
8 082
9 179
7 926
10 035
12 417
13 999
19 692
36 383
46 058
Other Long-Term Assets
4 066
5 101
6 075
3 321
3 561
5 414
5 092
5 607
9 134
9 987
Other Assets
497
497
464
464
314
314
314
314
718
692
Total Assets
75 160
N/A
83 914
+12%
89 218
+6%
89 315
+0%
112 879
+26%
123 831
+10%
182 313
+47%
208 595
+14%
306 044
+47%
343 006
+12%
Liabilities
Accounts Payable
4 011
4 443
4 727
4 217
4 540
4 382
5 543
7 442
11 757
14 428
Accrued Liabilities
771
932
1 007
1 854
1 635
1 640
2 379
3 094
4 126
4 764
Short-Term Debt
4 834
5 626
17 602
10 035
15 777
15 362
21 675
19 437
28 662
24 003
Current Portion of Long-Term Debt
1 328
2 921
3 561
4 552
9 660
5 417
7 565
8 798
6 935
17 382
Other Current Liabilities
12 560
17 605
6 954
8 135
5 611
6 562
9 875
11 532
19 690
23 606
Total Current Liabilities
23 504
31 526
33 852
28 794
37 223
33 363
47 036
50 302
71 170
84 182
Long-Term Debt
16 263
17 551
22 046
20 378
21 797
26 075
45 365
50 558
92 913
102 899
Deferred Income Tax
593
513
481
625
2 743
2 688
6 544
6 342
7 482
7 471
Minority Interest
5 609
4 391
3 354
2 643
6 818
5 894
18 058
21 863
35 513
30 857
Other Liabilities
1 130
2 395
1 722
1 876
3 842
4 626
8 772
8 494
10 024
10 091
Total Liabilities
47 100
N/A
56 377
+20%
61 455
+9%
54 316
-12%
72 424
+33%
72 645
+0%
125 775
+73%
137 560
+9%
217 101
+58%
235 500
+8%
Equity
Common Stock
2 157
2 154
2 154
2 303
2 303
2 538
2 538
2 633
2 633
2 633
Retained Earnings
19 020
18 980
19 548
21 691
23 648
25 446
29 222
41 462
56 186
70 825
Additional Paid In Capital
7 330
7 233
6 703
11 110
11 095
18 690
18 610
25 206
25 552
25 866
Treasury Stock
0
0
0
0
0
0
0
476
489
778
Other Equity
447
830
643
104
3 410
4 512
6 168
2 209
5 061
8 960
Total Equity
28 059
N/A
27 537
-2%
27 762
+1%
35 000
+26%
40 455
+16%
51 186
+27%
56 539
+10%
71 034
+26%
88 943
+25%
107 506
+21%
Total Liabilities & Equity
75 160
N/A
83 914
+12%
89 218
+6%
89 315
+0%
112 879
+26%
123 831
+10%
182 313
+47%
208 595
+14%
306 044
+47%
343 006
+12%
Shares Outstanding
Common Shares Outstanding
21 589
21 560
21 541
23 031
23 031
24 959
25 377
26 232
26 232
26 263

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