Xinjiang Goldwind Science & Technology Co Ltd
SZSE:002202

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Xinjiang Goldwind Science & Technology Co Ltd
SZSE:002202
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Price: 10.51 CNY -1.96%
Market Cap: 44.4B CNY
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Balance Sheet

Balance Sheet Decomposition
Xinjiang Goldwind Science & Technology Co Ltd

Current Assets 64B
Cash & Short-Term Investments 8.2B
Receivables 34.6B
Other Current Assets 21.3B
Non-Current Assets 80.2B
Long-Term Investments 8.6B
PP&E 44.4B
Intangibles 7.4B
Other Non-Current Assets 19.8B
Current Liabilities 59.7B
Accounts Payable 26B
Accrued Liabilities 1.1B
Short-Term Debt 12.2B
Other Current Liabilities 20.4B
Non-Current Liabilities 46.6B
Long-Term Debt 37.9B
Other Non-Current Liabilities 8.7B

Balance Sheet
Xinjiang Goldwind Science & Technology 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
10 108
6 306
8 274
7 740
5 066
7 247
8 274
8 577
14 843
13 694
Cash
1
0
0
1
0
0
0
0
14 522
0
Cash Equivalents
10 107
6 306
8 274
7 739
5 066
7 247
8 274
8 577
321
13 694
Short-Term Investments
90
0
776
1 063
25
500
799
1 091
1 092
773
Total Receivables
12 397
15 330
18 135
18 845
19 668
22 298
26 781
29 166
33 299
32 302
Accounts Receivables
10 761
13 534
14 548
15 001
15 093
16 486
21 824
25 005
26 609
26 901
Other Receivables
1 636
1 796
3 587
3 844
4 575
5 812
4 957
4 161
6 689
5 401
Inventory
3 650
3 037
3 192
4 083
4 997
8 124
5 718
4 818
9 848
15 257
Other Current Assets
1 850
613
2 719
1 351
3 161
10 274
2 466
4 284
3 292
1 804
Total Current Assets
28 095
25 287
33 097
33 081
32 917
48 444
44 038
47 936
62 373
63 829
PP&E Net
10 482
17 015
19 479
22 838
25 509
29 812
35 613
39 550
39 770
44 278
PP&E Gross
10 482
17 015
19 479
22 838
25 509
29 812
35 613
0
39 770
44 278
Accumulated Depreciation
793
1 263
2 096
2 995
3 789
4 523
5 535
0
7 925
9 767
Intangible Assets
443
737
1 068
2 557
3 770
4 030
4 757
6 229
7 087
7 416
Goodwill
243
316
474
498
488
470
355
163
178
107
Note Receivable
2 589
3 761
4 440
7 116
8 066
8 308
8 327
4 614
10 532
10 781
Long-Term Investments
1 826
2 026
2 622
3 693
5 232
5 973
8 108
7 798
7 551
7 601
Other Long-Term Assets
2 100
3 431
3 257
3 005
5 383
6 020
7 941
13 374
9 331
9 482
Other Assets
243
316
474
498
488
470
355
163
178
107
Total Assets
45 777
N/A
52 572
+15%
64 437
+23%
72 788
+13%
81 364
+12%
103 057
+27%
109 138
+6%
119 665
+10%
136 822
+14%
143 495
+5%
Liabilities
Accounts Payable
5 728
9 448
9 594
10 591
13 778
15 664
16 819
20 581
25 981
27 501
Accrued Liabilities
748
928
1 126
849
1 051
808
1 307
1 096
1 472
1 301
Short-Term Debt
10 657
6 146
6 683
6 721
8 259
11 738
14 431
11 766
16 300
15 272
Current Portion of Long-Term Debt
312
415
685
7 888
2 865
3 731
2 976
3 814
5 312
4 299
Other Current Liabilities
4 876
4 022
6 576
3 552
5 647
17 627
12 311
12 629
10 065
14 647
Total Current Liabilities
22 320
20 959
24 663
29 600
31 601
49 569
47 845
49 886
59 130
63 020
Long-Term Debt
6 023
10 761
15 419
15 886
18 560
16 036
20 001
26 413
31 700
34 158
Deferred Income Tax
27
58
101
452
807
948
815
941
992
1 522
Minority Interest
459
629
723
788
1 514
1 549
805
897
2 251
2 619
Other Liabilities
2 181
3 404
3 555
3 374
3 921
4 280
5 504
5 696
4 655
4 566
Total Liabilities
31 010
N/A
35 811
+15%
44 461
+24%
50 101
+13%
56 403
+13%
72 382
+28%
74 970
+4%
83 833
+12%
98 727
+18%
105 885
+7%
Equity
Common Stock
2 695
2 736
2 736
3 556
3 556
4 225
4 225
4 225
4 225
4 225
Retained Earnings
4 262
6 034
7 673
9 289
11 786
12 722
14 927
17 493
18 659
19 347
Additional Paid In Capital
7 942
8 195
8 185
8 175
8 168
12 084
12 115
12 106
12 148
12 157
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
179
33
Other Equity
131
202
1 382
1 666
1 451
1 644
2 901
2 008
2 883
1 848
Total Equity
14 768
N/A
16 761
+13%
19 976
+19%
22 687
+14%
24 961
+10%
30 675
+23%
34 168
+11%
35 832
+5%
38 095
+6%
37 610
-1%
Total Liabilities & Equity
45 777
N/A
52 572
+15%
64 437
+23%
72 788
+13%
81 364
+12%
103 057
+27%
109 138
+6%
119 665
+10%
136 822
+14%
143 495
+5%
Shares Outstanding
Common Shares Outstanding
3 814
3 872
3 872
3 872
3 872
4 225
4 225
4 225
4 225
4 225

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