Sichuan Tuopai Shede Wine Co.,Ltd. Fundamental Rankings
This page is comprehensive fundamental data for Sichuan Tuopai Shede Wine Co.,Ltd.. Fundamentals are
ordered by how Sichuan Tuopai Shede Wine 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
Trading financial liabilities 206,675,236 0.04635 10 2015-06-30 historic Payroll payable 101,993,287 0.02287 47 2015-06-30 historic Inventories 2,098,211,842 0.47055 88 2015-06-30 historic Construction materials 5,659,590 0.00127 93 2015-06-30 historic Selling expenses 138,569,950 0.03108 111 2015-06-30 historic Investment income from associate and joint venture 8,488,055 0.0019 115 2015-06-30 historic Long term equity investment 222,466,124 0.04989 134 2015-06-30 historic Cash paid for taxes 92,245,014 0.02069 245 2015-06-30 historic Notes receivable 100,556,939 0.02255 254 2015-06-30 historic Short term borrowings 658,000,000 0.14756 262 2015-06-30 historic Capital reserve 799,310,438 0.17925 289 2015-06-30 historic Intangible assets 171,163,038 0.03839 292 2015-06-30 historic Other payables 105,524,570 0.02366 352 2015-06-30 historic Financial expenses 19,627,412 0.0044 359 2015-06-30 historic Cash from other investing activities 1,811,300 4.1E-4 365 2015-06-30 historic Total liabilities and equity 3,791,013,640 0.85017 370 2015-06-30 historic Cash inflows from financing activities 608,000,000 0.13635 381 2015-06-30 historic Accounts payable 299,521,106 0.06717 386 2015-06-30 historic Net change in cash 55,414,289 0.01243 390 2015-06-30 historic Total liabilities 1,538,817,115 0.3451 434 2015-06-30 historic Fixed assets 572,360,483 0.12836 468 2015-06-30 historic Net cash and cash equivalents ending balance 341,169,819 0.07651 472 2015-06-30 historic Net cash flows from investing activities -19,116,958 -0.00429 479 2015-06-30 historic Total non-current assets 1,174,239,521 0.26334 482 2015-06-30 historic Net cashflow from financing activities 69,887,126 0.01567 490 2015-06-30 historic Cash outflows from operating activities 710,931,125 0.15943 506 2015-06-30 historic Total cost of goods sold 617,556,953 0.13849 525 2015-06-30 historic Cash inflows from operating activities 715,575,246 0.16048 530 2015-06-30 historic Deferred tax assets 11,758,375 0.00264 556 2015-06-30 historic Revenue 627,196,073 0.14066 561 2015-06-30 historic Other receivables 18,254,581 0.00409 677 2015-06-30 historic Purchases of fixed assets and others 20,928,258 0.00469 776 2015-06-30 historic Cash paid for dividends, profits or interests 17,312,874 0.00388 844 2015-06-30 historic Operating profit 18,127,174 0.00407 881 2015-06-30 historic Total profit 19,674,309 0.00441 928 2015-06-30 historic Other current assets 673,283 1.5E-4 1027 2015-06-30 historic Total comprehensive income 6,745,849 0.00151 1052 2015-06-30 historic Net income 6,745,849 0.00151 1052 2015-06-30 historic Diluted eps 0 0.0 1134 2015-06-30 historic Non-operating loss 48,926 1.0E-5 1152 2015-06-30 historic Prepayment 686,483 1.5E-4 1319 2015-06-30 historic