Shenzhen GuoHua Network Security Technology Co., Ltd.

SZSE:000004.SZ

17.25 (CNY) • At close October 26, 2023
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) CNY.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993199219911990
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 93.706129.091169.448180.177147.84449.003105.815101.1351.51739.94156.4756.22957.12845.08379.72632.67861.74455.41831.90821.51341.10225.88348.91964.7841.60850.02160.20556.656270.17275.36232.70430.71901.877
Kortetermijnbeleggingen 0-0.364-0.442-0.4420-0.431-0.542-0.103000000000000045.99842.65220.42721.4517.05825.1821.026.46631.75541.4098.43900
Liquide middelen en kortetermijnbeleggingen 93.706129.091169.448180.177147.84449.003105.815101.1351.51739.94156.4756.22957.12845.08379.72632.67861.74455.41831.90821.51341.10271.88191.57185.20763.05857.07985.38757.676276.638107.11774.11439.15801.877
Nettovorderingen 209.567304.715370.695319.234311.74928.1919.4571.7061.84721.7824.109.149001.4995.46454.29240.35292.6450009.2241.46305.8465.237.6574.9332.053.26300
Voorraad 1.161.1520.6044.9110224.22514.8386.889249.576194.10981.84749.17541.8943.167.16544.72131.55622.9868.56726.39526.35921.1316.6650.670.881.3395.4588.02512.21219.53415.9347.5782.280.525
Overige vlottende activa 19.85873.25655.02430.96821.3920.1470020.4418.244.91216.7261.572.9820.5644.3342.13417.1064.01812.173103.05497.80536.62223.24859.62589.394137.285131.72294.738211.882240.11368.799116.5193.048
Totaal vlottende activa 324.29508.213615.772535.29480.984301.566145.43134.232326.529264.072174.264133.08109.73799.498161.61694.682121.279149.802119.291152.726170.515190.817144.856317.32125.025157.712231.143199.707587.675343.466332.211118.799118.7995.449
Niet-vlottende activa:
Materiële vaste activa, netto 10.59510.6555.7481.9922.230.9936.57234.60438.77139.82441.95946.6147.8244.83126.52129.42431.3933.99132.640.28644.68545.26847.18179.79683.487111.949221.921300.472372.397303.674294.069148.455148.4550.094
Goodwill 00430.825987.404987.40400.3620.3620.3620.3620.3620.9120.9120.9120.9120.9120.91200000000000000000
Immateriële activa 18.22124.49737.31927.94521.779023.74724.38932.33121.18212.24310.6211.35312.0712.48713.1812.18212.2352.8633.1471.4831.8882.39182.72983.84385.15883.37184.711115.94484.03332.94733.74433.7440
Goodwill en immateriële activa 18.22124.497468.1441,015.3481,009.182-42.43624.10924.75132.69321.54412.60511.53212.26512.98213.39914.09213.09412.2352.8633.1471.4831.8882.39182.72983.84385.15883.37184.711115.94484.03332.94733.74433.7440
Langetermijnbeleggingen 10.8450.619.8473.1380.44242.43661.91329.3530.1030.23200000000000-21.725-15.29813.63120.14436.50500000000
Belastingvorderingen 49.15431.41711.0597.7951.6162.1330.768-29.3530.1010.1180000000000000-12.09-17.848-36.09200000000
Overige niet-vlottende activa 0.6890000.03646.4880.05230.1290.47612.49313.3231.69126.48426.90828.97729.6124.068.2771.11518.11121.19247.36742.8826.8238.84741.66968.6973.583236.659160.308112.66621.44321.44312.112
Totaal niet-vlottende activa 89.15967.178494.7981,028.2731,013.50649.611123.41489.48472.14474.21167.88859.83486.5784.72168.89773.12848.54354.50336.57861.54467.3672.79877.153190.887208.472239.19373.981458.766725.001548.014439.683203.642203.64212.206
Totaal activa 413.449575.3911,110.571,563.5631,494.49351.177268.844223.716398.674338.283242.152192.914196.307184.219230.512167.811169.823204.305155.869214.27237.875263.615222.009508.207333.498396.901605.124658.4731,312.676891.48771.894322.441322.44117.655
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 89.722112.35154.99825.41337.9895.6347.1832.80781.21550.86611.53818.39211.91512.97420.31314.463.7052.9915.1565.1729.57912.75213.07710.4052.2835.74135.69326.09242.80230.50419.9367.77500.53
Kortlopende schulden 000100000100000019.516.516.524.427.458669351.95221.2168.401220.291250.087274.541481.417316.187330.95483.24822.6811
Belastingschulden 35.4345.83257.03741.79117.0370.634.7331.4653.0467.8352.854-1.4011.5812.6620.9412.0781.2734.5680.3611.493.0921.1710.03-0.1990.2622.3190.7584.1183.9011.5872.2421.2870.6830.424
Uitgestelde opbrengsten 019.45597.41667.3045.1280.44.8031.33342.5790000033.97233.231.654.16221.56115.94717.8320.225.898134.26345.37849.42773.95381.191102.537153.27147.38145.09300
Overige kortlopende verplichtingen 69.85333.0530.86125.12330.539160.78758.37432.43110.31791.39860.45327.06743.60238.56789.34238.8939.95859.26322.21616.48120.78520.07129.227155.89857.03958.5784.545101.764143.722191.82748.55744.795113.7410
Totaal kortlopende verplichtingen 195.005210.688156.5103.02885.565167.05170.2936.701204.578150.09874.84544.05857.09854.203130.09771.92861.43691.22255.13381.14399.456126.99594.284387.304227.985286.921370.177406.515671.843540.104401.688137.105137.1051.954
Langlopende verplichtingen:
Langetermijnschulden 7.2775.7080.48400.80.8003030220009.89.89.89.600088001.5130.33453.48204.89611.08363.24666.41300
Uitgestelde opbrengsten niet-vlottend 00.4720.4720.4720.62500000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1.9591.2181.8262.4353.04403.463000000000000000000000000000
Overige niet-vlottende verplichtingen 15.344.7863.0443.7040010.9998.8160.80.80.80.80.80.80.80.80.8-8.80.810.5104.600003.3986.78444.40335.04622.95833.903100.3170
Totaal niet-vlottende verplichtingen 24.57612.1835.8263.7074.4690.814.4628.81630.830.822.80.80.80.810.610.610.60.80.810.51012.68001.5133.73260.264249.29946.1386.205100.317100.3170
Totaal passiva 219.58222.871162.325106.73590.033167.85184.75245.516235.378180.89897.64544.85857.89855.003140.69782.52872.03692.02255.93391.643109.456139.595102.284387.304227.985288.432403.91466.779921.142586.234487.893237.422237.4221.954
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000000
Gewone aandelen 132.38132.848156.003165.053165.05383.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97783.97776.34350.89529.2529.250
Ingehouden winsten -1,182.412-1,025.485-430.32278.78514.16213.4133.68125.114-14.185-15.432-19.233-18.2-20.32-23.104-34.728-37.197-26.075-9.392-10.0121.0985.6494.0063.659-134.068-156.178-153.083-68.768-109.949-11.2829.37240.89424.43424.4340
Overige gereserveerde algehele resultaten 16.48216.48216.48216.48214.07911.57911.73111.73111.731-0-000000000000000000000000
Overige totale aandeelhoudersvermogen 1,212.6421,231.7241,205.5251,212.9661,196.4840.2700011.73111.67711.67711.67711.67714.40314.40314.40318.98510.58610.43710.63112.0448.205139.034139.123148.66143.373164.433164.433146.85141.0119.02819.0280.429
Totaal eigen vermogen van aandeelhouders 195.574352.501947.6871,456.8041,389.778109.236129.389120.82281.52380.27676.4277.45475.33472.5563.65161.18372.30586.15584.55195.513100.25797.50795.84188.94266.81969.918153.788138.461237.13252.565232.79972.71272.71215.701
Totaal eigen vermogen 193.869352.52948.2451,456.8281,404.457183.327184.092178.2163.296157.384144.507148.056138.409129.21689.81585.28297.787112.28399.936122.628128.419124.02119.724120.902105.513108.47201.214191.694391.534305.246284.00185.01985.01915.701
Totaal passiva en aandeelhoudersvermogen 413.449575.3911,110.571,563.5631,494.49351.177268.844223.716398.674338.283242.152192.914196.307184.219230.512167.811169.823204.305155.869214.27237.875263.615222.009508.207333.498396.901605.124658.4731,312.676891.48771.894322.441322.44117.655