Tunghsu Optoelectronic Technology Co., Ltd.

SZSE:000413.SZ

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 8,562.9028,910.4349,377.0789,636.73811,598.9519,807.09427,371.17826,056.11712,409.513,196.2712,586.661110.7715.84710.2124.88717.50814.7051.78136.49524.41524.25568.66917.44645.46315.73413.143451.05586.93710.4812.997
Kortetermijnbeleggingen -409.58-911.452-970.458-1,067.357-1,023.518-1,053.309-228.757-11.757-16.56000000000000000000000
Liquide middelen en kortetermijnbeleggingen 8,562.9028,910.4349,377.0789,636.73811,598.9519,807.09427,371.17826,056.11712,409.513,196.2712,586.661110.7715.84710.2124.88717.50814.7051.78136.49524.41524.25568.66917.44645.46315.73413.143451.05586.93710.4812.997
Nettovorderingen 8,592.8977,765.3789,203.69911,088.72912,051.36614,852.5638,411.5481,774.5821,833.0441,000.9941,209.506574.67441.76335.25989.146114.575135.278142.67300134.052113.266156.239000.141096.93628.5710
Voorraad 1,351.1921,744.5251,849.8432,272.1053,738.6063,510.7874,890.5192,688.9672,177.98512.854298.619168.717141.982144.05168.6245.65835.91224.46932.15851.13351.71824.27623.26129.08915.38354.871119.578481.78676.76156.236
Overige vlottende activa 10,006.9329,993.08310,092.489,158.8248,973.7237,270.1215,993.0815,191.225951.158932.5262,846.962813.95563.82560.4259.22359.56967.02364.759174.881209.484257.385309.658388.277455.36555.658447.739350.647381.097199.166186.426
Totaal vlottende activa 30,896.1630,675.85533,157.234,281.63940,485.06845,440.56646,525.97434,705.09717,371.6928,100.7746,722.4611,688.287258.748244.942221.097247.663262.107226.924243.535285.032333.359402.604428.984529.912586.775515.894921.2791,046.756314.979245.659
Niet-vlottende activa:
Materiële vaste activa, netto 13,393.97113,010.01213,435.6914,960.04414,274.44514,648.40514,344.6710,725.27510,333.2454,026.5872,167.914287.29575.19998.328111.132126.285140.92155.02158.881173.674189.77218.589208.194177.954273.312310.674321.7842,637.559373.439404.935
Goodwill 164.057820.7451,050.9891,050.9891,692.4592,835.6732,587.67833.9350000000000000000000000
Immateriële activa 3,064.7443,442.8883,766.8724,201.8731,796.4211,184.072991.879578.195462.291220.646112.78858.24611.49811.82612.15312.4812.81113.14613.4713.80314.13514.43114.75715.0726.599.7639.97337.90110.3930
Goodwill en immateriële activa 3,228.8024,263.6334,817.8615,252.8623,488.884,019.7453,579.557612.13462.291220.646112.78858.24611.49811.82612.15312.4812.81113.14613.4713.80314.13514.43114.75715.0726.599.7639.97337.90110.3930
Langetermijnbeleggingen 3,190.0673,766.8464,625.2614,198.4983,421.6273,470.8152,459.39784.11188.987000.15000000000000000000
Belastingvorderingen 1,412.2951,142.462746.866536.983470.821533.095469.313312.556299.13106.0517.59913.49910.69811.96511.96512.14410.890000000000000
Overige niet-vlottende activa 5,369.9355,736.3825,702.7225,599.2085,619.6134,463.497304.418387.151243.27914.10712.21714.2317.9687.8147.8137.8127.7237.723423.143872.099874.955869.944886.544893.961,178.8631,368.3112,205.039275.909274.456202.664
Totaal niet-vlottende activa 26,595.07127,919.33529,328.430,547.59427,275.38627,135.55721,157.35512,121.22311,426.9314,367.3892,310.517373.421115.364129.933143.062158.72172.344175.889595.4931,059.5761,078.8591,102.9631,109.4941,086.9861,458.7651,688.7482,536.7952,951.368658.288607.599
Totaal activa 57,491.23258,595.18962,485.664,829.23367,760.45472,576.12367,683.32946,826.3228,798.62312,468.1639,032.9782,061.708374.112374.875364.16406.383434.451402.812839.0281,344.6081,412.2181,505.5671,538.4781,616.8982,045.542,204.6413,458.0753,998.124973.267853.258
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5,939.3335,389.2725,925.6173,391.9588,309.96810,276.0945,700.887821.1051,086.331512.393180.62274.56713.44214.63313.04622.90537.78523.27418.70442.72854.7939.25238.60841.54962.491106.649184.544208.57225.461.24
Kortlopende schulden 7,723.9797,868.51118,823.74315,172.1959,024.31112,058.510,110.7226,559.4063,783.31,556.9580485000005.3815.4045.4045.404526.881606.634727.296279.135995.975929.142471.05567.5567.55
Belastingschulden 441.323270.459313.143311.577328.817817.173294.699224.311105.451108.92-168.8538.3480.8041.7-1.503-0.579-4.779-2.5910.8241.6447.548.8787.5342.7650000.01300
Uitgestelde opbrengsten 7,438.1171,667.576,038.0635,368.9653,409.533817.1732,406.384493.766757.509231.933-104.043100.1630000085.394446.45482.723572.261186.281174.68139.002202.252295.742426.566507.366140.694119.703
Overige kortlopende verplichtingen 12,692.73218,017.4897,618.5178,497.13312,145.5713,228.0544,767.72,256.8311,720.3691,237.972233.291124.71599.94119.912114.889118.529144.685167.336528.039565.78649.03260.916250.657220.282287.455382.919530.834576.228150.557162.995
Totaal kortlopende verplichtingen 34,235.48433,213.30133,192.29730,999.70429,808.66627,196.99420,676.719,111.346,695.4512,387.297825.063722.63114.187136.245126.431135.852168.96193.4552.971615.556716.764835.927903.433991.891629.0811,485.5431,644.521,255.867243.567231.785
Langlopende verplichtingen:
Langetermijnschulden 463.699694.711,866.2953,385.5485,009.57711,091.33111,068.50812,250.0717,237.7983,5722,300800000000000000921.95281.4761,117.7731,597.974184.991184.991
Uitgestelde opbrengsten niet-vlottend 418.559464.768505.434677.824713.024676.146506.635380.95246.92533.06433.714000.1250.1450.16500000000000000
Uitgestelde belastingverplichtingen niet-vlottend 74.28747.761126.81138.84852.87455.19360.1490.413-7,180.798-3,572-33.7140000000000000000000
Overige niet-vlottende verplichtingen 382.5111,055.2081,415.914411.007660.738207.7664,551.3852,014.309303.9250035.7340.10505.3335.3335.3560000000000102.9200
Totaal niet-vlottende verplichtingen 1,339.0571,749.5173,425.2915,215.9076,436.21311,955.82314,949.36714,645.7437,541.7233,605.0642,333.714835.7340.1050.1255.4785.4985.3560000000921.95281.4761,117.7731,700.894184.991184.991
Totaal passiva 35,574.54134,962.81836,617.58736,215.6136,244.8839,152.81735,626.07723,757.08314,237.1745,992.3613,158.7771,558.364114.292136.37131.91141.35174.316193.4552.971615.556716.764835.927903.433991.8911,551.0311,767.0182,762.2932,956.761428.558416.776
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 5,632.755,632.755,730.255,730.255,730.255,730.255,730.254,939.9293,835.0012,662.08903383383383383383383383383383383383383383383383383383256.8256.8
Ingehouden winsten -6,643.061-5,038.63-3,392.789-592.452,810.5174,750.9783,178.451,885.539969.381788.527-53.394-422.692-565.356-577.207-578.726-546.282-550.422-760.505-682.533-319.002-347.362-369.433-398.631-438.022-398.383-435.513-198.702135.231113.62731.264
Overige gereserveerde algehele resultaten 379.77357.083787.681789.515287.288285.192253.213215.144155.23431.52231.5220000000000000000000
Overige totale aandeelhoudersvermogen 22,032.38822,009.70122,327.07822,580.61422,084.97422,055.78822,200.93416,522.5839,515.1015,054.9924,932.546431.62355.858355.858355.858412.646412.646612.389565.716565.716563.888563.888562.786597.704572.961449.36449.36417.721174.283148.418
Totaal eigen vermogen van aandeelhouders 21,022.07722,603.82124,664.53927,718.41430,625.74132,521.13130,922.79622,216.314,319.4826,436.7335,813.674391.929232.479220.628216.919249.363245.224200.204266.183629.715599.526577.455547.155542.682433.977396.847633.658935.951544.71436.482
Totaal eigen vermogen 21,916.69123,632.37225,868.01328,613.62231,515.57433,423.30532,057.25223,069.23714,561.4496,475.8025,874.201503.344259.821238.505232.25265.033260.135209.412286.057729.053695.454669.64635.045625.007494.509437.623695.7821,041.363544.71436.482
Totaal passiva en aandeelhoudersvermogen 57,491.23258,595.18962,485.664,829.23367,760.45472,576.12367,683.32946,826.3228,798.62312,468.1639,032.9782,061.708374.112374.875364.16406.383434.451402.812839.0281,344.6081,412.2181,505.5671,538.4781,616.8982,045.542,204.6413,458.0753,998.124973.267853.258