Tianjin Futong Information Science&Technology Co.,Ltd.

SZSE:000836.SZ

2.74 (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 33.449116.16668.047300.702216.922453.235727.486471.826773.00999.157139.083100.275135.958194.377101.92775.60785.183342.29273.396268.686407.269576.559542.154202.186209.133120.802187.82519.2433.2450.849
Kortetermijnbeleggingen 1.0311.009-1.976-2.037-7.486-15.468-18.015-29.1751.53700000000.23113.0260000012.5034.2770000
Liquide middelen en kortetermijnbeleggingen 34.48117.17468.047300.702216.922453.235727.486471.826773.00999.157139.083100.275135.958194.377101.92775.60785.414355.316273.396268.686407.269576.559542.154214.686209.133155.079187.82519.2433.2450.849
Nettovorderingen 648.5571,324.101953.653686.147637.768646.851234.623440.554260.017234.766245.074267.076194.75400183.74600143.89500580.61207.811019.7080000
Voorraad 173.951257.777379.806282.905344.793418.158280.733278.0671,039.7831,082.8541,102.013945.08862.001900.519840.178530.668600.5407.53921.91782.439204.489368.197196.561140.974133.78691.58730.13118.1656.4776.273
Overige vlottende activa 635.201134.055127.929113.325110.051138.959220.381627.897584.82782.814180.402251.06791.048206.911262.6171.825177.756146.261149.47221.629320.502580.961421.66236.47152.0145.54135.13537.23619.24215.649
Totaal vlottende activa 1,494.0411,708.1681,461.741,377.3961,278.4551,653.8421,565.1431,818.3432,657.6361,490.6081,566.8151,458.731,283.761,301.8071,204.705775.856863.67909.116439.311572.754932.261,525.7161,160.375594.487494.929305.93253.0974.64328.96422.771
Niet-vlottende activa:
Materiële vaste activa, netto 732.674808.196880.325901.471927.389975.516582.787470.768505.419565.229609.509608.574490.515912.645426.37266.574309.1464.468479.961554.311734.226726.204608.064318.34223.618119.14527.4788.8144.2453.315
Goodwill 000000000000000000000000000000
Immateriële activa 72.85875.27777.69680.14482.7799.36882.68391.01384.17577.6385.66889.45580.35102.486104.19723.10531.72619.84818.20616.39590.43494.50548.648.28533.7718.618.57311.84300
Goodwill en immateriële activa 72.85875.27777.69680.14482.7799.36882.68391.01384.17577.6385.66889.45580.35102.486104.19723.10531.72619.84818.20616.39590.43494.50548.648.28533.7718.618.57311.84300
Langetermijnbeleggingen 137.877136.869205.553205.614211.064219.045209.39990.05269.71136.95336.95336.953000038.88332.9250000029.3910-20.2880000
Belastingvorderingen 48.21561.07838.77241.71940.54637.35434.63416.20615.23515.42815.20926.13528.132.66632.6936.38732.35600000014.459034.2770000
Overige niet-vlottende activa 12.13811.8767.5515.31643.00489.391177.267114.51416.96197.344141.641133.013215.593160.066160177.845138.46813.63222.15667.90943.42752.73143.1751.26321.8960.2136.8940.4310.4920.472
Totaal niet-vlottende activa 1,003.7611,093.2941,209.8981,234.2641,304.7731,420.6741,086.771782.552691.501792.584888.98894.131814.5581,207.862723.257503.91550.534530.873520.324638.615868.087873.439699.839411.738279.284151.94852.94521.0884.7373.787
Totaal activa 2,497.8022,801.4622,671.6382,611.662,583.2283,074.5162,651.9142,600.8953,349.1372,283.1922,455.7942,352.8612,098.3192,509.671,927.9621,279.7671,414.2041,439.989959.6341,211.3691,800.3472,399.1551,860.2141,006.225774.213457.878306.03595.73233.70126.558
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 191.096347.255309.454318.175333.749457.609313.107285.41373.045340.088345.074354.732264.544526.458219.181339.048127.376142.68332.86820.55586.674315.79249.87573.55536.3895.146.9971.0170.9140.24
Kortlopende schulden 599.09578.239516.486535.557484.4540175160337.66526.166353333.433326.74177.01570.77142232.391336.49348.19442.9777.986819.575353.615117.50592.66300000
Belastingschulden 33.5529.31620.2915.610.7524.42923.5511.24873.903-13.894-50.055-38.395-33.191-82.793-10.114-19.38-35.148-8.037-19.874-26.392-33.092-57.243-31.83511.42116.078-2.7741.1511.4760.7561.063
Uitgestelde opbrengsten 018.9475.39148.55841.999122.22274.497184.802481.468158.3176.41544.9452.018192.43743.801119.04331.681153.15994.21629.86125.567-1.214118.41985.59442.04600000
Overige kortlopende verplichtingen 427.806281.65385.068181.121118.345177.12677.614201.764591.217294.25474.559192.322152.779482.053177.66418.228348.763511.724370.93182.763128.76185.614164.578134.92437.50951.53915.57315.6389.9686.56
Totaal kortlopende verplichtingen 1,251.5421,236.463935.5911,048.263947.2951,060.625489.271648.4221,375.8251,146.611,079.355842.093710.8731,102.734457.496516.007673.383982.86722.422519.826960.3291,163.736735.779337.405182.631134.63923.72118.1311.6387.863
Langlopende verplichtingen:
Langetermijnschulden 27.492111.835254.369154.684214199.510.513.596.45270.034319.75503.867419.45439.7469.155.2398.623124.9643.20928011.7042.2400000
Uitgestelde opbrengsten niet-vlottend 0111.321105.826111.78116.636116.63296.4615.328.4996.76900000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 6.914790.09134-214-199.5-10.5-13.5-96.45-270.03400000000000000000000
Overige niet-vlottende verplichtingen 111.572117.4530-20.684116.636116.63205.328.499005.367.93.12526.56382.853244.036.86.8-0.4891.49-0.265-0.4360-0.45100000
Totaal niet-vlottende verplichtingen 145.977223.156360.286245.78330.636316.132106.96118.82104.949276.803330.071509.227427.35442.825495.663138.083342.653131.76410-0.48993.4979.73511.264-0.52541.78900000
Totaal passiva 1,397.5191,459.6191,295.8771,294.0431,277.931,376.757596.232667.2421,480.7741,423.4131,409.4261,351.321,138.2231,545.559953.159654.091,016.0361,114.624732.422519.3361,053.8191,243.471747.043336.88224.42134.63923.72118.1311.6387.863
Eigen vermogen:
Preferente aandelen 0000000000.0620.0620000000000000000000
Gewone aandelen 1,208.4551,208.4551,208.4551,208.4551,208.4551,208.4551,208.4551,208.455402.818292.498292.498292.498292.498292.498224.998122.755122.755122.755122.755122.755122.755122.755122.755102.755102.75593.75593.75550.4491515
Ingehouden winsten -356.421-65.096-77.745-84.264-94.133-17.709296.36216.08168.63340.209183.833183.255166.106231.109226.334179.773-35.572-91.353-120.125-248.39-249.956131.827106.301108.47468.51652.48234.18904.3172.493
Overige gereserveerde algehele resultaten -0.062140.299189.574132.94135.11130.01184.287180.44180.44-0.062-0.0620000000000000000000
Overige totale aandeelhoudersvermogen 187.706-0.036-0-0-0-8.529259.471255.6241,061.323282.859282.859278.384277.249196.944262.654316.187175.652204.765182.465711.945707.716711.104705.283336.639289.487187.376154.3727.1532.7461.201
Totaal eigen vermogen van aandeelhouders 1,039.6781,283.6581,320.2841,257.1311,249.4321,324.8361,764.2871,680.1591,632.712615.503759.128754.137735.854720.551713.987495.423262.834207.125176.552586.31580.515965.685933.886522.051460.758309.868282.31477.60222.06318.695
Totaal eigen vermogen 1,100.2821,341.8431,375.7611,317.6171,305.2971,697.7592,055.6821,933.6531,868.363859.7791,046.3681,001.541960.096964.111974.803625.677398.168325.365227.213692.032746.5271,155.6841,113.171669.344549.793323.238282.31477.60222.06318.695
Totaal passiva en aandeelhoudersvermogen 2,497.8022,801.4622,671.6382,611.662,583.2283,074.5162,651.9142,600.8953,349.1372,283.1922,455.7942,352.8612,098.3192,509.671,927.9621,279.7671,414.2041,439.989959.6341,211.3691,800.3472,399.1551,860.2141,006.225774.213457.878306.03595.73233.70126.558