Tangshan Jidong Equipment and Engineering Co.,Ltd.

SZSE:000856.SZ

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 343.873259.711255.011280.729214.59255.114235.381153.471215.506258.271164.862215.359137.50221.23824.50610.6417.82929.15312.17814.77822.818192.872232.855198.12479.357182.18218.07213.98622.215
Kortetermijnbeleggingen 0000002.211.02900000-89.840.7990.416-62.198000000000.02900.0040.004
Liquide middelen en kortetermijnbeleggingen 343.873259.711255.011280.729214.59255.114235.381153.471215.506258.271164.862215.359137.50221.23825.30511.0567.82929.15312.17814.77822.818192.872232.855198.12479.357182.21118.07213.9922.219
Nettovorderingen 1,099.3841,362.6151,293.9541,404.0571,283.4021,130.337962.42841.9461,033.481,224.1071,141.899932.72840.983110.311110.968133.581140.927218.507255.047275.026286.472353.523288.70986.94310.849284.266252.809208.245157.72
Voorraad 229.216227.078114.044151.496198.051166.749166.873285.044379.453379.101291.231249.014301.222384.645357.386367.249359.896275.009242.489176.982153.693135.44134.291118.95189.61392.2692.57271.37955.453
Overige vlottende activa 110.93110.4086.8929.13928.42622.53116.70119.7971.5990.129-9.814-10.814-15.173-17.95-15.882-16.743-16.4712.81112.7529.52614.47750.9153.643246.988204.1923.782-52.174-37.316-24.93
Totaal vlottende activa 1,783.4051,859.8121,669.8991,865.4211,724.4691,574.731,381.3751,300.2581,630.0381,861.6071,588.1781,386.2781,264.535498.244477.777495.144492.182535.479522.467476.312477.46732.744709.498651.005384.011562.518311.279256.298210.461
Niet-vlottende activa:
Materiële vaste activa, netto 230.241235.593227.953418.671423.339329.48303.992278.989395.536372.156297.321260.847257.394178.94216.543260.98309.181313.376360.591362.244354.325308.4359.365375.64376.648208.958161.61157.862160.414
Goodwill 000000000000006.2876.2876.287000000000000
Immateriële activa 15.49816.0316.89494.84495.80690.03492.79212.348169.259174.192178.597179.46183.04188.305108.73135.945139.815206.642247.298243.847214.08750.6450000000
Goodwill en immateriële activa 15.49816.0316.89494.84495.80690.03492.79212.348169.259174.192178.597179.46183.04188.305115.017142.232146.102206.642247.298243.847214.08750.6450000000
Langetermijnbeleggingen 28.50237.23617.452-355.5392.7873.13004.1454.5880.8850089.875-0.722-0.33971.5310000000035.702000
Belastingvorderingen 37.43942.18447.40847.66348.78667.39759.46554.14639.10930.97735.00921.339.7020.360.2970.28611.571000000000000
Overige niet-vlottende activa 30.4520.9741.36416.511.1026.9622.7391.347000.4521.2551.617-0.00659.75960.716-0.5587.1994.8578.51712.1549.59511.6312.38914.8070.0300.0220.06
Totaal niet-vlottende activa 342.131332.017311.066622.139581.82497.004458.989346.829608.049581.913512.265462.892451.754357.473390.894463.874537.827527.217612.747614.608580.565368.64370.995388.029391.455244.689161.61157.884160.474
Totaal activa 2,125.5362,191.831,980.9652,487.562,306.2892,071.7341,840.3641,647.0872,238.0872,443.5192,100.4431,849.171,716.289855.717868.671959.0181,030.0091,062.6971,135.2141,090.921,058.0251,101.3841,080.4931,039.034775.466807.207472.889414.182370.935
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,038.8741,067.033989.407991.0111,063.714986.825831.722633.997791.835777.087666.981459.511378.469130.149129.928139.344138.578125.066130.637111.714107.57799.41286.33255.20342.96122.31824.33614.80818.384
Kortlopende schulden 378.78975.243179.935306.63513.771366441222562549.84442.785418.864369.8659.110.915230.256244.928246.02248.261257.429105.817113.46275.522107.731119.424225.74395.28763.53346.84
Belastingschulden 1.0611.34725.46.5139.81712.87723.4974.3250.4555.49321.85219.61223.28173.25970.53350.18535.99727.16527.22932.89230.4632.42931.25431.32227.55811.7776.3657.8457.681
Uitgestelde opbrengsten 153.643371.331380.315687.42241.89612.877126.71782.159264.535216.548220.136241.465213.734608.839557.417467.949359.908267.153280.708249.681193.494160.39178.682199.748160.025133.373124.682115.46589.062
Overige kortlopende verplichtingen -935.552-825.49-998.004-943.987-1,057.003-757.982-786.913-389.029-590.328-486.053-520.451-269.295-119.844-173.616-168.872-157.501-148.926-133.36-107.712-86.183-110.14-113.756-95.828-70.321-64.362-19.55-24.633-13.946-15.952
Totaal kortlopende verplichtingen 1,675.6891,766.4971,566.462,038.5971,835.9071,607.421,467.7431,187.4491,820.3321,840.0021,498.2851,329.6681,243.974777.88729.849869.576769.063657.111709.76677.246434.785391.349362.296378.887328.566395.979250.375202.513164.399
Langlopende verplichtingen:
Langetermijnschulden 0.3300.2371.7351.4240010010052.880000000000161.617167.7176.790.78.7960.1465.33959.733
Uitgestelde opbrengsten niet-vlottend 5.7816.1097.117.5828.0558.52701.25.324.120000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.7220.938-00000-91-83.5-35.880000001.462000000000000
Overige niet-vlottende verplichtingen -5.78100010.48918.948910010052.8821.1211.511.538.3428.60410.0795.5626.3774.1933.9933.3064.0473.3874.984.7455.9834.2088.37312.516
Totaal niet-vlottende verplichtingen 1.0537.0477.3469.31719.96727.4759110.2121.827421.1211.511.538.3428.60410.0797.0246.3774.1933.993164.923171.747180.08795.6813.44514.98364.34973.71372.248
Totaal passiva 1,676.7421,773.5441,573.8062,047.9141,855.8751,634.8961,476.7431,297.6491,942.1521,914.0021,519.4051,341.1681,255.474816.222738.454879.655776.087663.487713.953681.239599.708563.095542.383474.567342.011410.962314.723276.226236.647
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000
Gewone aandelen 227227227227227227227227227227227227227227227227227175175175175175175175160160100100100
Ingehouden winsten -206.765-237.431-251.16-306.436-310.917-334.529-343.557-359.099-382.875-179.765-93.291-101.84-144.531-402.24-346.929-361.244-198.148-68.082-64.996-74.07-20.2428.69210.09935.57335.34429.16314.57500
Overige gereserveerde algehele resultaten 122.767129.501132.897133.288110.236110.236110.204110.21980.3010.180.056000000000000000000
Overige totale aandeelhoudersvermogen 266.677266.677266.677291.352314.404314.404314.404314.404314.404388.558358.414354.23353.174242.268241.602205.98202.799265.082272.183277.287277.14320.847319.581317.452197.958190.27824.95620.07714.111
Totaal eigen vermogen van aandeelhouders 409.679385.746375.414345.204340.723317.111308.051292.525238.83435.972492.179479.391435.64467.028121.67371.737231.651372382.187378.217431.899504.539504.68528.025393.301379.441139.532120.077114.111
Totaal eigen vermogen 443.013418.286407.159439.646450.415436.838363.62349.438295.936529.517581.038508.002460.81639.495130.21779.363253.922399.209421.261409.681458.317538.289538.11564.467433.455396.245158.165137.956134.288
Totaal passiva en aandeelhoudersvermogen 2,125.5362,191.831,980.9652,487.562,306.2892,071.7341,840.3641,647.0872,238.0872,443.5192,100.4431,849.171,716.289855.717868.671959.0181,030.0091,062.6971,135.2141,090.921,058.0251,101.3841,080.4931,039.034775.466807.207472.889414.182370.935