ZJBC Information Technology Co., Ltd

SZSE:000889.SZ

1.89 (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 137.572267.786383.728725.835830.136693.277345.058338.215225.147283.12190.356298.465281.842248.406139.251186.968207.746116.492110.41299.95675.2377.22687.849256.11332.75246.9648.87225.96111.7827.391
Kortetermijnbeleggingen 0000-3.412-86.95630.104218501.180.7150.7730.6810.8381.009-311.144-316.8860000000000000
Liquide middelen en kortetermijnbeleggingen 137.572267.786383.728725.835830.136693.277375.162338.215225.147284.301191.071299.239282.523249.244140.261186.968207.746116.492110.41299.95675.2377.22687.849256.11332.75246.9648.87225.96111.7827.391
Nettovorderingen 450.063521.067534.739970.2671,036.7131,215.23784.465552.9861,215.934139.86848.45462.57278.25659.776141.406156.649246.846226.346164.999217.861210.674439.507228.9851.55210.93542.56553.719105.66467.126.967
Voorraad 38.750.45453.56729.36231.66247.7375.3423.2988.473512.166656.591644.356648.285643.715483.315511.642523.876630.15711.218703.115815.979509.908709.164348.128161.545132.07636.97155.60639.5134.12
Overige vlottende activa 38.77839.69237.29140.27240.118136.731186.846224.68854.72650.883-3.1-5.097-5.548-5.849-12.031-8.817-13.705-13.875-5.5-19.209-30.423-19.559-18.51250.2339.08552.1560.742-39.7810.1290.11
Totaal vlottende activa 709.0528791,009.3251,765.7361,938.6292,092.9741,351.8161,119.1871,504.28987.217893.0161,001.071,003.515946.885752.95846.441964.762959.112981.1291,001.7231,071.4611,007.0831,007.48706.023244.318273.757140.304147.45118.52168.588
Niet-vlottende activa:
Materiële vaste activa, netto 70.22944.01148.9688.47898.92577.2873.27166.32769.103664.402494.979472.23214.086233.684250.292305.702317.646532.963639.119658.459645.074607.426474.865496.025434.407349.896261.587192.434136.67998.105
Goodwill 110.142110.142127.2061,769.3171,769.3172,971.541,738.9121,738.9121,738.912744.5630.9130.913000000000000000000
Immateriële activa 3.13810.57119.62956.14568.28980.48649.33957.35165.65584.64146.31956.88767.52377.80289.695100.74624.67423.97833.68634.7173.58810.9818.6415.97516.3551.2371.2870.7190.3840.094
Goodwill en immateriële activa 113.28120.713146.8361,825.4621,837.6063,052.0261,788.2521,796.2641,804.568829.20446.31956.88767.52377.80289.695100.74624.67423.97833.68634.7173.58810.9818.6415.97516.3551.2371.2870.7190.3840.094
Langetermijnbeleggingen -9.667243.939243.93910.8043.57187.0880003.824.2854.2274.3194.16211.556316.344416.7820000000000000
Belastingvorderingen 9.66710.34726.91227.51427.66814.9198.9536.51113.63711.1076.3588.8518.7688.8599.20210.65511.740000000000000
Overige niet-vlottende activa 12.3650.11701.1971.1971.2120.8941.6121.573314.983277.258286.259287.621249.012282.9091.0111.008106.44110.52320.122.02119.09710.93718.24218.76120.70714.2315.067.4461.778
Totaal niet-vlottende activa 195.874419.128466.6461,953.4551,968.9663,232.5251,871.371,870.7151,888.8811,823.516829.2828.453582.316573.519643.656734.458771.85663.382683.329713.277670.683637.504494.442530.242469.522371.84277.104208.213144.50899.977
Totaal activa 904.9261,298.1271,475.9713,719.1913,907.5965,325.4993,223.1862,989.9023,393.1612,810.7331,722.2151,829.5241,585.8321,520.4041,396.6061,580.8991,736.6121,622.4941,664.4571,714.9991,742.1441,644.5871,501.9221,236.265713.84645.598417.407355.663263.029168.565
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 392.559429.61467.752502.786478.431398.708314.946281.53243.611296.196218.146241.237177.928232.01479.23793.547132.392159.771171.089144.878162.744203.11185.87670.77353.31955.4024.80811.1586.3697.214
Kortlopende schulden 38.7868.137155.136271.82420.83419.245202017.60084185134316.2467.29434471.2564.34545.85636.9579.4437.2282.2117.01223.7130.21105.8478.427.5
Belastingschulden 3.7034.1372.84927.05651.1459.62538.69527.146127.59143.795-33.338-37.876-33.721-32.062-9.4488.62217.27320.632.04766.91759.74749.16922.84312.0242.7093.5235.1770.803-0.0410.733
Uitgestelde opbrengsten 290.77585.629477.981565.88496.92259.625132.154114.276218.4290041.37420.22410.968137.586121.22270.583178.186149.532147.544119.68486.15580.24736.78513.08912.39913.81846.25318.48215.38
Overige kortlopende verplichtingen 32.174442.69330.6725.057111.203650.27192.676113.45862.858396.121329.627290.923341.888315.258224.183187.049160.58798.55370.38766.84740.88216.81177.15876.24678.43980.2772.6382.20.020.014
Totaal kortlopende verplichtingen 754.2871,026.071,131.541,365.5441,507.3861,527.849559.776529.264542.498692.317547.774657.534725.04692.239757.205869.106997.562907.71955.348905.12960.21885.476780.48466.004261.857371.78851.474165.45103.27150.108
Langlopende verplichtingen:
Langetermijnschulden 6.8926.1441.3492.92266.266185.36500597008012016001545.1925.66220352000401250110655519
Uitgestelde opbrengsten niet-vlottend -7.799500-66.266-185.36500-5972.22700000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 7.7994.2364.64510.28911.3169.682.3822.8043.238000000000000000000000
Overige niet-vlottende verplichtingen 7.799-5-0-2.92266.266185.365035974.8826.5655.7395.6363.112300.80.80.80.80.80.80.80.84.0272.3121.4731.3661.3171.182
Totaal niet-vlottende verplichtingen 14.69110.385.99410.28977.582195.0462.3825.804600.2387.1096.56585.739125.636163.11231545.9926.46220.835.820.80.80.840.8129.0272.312111.47366.36656.31720.182
Totaal passiva 768.9781,036.451,137.5341,375.8331,584.9681,722.895562.157535.0691,142.736699.426554.338743.274850.677855.352760.205884.1061,043.552934.172976.148940.92981.01886.276781.28506.804390.884374.1162.946231.817159.58870.29
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 936.291936.291936.291936.291669.102669.102621.827621.827621.827621.827445.522445.522338.708338.708338.708338.708338.708294.528294.528294.528294.528294.528294.528226.56198.09198.09110.0580.0577.05976.859
Ingehouden winsten -2,394.652-2,269.103-2,190.233-185.36-205.5271,060.014845.19638.995438.446331.974261.806189.33186.7323.545-4.37855.02351.7812.124-26.06659.45855.32752.1434.91577.26947.5619.73121.75902.6530.083
Overige gereserveerde algehele resultaten 104.446104.446104.446104.4461,873.488104.446220.2220.2216.34000000000000000000000
Overige totale aandeelhoudersvermogen 1,489.6641,489.6641,487.4181,487.418-14.4361,769.043973.812973.812973.8121,152.97455.936446.646304.94297.919295.321295.321294.961384.105412.576412.837402.562402.717383.087418.96371.43653.676122.65343.79623.72921.333
Totaal eigen vermogen van aandeelhouders 135.749261.298337.9212,342.7942,322.6283,602.6052,661.0292,454.8332,250.4252,106.7711,163.2641,081.498730.378660.172629.651689.052685.45680.758681.039766.823752.417749.385712.531722.793317.086271.497254.461123.846103.44198.275
Totaal eigen vermogen 135.948261.678338.4372,343.3592,322.6283,602.6052,661.0292,454.8332,250.4252,111.3071,167.8771,086.25735.155665.053636.401696.793693.06688.322688.31774.08761.135758.311720.642729.461322.956271.497254.461123.846103.44198.275
Totaal passiva en aandeelhoudersvermogen 904.9261,298.1271,475.9713,719.1913,907.5965,325.4993,223.1862,989.9023,393.1612,810.7331,722.2151,829.5241,585.8321,520.4041,396.6061,580.8991,736.6121,622.4941,664.4571,714.9991,742.1441,644.5871,501.9221,236.265713.84645.598417.407355.663263.029168.565