Inspur Electronic Information Industry Co., Ltd.

SZSE:000977.SZ

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 12,012.8639,009.5367,277.27910,133.6616,704.6985,534.6742,409.8341,322.581988.525924.002261.699292.752314.316223.835207.229372.054510.596293.659387.838557.508405.911336.534291.798656.99960.14457.80177.835
Kortetermijnbeleggingen 52.2932.761400.0683,707.848-205.285313.829-129.142-128.586-127.429390200000270.69900-9.72500000.2853.798000
Liquide middelen en kortetermijnbeleggingen 12,065.1529,042.2977,677.34813,841.5096,704.6985,534.6742,409.8341,322.581988.525924.002261.699292.752314.316223.835207.229372.054510.596293.659387.838557.508405.911336.534292.083660.79760.14457.80177.835
Nettovorderingen 12,330.81211,888.72112,369.8029,676.83610,775.5345,261.4394,323.9042,258.1482,217.7671,414.652866.924528.802243.262220.602156.145160.242200.288235.857619.833584.323475.165519.735401.62947.81217.00317.46820.011
Voorraad 19,114.56915,024.63222,402.22910,943.2568,567.6218,216.7174,987.142,757.3092,268.6061,875.0861,088.558496.925256.892337.547187.12287.224239.317218.489345.803380.357299.041243.512164.02160.46363.031158.623168.016
Overige vlottende activa 908.1841,624.2281,306.541,319.584905.9474,436.3774,155.588937.735886.901618.754200-58.616-30.416-23.109-26.885-17.215-26.642-28.358-85.497-79.457-84.876-76.835-43.626121.82388.092123.155133.484
Totaal vlottende activa 44,418.71737,579.87743,755.91835,781.18526,953.80123,449.20615,876.4667,275.7726,361.7994,832.4952,417.1811,259.864784.055758.875523.61802.305923.558719.6471,267.9761,442.7321,095.2411,022.945814.106990.895228.27357.048399.345
Niet-vlottende activa:
Materiële vaste activa, netto 2,264.1712,116.4891,155.3861,081.514953.322725.577411.607395.859356.053157.401135.517140.084161.909195.802179.535164.822170.064187.988320.347308.331298.028222.054139.623101.44681.525119.284110.905
Goodwill 0.6430.6430.6430.6430.6430.6430.6430.6430.6430.6430.6430.6430.6430.6430.6430.6430.6430.643000000000
Immateriële activa 441.555380.898398.902529.743701.272831.8781,058.79877.219555.663403.748338.552173.101180.68152.804153.47300048.06660.21280.64567.10311.6837.23208.4645.57
Goodwill en immateriële activa 442.198381.541399.545530.386701.915832.5211,059.433877.863556.306404.391339.195173.744181.323153.4470.6430.6430.6430.64348.06660.21280.64567.10311.6837.23208.4645.57
Langetermijnbeleggingen 498.153327.365-93.196-3,399.648519.6950482.837491.872523.079415.689408.134472.30500153.47300350.984000088.24258.77000
Belastingvorderingen 427.358353.799379.836321.12179.085121.80547.56624.7221.29811.2677.1216.3116.9326.4065.9245.8845.8023.96700008.8369.549000
Overige niet-vlottende activa 69.027254.354610.6724,008.309101.267470.1623.59113.0560.819127.308132.298129.195596.589523.881277.544425.632372.893-0.002400.171334.836251.828283.31149.2740.35673.1075.5235.335
Totaal niet-vlottende activa 3,700.9083,433.5482,452.2442,541.6812,455.2842,150.0662,005.0351,803.3691,457.5551,116.0571,022.266921.639946.752879.537617.118596.981549.402543.581768.585703.379630.501572.469297.658177.353154.632133.271121.81
Totaal activa 48,119.62541,013.42646,208.16338,322.86629,409.08525,599.27217,881.5019,079.1417,819.3555,948.5523,439.4472,181.5031,730.8071,638.4111,140.7281,399.2861,472.9611,263.2272,036.5612,146.111,725.7421,595.4141,111.7651,168.249382.901490.319521.155
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 9,147.66510,502.56819,297.29613,119.39114,703.21610,479.8065,483.5561,532.2081,269.4111,061.9356.621499.928293.679251.39891.418135.838130.062133.254183.503234.91156.61189.57390.384112.68243.14730.733178.376
Kortlopende schulden 8,472.9955,061.4484,579.4252,895.3111,707.4472,090.3013,582.5692,376.3752,951.2162,129.0561,648.5683401401500183.543287.75101.53104.052218.922125708.04039.72157.92980.531
Belastingschulden 70.147268.22317.865423.725214.827185.957.72981.77174.6164.07-85.589-37.3450.589-18.6850.472-3.716-0.256-0.0838.4131.7039.4317.1657.78821.41716.37-4.089-1.31
Uitgestelde opbrengsten 1,912.611,697.9842,633.8385,050.968675.1810320.304250.327202.665153.4731.17413.10830.986106.356017.67821.10930.522101.29368.22751.89875.6451.181040.91225.06117.936
Overige kortlopende verplichtingen 1,730.0891,381.5472,148.0371,537.2741,317.8183,156.063781.921646.883504.559263.676126.482108.89137.03583.46455.80443.76134.66630.86282.08269.17148.83538.99527.17585.45311.87812.19616.216
Totaal kortlopende verplichtingen 21,263.3618,643.54728,658.59722,602.94518,403.66215,726.1710,168.354,805.7934,927.8513,608.1022,162.845961.925601.7591.218147.222380.82473.588296.168470.93591.23382.343374.207176.78198.134135.657225.919293.06
Langlopende verplichtingen:
Langetermijnschulden 8,126.2074,265.5661,549.608610.29321.718422.7940030001200470000000000.07305000
Uitgestelde opbrengsten niet-vlottend 89.502147.699114.95982.007374.64139.66130.49522.20948.4562.76800000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 11.20916.45714.42915.7660.02112,007.656-398.992-298.90100.2800000000000000000
Overige niet-vlottende verplichtingen 254.528321.387304.989184.2070.826-12,006.7394003001.19111.37111.4629.9044.99517.71539.8139.8139.8151.34844.11940.144134.05434.16500.850.798
Totaal niet-vlottende verplichtingen 8,481.4464,751.1091,983.985892.271697.206563.368431.503323.30749.6455.048211.37158.4629.9044.99517.71539.8139.8139.8151.34844.11940.1441.07334.05439.16500.850.798
Totaal passiva 29,744.80623,394.65730,642.58223,495.21519,100.86716,289.53910,599.8535,129.14,977.4973,613.1512,374.2161,020.388611.604596.213164.937420.63513.398335.978522.278635.349422.483415.28210.833237.299135.657226.769293.858
Eigen vermogen:
Preferente aandelen 000000000000000000000000000
Gewone aandelen 1,472.1351,463.711,453.7211,453.7211,289.2521,289.2521,289.252999.283959.726479.8632152152152152152152152152152152152152152151501500
Ingehouden winsten 8,818.0417,288.7985,628.2974,058.4582,894.4882,144.041,560.8091,191.146992.069760.957463.479295.453255.754185.209161.284166.441142.917127.144119.351113.977101.63378.13159.36846.98323.2862.0060
Overige gereserveerde algehele resultaten 885.874937.346766.517621.833570.381348.987231.047231.805298.41143.34766.2550000000000000000
Overige totale aandeelhoudersvermogen 6,770.6257,574.6317,313.3198,313.3195,192.9925,192.9924,197.2851,521.438581.7991,051.234320.496650.663642.746637.53595.508593.455597.481581.045591.611573.633552.836546.86532.136522.94565.73156.6610
Totaal eigen vermogen van aandeelhouders 17,946.67517,264.48415,161.85414,447.3329,947.1148,975.2727,278.3933,943.6712,832.0052,335.4011,065.2311,161.1151,113.51,037.739971.792974.895955.398923.189925.962902.609869.468839.991806.504784.927239.016208.666163.829
Totaal eigen vermogen 18,284.58217,618.76915,565.58114,827.6510,308.2189,309.7337,281.6483,950.0412,841.8582,335.4011,065.2311,161.1151,119.2031,042.198975.791978.656959.563927.251,514.2831,510.7621,303.2591,180.133900.931930.949247.244263.55227.297
Totaal passiva en aandeelhoudersvermogen 48,119.62541,013.42646,208.16338,322.86629,409.08525,599.27217,881.5019,079.1417,819.3555,948.5523,439.4472,181.5031,730.8071,638.4111,140.7281,399.2861,472.9611,263.2272,036.5612,146.111,725.7421,595.4141,111.7651,168.249382.901490.319521.155