DeHua TB New Decoration Material Co.,Ltd

SZSE:002043.SZ

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,252.005693.164604.078703.268794.146390.722318.167182.615194.497197.272188.109174.887158.06499.804155.837171.616189.802183.84178.48690.89954.78370.727
Kortetermijnbeleggingen 00.488-15.553-13.225-17.808447.217-20.919170.764293.85171.7751.73400.0493.2880.8090.299000000
Liquide middelen en kortetermijnbeleggingen 2,252.005693.164604.078703.268794.146390.722318.167182.615194.497197.272189.842174.887158.112103.092156.647171.914189.802183.84178.48690.89954.78370.727
Nettovorderingen 1,229.8651,513.4131,559.8151,070.38123.302101.02775.954588.87667.14588.86853.96978.11762.327038.11848.78695.68868.87170.4439.52424.8450
Voorraad 434.59529.29648.337779.041351.205311.946322.361245.383267.806311.524313.715306.02369.114308.739232.582304.64249.622215.38136.732115.24293.0982.158
Overige vlottende activa 120.277151.975413.869808.633859.452833.6851,120.459782.6312.239180.32370.5582.18945.98542.36664.09278.32847.54392.76481.9134.4126.726.976
Totaal vlottende activa 4,036.7372,887.8423,226.13,361.3232,128.1051,687.1341,836.9411,210.598836.18777.986655.301605.272635.539531.044491.439603.669582.656543.395397.131249.264179.418179.861
Niet-vlottende activa:
Materiële vaste activa, netto 566.882642.851621.741469.934389.371309.767287.497225.981232.466212.458223.789230.321247.586255.397279.318288.478212.559242.896227.744164.92175.845188.16
Goodwill 761.332762.115879.891879.891431.543431.543431.543431.5430.542.6264.7126.7980000000000
Immateriële activa 94.52399.81998.751107.77574.44281.81572.92375.22753.87554.87857.56767.92558.04362.34554.58964.13245.1860.7560000
Goodwill en immateriële activa 855.855861.934978.643987.666505.985513.358504.466506.7753.87554.87857.56767.92558.04362.34554.58964.13245.1860.7560000
Langetermijnbeleggingen 635.573687.144693.499395.25448.486029.86935.3137.82534.87433.50133.84118.21816.41914.25123.51919.52900000
Belastingvorderingen 172.299132.74278.49155.7796.9949.0826.5415.2124.6324.2422.8112.5582.1571.9223.3193.1292.40400000
Overige niet-vlottende activa 111.22443.93213.7049.614281.173466.1871.6260.430.6722.9644.7126.7988.88510.97113.05715.14317.22936.77531.242000
Totaal niet-vlottende activa 2,341.8332,368.6032,386.0771,918.2421,632.0091,298.394830.001773.701329.47309.416322.38341.443334.888347.053364.533394.401296.906280.428258.987164.92175.845188.16
Totaal activa 6,378.575,256.4445,612.1775,279.5653,760.1142,985.5282,666.9421,984.2991,165.651,087.402977.681946.715970.427878.097855.972998.07879.562823.823656.118414.184355.264368.021
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,863.6211,327.3591,371.4281,435.457587.139280.704263.93135.30999.068108.805107.12790.49490.95236.871252.409185.214171.58254.37311.23738.4224.176137.963
Kortlopende schulden 60.15364.656809.531944.565703.4779300024.9370043.509256.64125.795309.072258.78141.465179.12184.098164.75950.167
Belastingschulden 165.045218.044235.717159.49629.46723.05335.36550.2814.9257.8086.8086.9143.3840.8031.478-2.1429.3092.9121.2632.4253.9496.293
Uitgestelde opbrengsten 0160.561969.039726.63180.94123.05365.0273.004-19.42464.4320043.68235.70430.8235.95937.72820.42831.82814.91421.17239.699
Overige kortlopende verplichtingen 875.032621.406559.343320.877249.534150.24323.64993.401113.84584.47356.8452.53353.175142.54836.79645.80535.72823.84472.99314.11617.69834.033
Totaal kortlopende verplichtingen 2,963.8492,692.0243,198.8312,917.171,569.6111,270.05687.965351.994227.838226.023170.774149.941187.761414.011416.478537.949475.398422.594264.613239.059210.582228.456
Langlopende verplichtingen:
Langetermijnschulden 37.92642.449116.686293.04238.30914.13513.98914.10813.969-6.61812.2111.46711.0072.2992.060.9040.40200000
Uitgestelde opbrengsten niet-vlottend 19.3720.67417.7219.43314.34914.54910.3918.4735.2033.6880-000-2.06-0.904000000
Uitgestelde belastingverplichtingen niet-vlottend 11.27712.11916.00514.4124.1353.0881.3491.3821.4891.5932.1321.8031.922.8352.323.919000000
Overige niet-vlottende verplichtingen 1.38144.15839.065-13.67613.738004.859001.9961.22507.68800000000
Totaal niet-vlottende verplichtingen 69.95486.077171.757293.775270.53131.77225.7328.82320.6637.51116.33914.49612.9285.1344.384.8230.40200000
Totaal passiva 3,033.8032,778.1013,370.5873,210.9451,840.1421,301.822713.695380.816248.498263.534187.112164.437200.689419.145420.858542.772475.799422.594264.613239.059210.582228.456
Eigen vermogen:
Preferente aandelen 0055.66800087.436001.0821.13900000000000
Gewone aandelen 839.146772.842772.842774.756774.756805.692862.461828.001484.25484.25470.02470.02235.01183183183122122122808080
Ingehouden winsten 1,663.0431,408.1511,346.1311,034.029833.709684.478562.096261.24279.713209.389183.158176.707172.775135.35114.694113.36188.73388.32471.58461.92838.72125.448
Overige gereserveerde algehele resultaten 3.612111.52-55.66812.193196.75146.51-87.43668.0639.687-1.082-1.13900000000000
Overige totale aandeelhoudersvermogen 701.345165.97-44.50351.82139.84388.39593.67491.119128.302105.006113.976110.688353.473104.121113.802110.096169.185168.47165.5212.3958.1763.887
Totaal eigen vermogen van aandeelhouders 3,207.1452,347.2722,130.1391,860.6061,845.0581,657.4581,930.791,580.36892.265798.645766.015757.415744.258434.949411.496406.456379.918378.795359.104154.323126.898109.335
Totaal eigen vermogen 3,344.7672,478.3432,241.5892,068.621,919.9721,683.7061,953.2471,603.483917.152823.868790.568782.278769.738458.952435.113455.297403.763401.229391.505175.125144.681139.565
Totaal passiva en aandeelhoudersvermogen 6,378.575,256.4445,612.1775,279.5653,760.1142,985.5282,666.9421,984.2991,165.651,087.402977.681946.715970.427878.097855.972998.07879.562823.823656.118414.184355.264368.021