Shenzhen Deren Electronic Co., Ltd.

SZSE:002055.SZ

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 370.5411,119.9271,934.771582.374748.6662.2871,173.771,028.528425.733304.431185.571267.416358.066137.115124.83103.282207.883221.76270.81952.01653.674
Kortetermijnbeleggingen 132.68254.32236.115-120.224-86.3660.865-82.1148.3074.608-11.863-9.4720000000001.549
Liquide middelen en kortetermijnbeleggingen 503.2231,174.2491,970.886582.374748.6663.1521,173.771,036.835430.341304.431185.571267.416358.066137.115124.83103.282207.883221.76270.81952.01655.223
Nettovorderingen 2,225.6012,551.2392,138.9243,044.2163,398.4713,367.2713,385.4512,465.7661,812.8351,429.4891,269.8571,062.457000369.201250.573193.094171.504110.4190
Voorraad 925.3831,509.2391,648.491,522.4981,727.5031,794.731,682.3871,220.636925.891567.771485.275367.603251.119216.118116.1888.322116.803109.672114.18764.66342.942
Overige vlottende activa 562.096329.999264.319331.6321,003.346862.966560.756277.288442.56178.98568.8671,076.26118.20219.6714.74425.58676.926204.8348.47613.855111.858
Totaal vlottende activa 4,216.3025,594.6596,130.4465,601.5636,658.0546,688.126,802.3645,000.5253,611.6282,380.6762,009.571,711.2791,577.6561,015.455690.16586.392652.184536.268364.986240.951210.023
Niet-vlottende activa:
Materiële vaste activa, netto 1,848.3431,981.5281,883.151,473.7781,410.5551,360.4111,227.112915.002860.103711.58697.364579.587444.604336.743272.106233.852109.72574.75968.70945.47532.875
Goodwill 334.106334.106357.17432.684442.853517.889517.889414.172412.75846.15646.1560000000000
Immateriële activa 653.855729.51730.165753.39813.714734.972516.912283.739183.99693.81899.39556.10538.09739.23929.59510.5358.2443.3440.4050.5060.653
Goodwill en immateriële activa 987.9611,063.6161,087.3341,186.0741,256.5671,252.8611,034.8697.911596.753139.975145.55156.10538.09739.23929.59510.5358.2443.3440.4050.5060.653
Langetermijnbeleggingen 316.974296.412461.941869.564493.309383.683265.753201.927180.65175.68149.2173.699000000003.48
Belastingvorderingen 212.767214.013210.839210.647240.523152.649110.9879.20459.0918.8218.2655.0693.5483.1892.8070.9960.4850000
Overige niet-vlottende activa 281.63205.139195.084135.038165.97325.228146.334144.784107.64254.8427.5329.79710.4876.980.6721.0072.5990.8616.7896.0322.982
Totaal niet-vlottende activa 3,647.6753,760.7093,838.3493,875.1023,566.9253,474.8332,784.9792,038.8281,804.2391,000.896927.929654.257496.736386.15305.18246.39121.05378.96475.90352.01339.991
Totaal activa 7,863.9789,355.3689,968.7959,476.66510,224.97910,162.9529,587.3437,039.3535,415.8673,381.5722,937.4992,365.5362,074.3921,401.605995.34832.782773.237615.232440.889292.964250.014
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,193.9442,484.7882,481.3852,251.9792,619.4782,405.392,551.2492,065.0111,394.718903.639799.844333.13555.686451.179314.525202.724296.642239.166249.201157.096121.297
Kortlopende schulden 661.269798.9991,244.8922,391.6152,500.0213,186.8362,249.9871,667.1821,068.105868.377609.836362.17293.447382.084158.018233.789113.8350203.53725
Belastingschulden 40.65772.97952.94683.93674.86774.27773.34832.01740.19420.52118.76813.02113.4815.4477.2397.4884.9632.1853.9953.0123.113
Uitgestelde opbrengsten 053.278572.713620.661627.99574.277650.159439.036433.11691.24495.13873.79263.63762.73251.89843.6125.54117.39916.85212.70713.816
Overige kortlopende verplichtingen 587.568821.868546.662-83.488837.692491.48888.648128.54792.057-6.312114.715371.3651.12358.28-6.73636.34821.69125.91714.268-2.65911.415
Totaal kortlopende verplichtingen 3,483.4384,231.9124,385.4945,264.7046,009.5716,032.7865,613.394,331.7933,028.191,871.9011,543.1631,079.681913.737896.989593.335480.349437.125317.269287.464173.693160.826
Langlopende verplichtingen:
Langetermijnschulden 267.28401.169484.25921.869331.40969.773362.337412.903461.92171.65923.42358.752618348.9178.39900.033102.9323.424
Uitgestelde opbrengsten niet-vlottend 019.23426.95328.3431.09523.31919.72614.9728.2697.31200000000000
Uitgestelde belastingverplichtingen niet-vlottend 013.0041,701.9531,643.2291,650.547944.058765.273531.9115.877.75300000000000
Overige niet-vlottende verplichtingen 1,605.981,529.6211,576.18913.057-299.9616.964.0252.63837.584-0.4421.6554.3616.3188.68300000.0930.1630.213
Totaal niet-vlottende verplichtingen 1,873.261,920.6812,060.4471,706.4951,713.091,044.1111,151.36962.412623.64478.97125.07863.11367.31891.68348.9178.39900.03310.0933.0943.636
Totaal passiva 5,356.6986,152.5926,445.9426,971.1987,722.6617,076.8976,764.755,294.2053,651.8341,950.8721,568.2411,142.794981.055988.671642.252488.748437.125317.301297.556176.787164.462
Eigen vermogen:
Preferente aandelen 0000043.4880001.3390.5450000000000
Gewone aandelen 604.49604.49604.49473.486479.694479.694467.144450.512450.512414.512414.512414.512205.221174.587134.298103.30679.46661.12844.32844.32844.328
Ingehouden winsten -978.44-338.328-78.271514.173393.103988.01770.764608.901572.685511.985438.608344.79267.557165.755154.907127.552106.82675.49152.32334.91719.802
Overige gereserveerde algehele resultaten 574.968149.254158.38337.2523.232-43.4887.14546.50347.546-1.339-0.5450000000000
Overige totale aandeelhoudersvermogen 2,414.2192,414.2193,010.146944.0611,069.7331,272.3261,195.54675.851676.894443.737437.46415.825607.98937.69133.83263.78193.621110.10412.2618.3154.319
Totaal eigen vermogen van aandeelhouders 2,615.2372,829.6343,098.8211,971.2981,905.3882,696.5412,390.9821,735.2641,700.0911,368.8951,290.0351,175.1281,080.767378.033323.037294.639279.913255.85108.91287.5668.448
Totaal eigen vermogen 2,507.283,202.7753,522.8532,505.4672,502.3183,086.0562,822.5931,745.1481,764.0331,430.71,369.2581,222.7421,093.337412.934353.088344.034336.112297.931143.332116.17785.552
Totaal passiva en aandeelhoudersvermogen 7,863.9789,355.3689,968.7959,476.66510,224.97910,162.9529,587.3437,039.3535,415.8673,381.5722,937.4992,365.5362,074.3921,401.605995.34832.782773.237615.232440.889292.964250.014