Suzhou Good-Ark Electronics Co., Ltd.

SZSE:002079.SZ

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

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 686.356389.626321.394682.716449.019367.451409.258600.286391.194322.055531.51534.572582.02639.9985.205100.92560.269161.975227.95733.65213.11940.082
Kortetermijnbeleggingen 93.986287.861188.421140.145383.977401.094-12.934-8.173-8.509195000.9970.6280.6270.1450.1870.7680009.247
Liquide middelen en kortetermijnbeleggingen 780.341715.354509.815822.861832.996768.545409.258600.286391.194322.055531.51534.572583.017640.61885.831101.06960.457162.743227.95733.65213.11949.329
Nettovorderingen 1,151.3541,169.383937.367819.891642.961597.568532.817437.678298.006200.055196.808153.788146.31100118.8692.53539.51879.80279.86574.3290
Voorraad 550.057473.14384.97346.82212.064197.271189.195217.504162.59143.122145.623141.201140.05148.495143.128114.9897.797107.08482.36465.93469.79350.867
Overige vlottende activa 116.82379.45998.04825.41216.67312.10913.43667.165275.35235.20431.36336.81954.327147.703137.444121.7154.3497.91584.6511.3840.85279.918
Totaal vlottende activa 2,598.5762,437.3361,930.22,014.9841,704.6941,575.4931,390.8781,322.6321,127.141889.502890.357866.379892.807936.816366.403337.765255.128367.741395.399180.955157.897180.114
Niet-vlottende activa:
Materiële vaste activa, netto 772.585701.996724.356595.554487.927499.27515.309519.824485.898480.707476.162473.759448.41435.448392.701273.046237.12190.376118.43496.30391.18671.639
Goodwill 0.2270.2270.2270.227000000000.2080.20800000000
Immateriële activa 34.59427.97219.01218.29820.0223.30226.45825.12428.3218.60423.18525.2229.43541.65520.28324.6828.82920.28815.9815.50811.21811.482
Goodwill en immateriële activa 34.82228.19919.23918.52520.0223.30226.45825.12428.3218.60423.18525.2229.64241.86320.28324.6828.82920.28815.9815.50811.21811.482
Langetermijnbeleggingen 579.988396.427508.79200.698-253.243-287.72697.569100.466102.40389.62572.30176.09394.83994.0469.04568.42252.79530.4320000
Belastingvorderingen 20.04519.05720.38318.49412.31211.39412.61310.6838.83911.14911.46214.3767.4984.0433.0012.7091.7491.4410000
Overige niet-vlottende activa 164.217343.065215.298187.551402.409422.06811.5452.2823.430.0289.8550.5652.2930.6280.6270.1450.1870.7680.017000
Totaal niet-vlottende activa 1,571.6561,488.7441,488.0671,020.823669.425668.308663.494658.378628.89600.113592.964590.014582.682576.02485.656369.002320.682243.305134.43111.811102.40483.122
Totaal activa 4,170.2323,926.083,418.2673,035.8062,374.1182,243.8012,054.3731,981.011,756.0311,489.6151,483.3211,456.3931,475.4891,512.837852.059706.766575.81611.046529.829292.766260.301263.236
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 390.024358.813299.463428.906240.094253.349225.798252.924193.359102.045141.042117.963148.529134.407188.546120.03680.15791.14463.65665.01257.95973.374
Kortlopende schulden 339.943324.635120.98152.50850.226-21.91113.3513.50200.0078.01237.09637.86289.65142.74822.599047.51806.5277.34514.095
Belastingschulden 8.2882815.49.9585.37410.7936.18310.2239.6651.9034.0640.0763.7892.467-5.569-2.7160.211-2.1410.3140.155-2.6970.271
Uitgestelde opbrengsten 0014.62490.579133.95647.9046.18361.98129.70128.22323.42420.57422.21821.6815.11515.282013.534021.31617.81622.184
Overige kortlopende verplichtingen 351.735240.779135.35958.897127.69737.24931.50759.71422.90774.27527.91325.20653.92835.30636.56558.8924.02115.99420.73421.96520.63724.164
Totaal kortlopende verplichtingen 1,089.989952.227571.203579.445425.03325.464283.02336.363225.931178.231181.031180.234244.109261.831252.742194.162104.388152.51584.70493.65983.245111.904
Langlopende verplichtingen:
Langetermijnschulden 7.8588.72348.37415.9413.4850000000031.36419.8686.8280000.7410.7410.741
Uitgestelde opbrengsten niet-vlottend 13.41717.18216.44319.90436.77427.76123.55218.25917.76118.89513.47500000000000
Uitgestelde belastingverplichtingen niet-vlottend 1.7939.71826.3766.028000000000.3550.2040.4660.4450.6860.7620000
Overige niet-vlottende verplichtingen 8.8764.961.8651.687000000004.8894.5699.1373.667000000
Totaal niet-vlottende verplichtingen 31.94340.58393.05943.55936.77427.76123.55218.25917.76118.89513.4759.0045.24436.13729.47110.940.6860.76200.7410.7410.741
Totaal passiva 1,121.933992.809664.263623.005461.804353.225306.572354.622243.692197.125194.506189.238249.353297.968282.214205.102105.074153.27784.70494.39983.985112.645
Eigen vermogen:
Preferente aandelen 0000000000000000000000
Gewone aandelen 810.015808.086807.887807.887768.865727.971727.971727.971727.971727.971727.971727.971723.06401.7276276276138138100100100
Ingehouden winsten 1,272.8131,229.831,096.014764.704595.429541.927479.42413.003337.796249.694245.793225.15199.958216.806156.398106.87481.349104.56793.40276.37558.97837.862
Overige gereserveerde algehele resultaten 0353.498342.383289.485268.995233.752204.688179.844171.89174.7990.9650.9540000000000
Overige totale aandeelhoudersvermogen 943.278516.669485.021530.198270.849218.927205.913211.413398.914301.822227.023290.724277.232577.243137.448118.79113.387215.202213.39321.99217.33712.729
Totaal eigen vermogen van aandeelhouders 3,026.1072,908.0822,731.3042,392.2741,904.1391,722.5771,613.6431,532.2311,464.6811,279.4881,271.7181,243.8451,200.251,195.748569.846501.664470.736457.769443.926198.366176.316150.591
Totaal eigen vermogen 3,048.2992,933.272,754.0052,412.8021,912.3151,890.5761,747.81,626.3881,512.3391,292.491,288.8141,267.1551,226.1361,214.868569.846501.664470.736457.769445.125198.366176.316150.591
Totaal passiva en aandeelhoudersvermogen 4,170.2323,926.083,418.2673,035.8062,374.1182,243.8012,054.3731,981.011,756.0311,489.6151,483.3211,456.3931,475.4891,512.837852.059706.766575.81611.046529.829292.766260.301263.236