Tianma Bearing Group Co.,Ltd

SZSE:002122.SZ

4.24 (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 534.298342.575241.992308.297237.799103.9781,018.711399.877258.196231.326138.47384.641294.424500.756328.198281.162801.867121.29830.0618.7490
Kortetermijnbeleggingen 96.605417.61672.19257.28-0.470-0.0189.5-106.403000000000000
Liquide middelen en kortetermijnbeleggingen 630.903760.191314.184365.577237.799103.9781,018.711399.877258.196231.326138.47384.641294.424500.756328.198281.162801.867121.29830.0618.7490
Nettovorderingen 348.515341.104437.2191,027.031,441.7514,237.6364,115.6721,764.7912,364.822,380.2492,151.2161,572.9711,571.5051,429.9731,067.135871.586781.514184.212120.67494.5140
Voorraad 802.654660.25523.99436.168385.267956.8181,023.6161,549.2621,788.5551,961.5072,205.8292,218.4872,311.771,837.0631,712.041,696.9621,065.155241.041125.20897.3070
Overige vlottende activa 55.20313.805189.48309.151415.06298.4541.92127.73255.32952.10840.6410.76319.125-17.947-19.723-31.855-31.957-1.102-1.023-3.028146.612
Totaal vlottende activa 1,837.2751,775.351,464.8722,137.9262,479.8775,596.8826,199.923,741.6634,466.94,625.1894,536.1554,186.8624,196.8243,749.8453,087.652,817.8542,616.579545.449274.919207.542146.612
Niet-vlottende activa:
Materiële vaste activa, netto 315.471319.626325.889315.523378.937856.092956.3842,321.6542,500.6092,334.9452,555.362,557.9322,458.4882,368.8672,332.2922,176.8661,465.585416.277245.804200.0540
Goodwill 3.0790648.238648.238648.2382.6492.64914.9860027.6527.6527.6527.6527.6527.6527.650000
Immateriële activa 151.456166.767236.83234.014205.238135.288156.074436.717438.168357.393401.307453.383437.875365.085373.419333.114320.350000
Goodwill en immateriële activa 154.535166.767885.068882.252853.477137.938158.723451.702438.168357.393428.956481.033465.525392.735401.069360.763347.9990000
Langetermijnbeleggingen 1,396.23799.2831,359.1871,040.818833.182992.9541,108.7495.806107.40353.00811000000000
Belastingvorderingen 25.29623.8674.4762.5971.5953.73548.42383.85690.84391.20236.41825.33622.124.56919.0716.2117.4230000
Overige niet-vlottende activa 4.919435.03390.73863.65380.279150.009130.0843.688-48.80233.7283.6093.6091111.83.8530.9190.80118.057
Totaal niet-vlottende activa 1,896.4521,744.5762,665.3592,304.8422,147.4642,190.7282,402.362,906.7053,088.2212,870.2773,025.3433,068.9092,947.1132,787.1712,753.432,555.6391,834.86417.196246.604200.054118.057
Totaal activa 3,733.7273,519.9254,130.2314,442.7694,627.3417,787.6098,602.2796,648.3687,555.1217,495.4667,561.4987,255.7717,143.9366,537.0165,841.085,373.4934,451.44962.646521.524407.597263.826
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 351.895283.56210.919219.575252.121466.374585.111706.021763.589704.678646.494649.208833.512642.315618.454856.766526.236174.384.963110.7520
Kortlopende schulden 131.208112.063201.827119.47367.229137.2790418741.5704.026875301616.689304.433375926.35878.9283150.5138.50
Belastingschulden 5.24831.227.06812.50127.49412.371102.92434.35418.66421.33745.45335.93835.77380.777.67710.1516.60819.65818.67810.220
Uitgestelde opbrengsten 541.33546.3632,453.869873.624635.93812.371415.29195.533178.078172.71188.572190.577209.355249.792283.032233.891382.67630.40931.64115.2090
Overige kortlopende verplichtingen 234.275236.087133.207138.755442.8961,079.099518.179191.66183.301228.876251.894869.22370.134370.909505.434903.754772.9195.072.1561.318168.173
Totaal kortlopende verplichtingen 1,258.7081,178.0732,999.8221,351.4261,398.1841,695.0432,308.581,511.2151,866.4691,810.2891,961.962,010.0052,029.691,567.4481,781.922,920.7612,560.731492.779269.26265.779168.173
Langlopende verplichtingen:
Langetermijnschulden 3.145.14410.99650.680.96293.155101.24.483190148.54.284503.866160000482770
Uitgestelde opbrengsten niet-vlottend 15.10417.20945.5638.55825.90645.86578.422452.303502.798555.41700000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.3110.3660.4218.5510.532-293.1555.6690-184.401-142.97100000000000
Overige niet-vlottende verplichtingen -10.02817.064134.0881,228.551,440.2392,644.0672,063.441.16190148.5615.407108.987115.529118.35435.6930.84828.6483.4082.8531.1040
Totaal niet-vlottende verplichtingen 8.52639.782191.0641,326.2591,547.6362,689.9322,248.73457.945698.397709.447619.691158.987119.396278.35435.6930.84828.64851.40829.8538.1040
Totaal passiva 1,267.2341,217.8563,190.8862,677.6852,945.824,384.9754,557.311,969.162,564.8672,519.7362,581.6512,168.9922,149.0851,845.8021,817.612,951.6092,589.379544.187299.113273.883168.173
Eigen vermogen:
Preferente aandelen 0000000006.3730.5120000000000
Gewone aandelen 1,999.6531,987.3911,210.4721,201.7371,1881,1881,1881,1881,1881,1881,1881,1881,1881,188594272136102102680
Ingehouden winsten -728.69-869.481-951.866-222.123-382.0881,255.6471,894.5361,911.7392,247.8362,245.372,254.9522,372.0822,307.5282,044.2631,440.211972.184500.435225.08977.38647.7580
Overige gereserveerde algehele resultaten 189.817204.425128.805292.559406.185424.536428.99337.012290.03-6.373-0.5120000000000
Overige totale aandeelhoudersvermogen 807.131785.332347.743328.791342.528342.782342.7821,025.3171,024.8881,299.0761,273.4421,244.0461,211.2441,175.5641,744.702848.237965.50763.24734.63416.73695.653
Totaal eigen vermogen van aandeelhouders 2,267.9112,107.666735.1541,600.9641,554.6253,210.9653,854.3084,462.0694,750.7534,732.4464,716.3944,804.1284,706.7724,407.8273,778.9132,092.4211,601.942390.336214.02132.49495.653
Totaal eigen vermogen 2,440.2412,302.069939.3451,765.0831,681.523,402.6344,044.9694,679.2084,990.2544,975.7314,979.8475,086.7794,994.8514,691.2134,023.472,421.8841,862.06418.458222.41133.71495.653
Totaal passiva en aandeelhoudersvermogen 3,733.7273,519.9254,130.2314,442.7694,627.3417,787.6098,602.2796,648.3687,555.1217,495.4667,561.4987,255.7717,143.9366,537.0165,841.085,373.4934,451.44962.646521.524407.597263.826