GEM Co., Ltd.

SZSE:002340.SZ

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

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,543.5125,353.9933,682.8474,423.1293,308.8043,493.712,182.5181,642.0541,590.2061,153.51719.4711,171.4241,020.898164.12177.32240.16722.9158.717
Kortetermijnbeleggingen 0-110-25.945-21.594-15.9130.448-14.487-20.953-10.28-18.797-22.0760000000
Liquide middelen en kortetermijnbeleggingen 5,543.5125,353.9933,682.8474,423.1293,308.8043,494.1582,182.5181,642.0541,590.2061,153.51719.4711,171.4241,020.898164.12177.32240.16722.9158.717
Nettovorderingen 8,188.788,447.1156,430.4054,498.234,200.9514,261.2294,225.523,537.5132,398.5221,423.444875.953668.715260.581217.42994.16333.16936.40422.479
Voorraad 8,296.8147,662.486,264.8975,812.6845,732.2375,030.4164,573.8543,498.0512,778.3142,244.4931,619.5731,209.417543.112473.38692.36285.74164.44742.861
Overige vlottende activa 2,550.89581.254629.374397.59346.629334.018389.149744.732990.741198.587108.1817.0271.8070.1210.0210.034-1.3540.037
Totaal vlottende activa 24,579.99622,044.84217,007.52415,131.63413,588.62113,119.82111,371.049,422.3497,757.7845,020.0353,323.1783,056.5831,826.397855.056263.868159.111122.41174.095
Niet-vlottende activa:
Materiële vaste activa, netto 22,089.24917,139.55313,378.31810,791.6259,564.3878,404.3457,831.9656,631.8796,207.7174,999.8333,642.9382,847.521,911.811992.182480.629302.066158.38762.465
Goodwill 59.71182.70884.64288.583190.703190.703405.826391.032367.529227.45423.29623.2960.71800000
Immateriële activa 2,395.0232,187.0331,936.3021,895.0741,851.7951,523.4541,434.5771,310.8841,313.4871,079.738441.309304.052131.30769.42237.05620.6312.7155.707
Goodwill en immateriële activa 2,454.7342,269.7412,020.9441,983.6582,042.4981,714.1581,840.4021,701.9161,681.0161,307.192464.605327.348132.02569.42237.05620.6312.7155.707
Langetermijnbeleggingen 3,311.7981,891.5361,168.1441,196.937921.3971,048.619844.282839.28992.11151.36107.34696.517000000
Belastingvorderingen 122.658187.508119.30592.08107.542103.15972.07540.04834.22728.58827.55511.3458.4876.0510.7930.540.3270
Overige niet-vlottende activa 73.944596.429693.584512.369616.586569.724290.751436.794166.467179.808170.98711.02349.5273.7120.4530.0870.0540
Totaal niet-vlottende activa 28,052.38322,084.76617,380.29314,576.66813,252.41111,840.00610,879.4759,649.9268,181.5386,566.7814,413.4313,293.7542,101.851,071.366518.931323.324171.48468.172
Totaal activa 52,632.3844,129.60734,387.81829,708.30226,841.03224,959.82622,250.51519,072.27515,939.32311,586.8167,736.6096,350.3373,928.2471,926.422782.799482.435293.895142.267
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,714.3743,932.2994,272.8573,847.8473,299.3121,710.539969.1161,011.255935.861855.493408.305140.81671.03636.23813.0594.7622.3415.587
Kortlopende schulden 15,886.9537,633.8716,985.0098,231.4177,470.4198,006.4416,511.335,264.4643,902.0433,271.6782,347.2372,207.2471,036.336540.066225.839049.2127
Belastingschulden 15.065183.752162.16489.25783.8197.806142.94177.48254.06434.75619.583-86.673-56.34-47.51-0.5654.184.2332.157
Uitgestelde opbrengsten 1,059.752175.6662,114.1631,144.8921,010.69997.806942.787808.199918.195198.0876.098-12.8644.25119.60110.10117.37715.60121.575
Overige kortlopende verplichtingen 1,817.773-766.779-3,907.763-3,576.616-3,159.191-814.676353.272-352.073-585.088-804.073-249.486-22.6471.97216.88115.6981.82710.4823.647
Totaal kortlopende verplichtingen 22,208.29215,091.10713,899.28613,584.64512,004.3610,808.4579,888.5627,820.5816,160.9374,411.4273,010.0412,366.6951,128.291601.513277.182122.90784.20865.554
Langlopende verplichtingen:
Langetermijnschulden 8,161.1787,516.3943,881.9141,409.5082,474.193,196.733,830.563,635.8912,724.7712,162.571,940.631,429.903566.9224320511771.160
Uitgestelde opbrengsten niet-vlottend 271.276312.657200.152167.147192.056179.785243.358130.213147.452134.16406.90004.24.810
Uitgestelde belastingverplichtingen niet-vlottend 99.19252.31855.64560.48360.62955.68464.84786.67627.41418.76617.24318.129000-108.88-63.040
Overige niet-vlottende verplichtingen 189.3285.635538.023400.551,040.55495.509326.658196.6895.417122.574116.25838.98835.69227.28217.42911771.161.99
Totaal niet-vlottende verplichtingen 8,720.9468,167.0054,675.7342,037.6883,767.4243,927.7084,465.4234,049.462,995.0542,438.0742,074.1311,493.921602.612270.282222.429129.3284.091.99
Totaal passiva 30,929.23823,258.11218,575.0215,622.33315,771.78514,736.16514,353.98411,870.049,155.9916,849.5015,084.1723,860.6161,730.903871.795499.611252.227168.29867.544
Eigen vermogen:
Preferente aandelen 0000000001.3251.820000000
Gewone aandelen 5,135.5875,135.5874,783.5224,783.5224,149.6344,150.9263,815.912,910.871,455.435923.84753.457579.582289.791121.31669.9969.9960.3652
Ingehouden winsten 5,391.5595,010.4373,890.3193,048.7812,791.5412,193.571,575.832998.568765.75671.627464.651353.693285.701181.095126.03178.20438.0513.536
Overige gereserveerde algehele resultaten 694.62828.58218.128140.856104.31457.534124.053149.83842.649-1.325-1.820000000
Overige totale aandeelhoudersvermogen 7,539.7677,509.2585,336.5125,336.5123,439.0373,475.5952,006.4942,823.0414,297.8672,693.6681,120.3091,290.5551,587.464752.21687.16782.01327.18510.695
Totaal eigen vermogen van aandeelhouders 18,761.53218,483.86214,228.48113,309.67110,484.5259,877.6257,522.2896,882.3166,561.7014,289.1362,338.4162,223.832,162.9561,054.627283.187230.208125.59766.231
Totaal eigen vermogen 21,703.14220,871.49515,812.79814,085.96911,069.24710,223.6627,896.537,202.2356,783.3324,737.3152,652.4362,489.7212,197.3441,054.627283.187230.208125.59774.724
Totaal passiva en aandeelhoudersvermogen 52,632.3844,129.60734,387.81829,708.30226,841.03224,959.82622,250.51519,072.27515,939.32311,586.8167,736.6096,350.3373,928.2471,926.422782.799482.435293.895142.267