OFILM Group Co., Ltd.

SZSE:002456.SZ

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

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,574.4973,240.4973,628.4763,371.623,695.9171,554.1751,591.4241,375.5221,668.5362,375.1741,660.454805.661378.124270.40939.38922.43615.011
Kortetermijnbeleggingen 100.353-302.094-188.624-241.7242.49726.83338.518-225.083-281.1643500000000
Liquide middelen en kortetermijnbeleggingen 1,574.4973,240.4973,628.4763,371.623,698.4141,581.0081,629.9431,375.5221,668.5362,375.1741,660.454805.661378.124270.40939.38922.43615.011
Nettovorderingen 7,970.8114,643.2137,558.45611,582.39912,275.0148,232.6427,982.0448,243.8865,409.4623,708.9432,081.9091,566.603653.631588.173113.65180.16556.249
Voorraad 2,514.3082,222.2323,512.9724,947.1887,269.2728,940.97,679.7734,510.6123,295.9432,927.6681,820.068626.206388.667164.99761.21643.2919.09
Overige vlottende activa 139.131212.806419.347933.645643.2091,215.09849.282681.146294.394581.259241.627-17.964-7.725-7.79-4.339-2.124-2.319
Totaal vlottende activa 12,198.74710,318.74715,119.2520,834.85323,885.90819,969.6418,141.04114,811.16710,668.3359,593.0445,804.0582,980.5061,412.6971,015.79209.917143.76788.032
Niet-vlottende activa:
Materiële vaste activa, netto 4,421.0765,263.1745,801.9788,596.59211,729.76414,990.56310,097.4326,556.7844,218.553,766.9673,192.7011,620.276935.147317.731241.455205.011152.532
Goodwill 122.271122.271122.271122.271122.271122.271144.224347.478181.201181.2010000000
Immateriële activa 1,198.5631,030.081,295.541,996.9252,106.8651,597.7261,307.048652.535573.711258.468237.965161.89523.4835.664.364.2344.175
Goodwill en immateriële activa 1,320.8331,152.3511,417.8112,119.1962,229.1361,719.9971,451.2721,000.014754.912258.468237.965161.89523.4835.664.364.2344.175
Langetermijnbeleggingen 1,275.2961,197.21,824.8332,076.1162,083.257546.005432.105610.009316.07248.793186.571000000
Belastingvorderingen 343.219160.173344.541414.751366.56312.892188.39433.59730.03418.61713.8754.5110.9590.1480.2180.2070.178
Overige niet-vlottende activa 378.552140.23128.772185.555264.899424.014528.009422.61179.865269.84684.85511.2988.43711.2290.85500.499
Totaal niet-vlottende activa 7,738.9767,913.1279,517.93513,392.2116,673.61717,993.4712,697.2118,623.0145,399.4314,562.6913,715.9661,797.981968.026334.768246.888209.452157.384
Totaal activa 19,937.72218,231.87524,637.18534,227.06240,559.52537,963.1130,838.25223,434.18116,067.76514,155.7359,520.0244,778.4862,380.7231,350.558456.805353.218245.416
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 6,754.6415,122.7684,913.3448,729.01811,496.33410,852.2069,933.1289,220.2855,509.424,084.5072,912.8931,145.076394.443127.14853.38638.81410.849
Kortlopende schulden 6,510.9736,405.6615,738.86,665.52111,989.5349,121.3625,251.3833,271.5261,766.6391,921.1222,411.6341,776.929711.049177.44475.73222.56119.3
Belastingschulden 1.15848.92366.421200.849123.433199.309328.779231.26895.907120.34761.278-50.089-60.799-4.0555.3031.1882.455
Uitgestelde opbrengsten 87.339172.043636.345981.8221,862.295199.3091,241.7141,026.103410.879435.535273.068123.244-22.98915.57314.3514.7114.994
Overige kortlopende verplichtingen -6,349.226-4,650.56-4,978.094-8,865.369-11,375.839-9,346.484-10,221.684-9,431.491-5,597.391-4,197.578-2,965.594-889.263-330.479-119.343-57.549-38.328-8.305
Totaal kortlopende verplichtingen 13,759.52712,221.60311,290.16116,440.85925,592.09121,877.90816,466.44813,537.9777,694.8756,448.4395,606.1713,250.9731,085.668323.915144.60967.7640.142
Langlopende verplichtingen:
Langetermijnschulden 1,488.9921,673.0482,960.0366,809.3822,221.8385,913.1874,360.1671,546.6182,291.1531,847.492631.131233.487322.11551.07567.05989.448
Uitgestelde opbrengsten niet-vlottend 39.69152.06558.996131.257.36438.42223.03221.78118.27113.51750-322.115000-48
Uitgestelde belastingverplichtingen niet-vlottend 155.48737.584138.689128.561167.994128.64133.86825.53111.1347.837-500.0190000.016
Overige niet-vlottende verplichtingen 270.177271.023503.0461,719.5051,542.4021,303.1766.348261.73412.49918.7816.092-233.487322.1157.44301.94948
Totaal niet-vlottende verplichtingen 1,954.3472,033.7213,660.7678,788.6483,989.5997,383.355,183.4151,855.6642,333.0571,887.626647.223233.487322.13458.51867.05991.34948.016
Totaal passiva 15,713.87514,255.32414,950.92825,229.50729,581.6929,261.25821,649.86315,393.64110,027.9318,336.0656,253.3953,484.461,407.803382.432211.668159.10988.158
Eigen vermogen:
Preferente aandelen 0000000115.44505.7163.242000000
Gewone aandelen 3,257.8173,257.8173,262.2632,694.7392,694.7392,712.8672,714.4461,086.2661,030.6121,030.612465.0819219296727272
Ingehouden winsten -6,769.121-6,857.47-1,701.535883.732,999.5392,638.743,303.422,600.3341,974.7191,562.29974.875462.445151.033146.43399.04853.12319.999
Overige gereserveerde algehele resultaten 668.573562.973553.571506.809411.022277.014187.114-115.44564.66-5.716-3.242000000
Overige totale aandeelhoudersvermogen 6,246.726,273.6836,319.2393,372.1763,353.492,961.2872,900.8364,353.9672,969.8433,226.7681,826.674639.581629.887725.69374.08968.98765.259
Totaal eigen vermogen van aandeelhouders 3,403.9893,237.0048,433.5397,457.4549,458.798,589.9099,105.8168,040.5686,039.8345,819.673,266.6291,294.026972.92968.126245.137194.11157.258
Totaal eigen vermogen 4,184.1563,976.5519,686.2578,997.55510,977.8358,701.8529,188.3898,040.546,039.8345,819.673,266.6291,294.026972.92968.126245.137194.11157.258
Totaal passiva en aandeelhoudersvermogen 19,937.72218,231.87524,637.18534,227.06240,559.52537,963.1130,838.25223,434.18116,067.76514,155.7359,520.0244,778.4862,380.7231,350.558456.805353.218245.416