Dongfeng Electronic Technology Co.,Ltd.

SSE:600081.SS

14.1 (CNY) • At close May 13, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,403.6273,449.4912,315.3371,843.4061,229.4571,020.721879.006755.607569.799703.171585.467264.107162.087123.50954.52243.86940.62441.34952.87343.51618.56935.70271.372132.79483.68668.09417.63111.2575.26817.7290.096
Kortetermijnbeleggingen 1,646.346-16.2038030-50.931-42.509-44.709-51.111-50.529-50.255-40.28200000020.07323.91723.10225.41124.4060350715000
Liquide middelen en kortetermijnbeleggingen 3,403.6273,449.4912,395.3371,873.4061,229.4571,020.721879.006755.607569.799703.171585.467264.107162.087123.50954.52243.86940.62441.34972.94667.43441.6761.11395.778132.794118.68668.09424.63126.2575.26817.7290.096
Nettovorderingen 2,816.4613,053.1012,449.3793,330.7033,521.8062,795.9642,509.822,405.7341,859.481,287.2151,464.985872.701544.094825.588819.3810261.702298.396209.679143.17146.96600042.71234.2827.86516.5310.47110.369
Voorraad 364.051457.557456.708423.813250.229278.907308.869360.931328.603414.828399.622265.635194.911230.689126.669101.77995.361150.247168.39179.905180.964144.536115.69568.02881.03241.01141.43435.22423.95918.05318.605
Overige vlottende activa 116.273226.886165.396304.593386.435163.067132.198287.883103.446115.117146.74967.25143.24437.1443.14130.24448.27683.59767.13679.984118.492230.506268.633229.804101.03597.29498.46682.7944.65948.4430.75
Totaal vlottende activa 6,700.4127,137.2765,466.8195,932.5155,057.7074,258.6593,829.8923,519.5652,861.332,520.332,596.8141,476.342980.4751,216.9271,043.834632.392445.964573.589515.205470.492488.093436.154480.107430.626343.464240.68171.805159.77274.35785.22349.451
Niet-vlottende activa:
Materiële vaste activa, netto 1,443.0041,515.71,557.6791,636.5551,575.9761,352.2691,373.5821,303.941,303.9781,221.7971,167.738659.612504.883499.231322.953359.871405.091421.083413.014436.88442.813386.182361.989256.67268.971113.803118.56973.8867.06825.08225.297
Goodwill 1.7851.7851.7851.7851.7851.7851.7851.7851.7851.7851.7851.7851.7851.785000000.3010.3440.0430.4300000000
Immateriële activa 150.7126.413131.245140.134151.435169.628183.438184.103192.367176.953167.549105.77585.51979.8828.4139.1858.8814.150.2581.8655.0830.3447.6558.0028.2568.6619.2049.2049.42800
Goodwill en immateriële activa 152.485128.199133.031141.919153.22171.414185.223185.888194.152178.739169.335107.5687.30481.6688.4139.1858.8814.150.2582.1665.4270.3878.0858.0028.2568.6619.2049.2049.42800
Langetermijnbeleggingen 01,633.7951,505.0771,633.869412.295412.86387.744357.904314.56305.603229.668351.311246.44600000198.813152.318161.081179.016128.813094.074033.3630000
Belastingvorderingen 92.697106.494102.503100.986106.89190.46280.37962.66858.09758.06758.92310.678.03112.5769.4453.812.1611.0011.16900027.692037.86309.2660000
Overige niet-vlottende activa 1,709.91958.079150.603105.9691.7562.0631.9761.7842.82418.63820.81631.27424.313230.885288.329293.763280.208222.35225.4931.92931.77535.11-0.283182.1010.76946.9181.65728.70611.3830.4470
Totaal niet-vlottende activa 3,398.1053,442.2673,448.8933,619.2972,250.1392,029.0682,028.9031,912.1851,873.6111,782.8431,646.4791,160.427870.977824.36629.14666.629696.342648.586638.744623.294641.096600.695526.297446.773409.934169.382172.059111.7987.8825.52925.297
Totaal activa 10,098.51710,516.9428,915.7129,551.8127,307.8456,287.7285,858.7955,431.754,734.9414,303.1734,243.2932,636.7691,851.4512,041.2871,672.9741,299.021,142.3051,222.1741,153.9491,093.7861,129.1881,036.8491,006.404877.399753.398410.062343.864271.562162.236110.75274.748
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,099.913,437.8643,065.5253,886.6633,646.9373,189.4212,818.4932,603.5852,087.6521,639.971,605.739528.217508.24584.695565.285394.416116.145242.02163.261167.637139.17113.46185.505146.07191.85331.11945.99129.81327.77328.36723.016
Kortlopende schulden 392538.68529.5273.9815.101235342247247353.6395346312387314369434460491.9376256256.5174.755238.966139.46796.99568.0338.0688110
Belastingschulden 54.16335.02353.02345.61144.43338.32547.02542.56151.52752.22368.92814.31912.60212.68932.7036.417-4.8290.4383.8810.71312.41628.3429.4813.1052.0429.3539.7724.0955.6093.621-2.06
Uitgestelde opbrengsten 0029.18829.137833.683657.4747.025620.144575.397599.264632.825206.585111.167206.647127.51587.68176.07933.42941.80561.14473.57765.77278.29183.50464.9647.26526.43911.244000
Overige kortlopende verplichtingen 802.583835.094674.28989.1811,000.693645.015699.366691.311606.56556.51352.631603.663105.675205.416109.28985.396189.21834.29842.23465.26264.09342.18950.33575.49873.98241.62118.43424.54927.16626.06624.191
Totaal kortlopende verplichtingen 4,348.6564,846.6624,351.5075,236.5334,712.2384,107.7613,906.8843,584.4572,992.7432,701.572,755.1231,492.199938.5171,189.81,021.278855.229734.534736.756698.656609.612471.678440.489440.074473.64306.06179.089142.22796.52568.54969.05445.147
Langlopende verplichtingen:
Langetermijnschulden 80.231107.899343.923149.763360.08117.86427.3750303015.92236.8470000002.37363.963.963.900000017.400
Uitgestelde opbrengsten niet-vlottend 40.63645.67835.69930.55128.75917.311.0018.47612.1673.4563.71500000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 6.6136.7546.9157.1267.3547.6057.8838.2378.7189.54610.68600000000000000000000
Overige niet-vlottende verplichtingen 95.55559.15771.90281.4844.12431.57524.56735.21230.27826.96212.1776.0743.54500002.69209.87514.612072.1030.422000000
Totaal niet-vlottende verplichtingen 223.034219.487458.439268.919440.31874.34370.82751.92681.16369.96542.49942.9213.54500002.6922.92273.77578.51263.972.1030.42200017.400
Totaal passiva 4,571.695,066.1494,809.9465,505.4535,152.5564,182.1043,977.7113,636.3833,073.9062,771.5352,797.6231,535.12942.0621,189.81,021.278855.229734.534739.448701.578683.387550.19504.389512.174473.64336.482179.089142.22796.52585.94969.05445.147
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 553.026578.344470.419470.419313.56313.56313.56313.56313.56313.56313.56313.56313.56313.56313.56313.56313.56313.56313.56313.56313.56241.2241.2201201119855037.526.16626.166
Ingehouden winsten 1,457.8491,360.1431,280.9731,256.3251,007.526978.328875.653782.439686.337624.104550.061422.695294.898211.516122.17-41.681-72.042-0.26-7.665-10.311152.145122.93481.77925.28747.11536.02431.4519.67401.0470.265
Overige gereserveerde algehele resultaten 00120.677130.86118.257102.468104.025346.984144.883136.8290-00000000000000000000
Overige totale aandeelhoudersvermogen 2,569.8432,597.7921,445.9421,412.05387.771-0103.503351.7644.784.78125.2054.78112.29298.38888.6710.92388.57288.48491.28684.88484.886149.462134.177160.19165.0262.03675.454102.13620.1896.173.17
Totaal eigen vermogen van aandeelhouders 4,580.7184,536.2793,174.9623,137.3551,426.91,394.3561,292.1281,251.7951,149.5611,079.273988.825837.94720.75623.463524.4360.45330.09401.784394.462388.134550.59513.595457.156386.477401.199217.06189.032161.8157.68933.38429.601
Totaal eigen vermogen 5,526.8285,450.7924,105.7664,046.362,155.2892,105.6241,881.0841,795.3671,661.0341,531.6381,445.671,101.649909.389851.487651.696443.792407.771482.726452.371410.399578.999532.46494.229403.759416.916230.973201.637175.03776.28841.69829.601
Totaal passiva en aandeelhoudersvermogen 10,098.51710,516.9428,915.7129,551.8127,307.8456,287.7285,858.7955,431.754,734.9414,303.1734,243.2932,636.7691,851.4512,041.2871,672.9741,299.021,142.3051,222.1741,153.9491,093.7861,129.1881,036.8491,006.404877.399753.398410.062343.864271.562162.236110.75274.748