Luenmei Quantum Co.,Ltd

SSE:600167.SS

6.2 (CNY) • At close August 4, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7,479.077,999.1727,903.4695,462.0486,048.3955,070.0254,342.595,424.4931,273.923697.0121,340.9971,118.516718.388754.002660.192472.115234.627150.65287.06454.26104.14688.82668.09427.165114.293141.80521.31924.34317.32815.176
Kortetermijnbeleggingen 219.28850.28456.041110.5334.277306.20916.093-107.436-71.02900-112.84900000045.0320000000000
Liquide middelen en kortetermijnbeleggingen 7,698.3588,049.4567,959.5095,572.5796,082.6725,100.0254,348.7995,440.5861,273.923697.0121,340.9971,118.516718.388754.002660.192472.115234.627150.65287.06499.292104.14688.82668.09427.165114.293141.80521.31924.34317.32815.176
Nettovorderingen 1,209.281,000.794836.937738.63883.911505.862404.139323.839194.74113.10532.37423.1276.08519.15910.70816.42318.251-0.47112.28113.221127.8840004.0852.63414.94000
Voorraad 317.533291.408296.361293.038306.247259.24167.57868.04585.81442.96119.76115.58651.99525.3015.7221.91818.83216.56335.31526.99314.303146.442136.156176.30286.86117.67787.98585.61163.55727.345
Overige vlottende activa 499.927498.14512.913622.155820.919909.1551,163.908645.2471,102.758982.3950.587176.06954.69984.05939.89838.29538.22443.9152.4355.1280.51540.75626.17826.383270.096243.934153.174101.6442.26611.883
Totaal vlottende activa 9,725.0989,839.7989,605.7217,226.4028,093.756,689.4855,579.2666,510.0522,647.2821,648.9091,411.3451,243.473827.829863.362705.812512.328291.683210.654174.809181.412265.997276.024230.429229.85474.863573.325276.304211.594123.1554.403
Niet-vlottende activa:
Materiële vaste activa, netto 4,688.4875,041.6934,339.1323,841.2793,382.9923,347.7163,249.6542,974.7312,894.969895.28891.883897.585848.871624.927478.923417.291382.361335.12501.572496.535507.904449.747342.366260.842220.533229.529216.803156.10499.08543.422
Goodwill 32.23371.79357.53939.5640.44240.4420.8820.2290000000000000000000000
Immateriële activa 641.568649.302602.622299.575304.177311.209288.619295.309302.77561.37263.05441.98143.2244.17844.44645.69430.9131.559.32458.5189389.78580.54482.1285.9726.6027.4310.1420.5820.723
Goodwill en immateriële activa 673.801721.096660.162339.135344.619351.651289.501295.538302.77561.37263.05441.98143.2244.17844.44645.69430.9131.559.32458.5189389.78580.54482.1285.9726.6027.4310.1420.5820.723
Langetermijnbeleggingen 1,698.6831,798.0491,895.1161,794.9521,715.621,404.2791,688.5861,043.901559.266572.308403.602403.602282.45100000011.6290000000000
Belastingvorderingen 77.41559.89146.59242.74928.26524.32133.61336.3242.48418.07615.37514.04211.1578.4766.1664.9482.9482.507000000000000
Overige niet-vlottende activa 355.394185.256188.292247.564292.557284.12161.83275.78941.87534.309107.842110.345234284.955287.059289.562292.066294.5756.46145.0320.12440.58314.98817.2083.2818.1654.9139.1947.7735.255
Totaal niet-vlottende activa 7,493.787,805.9857,129.2936,265.6795,764.0525,412.0875,423.1834,626.2783,841.3691,581.3451,481.7551,467.5551,419.699962.536816.594757.495708.286663.697617.357611.713601.028580.115437.899360.179229.786244.296229.147165.44107.4449.4
Totaal activa 17,218.87817,645.78216,735.01413,492.08113,857.80112,101.57211,002.44911,136.336,488.6513,230.2542,893.12,711.0282,247.5281,825.8981,522.4061,269.823999.969874.351792.165793.126867.025856.139668.328590.029704.649817.62505.451377.034230.59103.804
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 585.457467.232360.879381.067405.312473.553483.628547.032462.815522.602200.007205.161180.5110.57275.60147.76944.34831.97627.32215.75127.26262.29636.54137.56546.49376.59737.05551.75837.24735.344
Kortlopende schulden 1,509.9541,540.1451,684.081,310.161,475.53229300030000000003095123202.4768.0575.4578.9480.153135.90371.89935.74119.871
Belastingschulden 117.58118.49799.522121.419217.134278.636167.71134.812123.59920.23817.93125.3418.61711.2786.6419.9253.7689.8417.92515.85526.8272.98511.91121.527-12.678.50217.537.3351.530.026
Uitgestelde opbrengsten 001,350.2261,152.2281,061.598659.5021,050.444962.774992.984-2.8660000000029.08935.99430.7247.21643.44967.96925.81138.52642.28442.76613.8489.992
Overige kortlopende verplichtingen 1,944.5891,907.337315.07296.387309.495769.2492,074.086907.1131,010.7681,270.52647.519696.1131,286.4281,053.82867.20334.273480.498371.495283.775225.045228.533113.95674.9550.21888.1538.82827.7737.75413.31710.807
Totaal kortlopende verplichtingen 4,157.584,033.2113,809.7763,261.2613,311.0262,473.942,725.4241,588.9571,597.1821,018.39865.4571,840.8181,482.2071,170.724949.445752.409528.614410.957349.022351.651405.622381.707191.452184.76200.913204.081218.258168.74587.83466.049
Langlopende verplichtingen:
Langetermijnschulden 995.0551,095.993499.815206.825153.74890.13791.06888.93395.431239.768000000050007088.9238.9231.40732.40739.5554.8522.1981
Uitgestelde opbrengsten niet-vlottend 397.674577.567797.621992.3431,321.3951,679.7581,993.2812,299.2672,285.9981,044.4391,036.833914.20400000-5000000000000
Uitgestelde belastingverplichtingen niet-vlottend 44.36345.82264.67365.29771.45245.728-91.068-88.933-95.431-479.5360000000.0060.015000000000000
Overige niet-vlottende verplichtingen 0000000001,024.3070000000000001.533.0594.5894.05731.08131.8592.1360
Totaal niet-vlottende verplichtingen 1,437.0921,719.3821,362.1091,264.4651,477.6851,815.6242,084.3492,388.22,381.4281,044.4391,036.833914.20400000.0065.0150007090.4541.97935.99736.46570.63186.70924.3341
Totaal passiva 5,594.6725,752.5935,171.8854,525.7264,788.7114,289.5644,809.7723,977.1573,978.612,062.8291,902.291,840.8181,482.2071,170.724949.445752.409528.619415.972349.022351.651405.622451.707281.902226.74236.91240.546288.889255.454112.16967.049
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 2,288.1192,288.1192,288.1192,288.1192,288.1192,288.1191,760.092880.046680.149211211211211211211211211211190190190190190190190190120104.57104.02226.533
Ingehouden winsten 6,127.2266,297.2945,962.9575,347.3125,272.2024,089.7923,382.8882,321.91,636.254696.744520.454405.501305.425195.282113.07756.59110.517-2.471-20.335-21.666-63.108-119.207-136.62-159.215-78.78424.16932.912000
Overige gereserveerde algehele resultaten 00629.571595.137520.386488.512246.114251.898174.4255.93900000000000000000000
Overige totale aandeelhoudersvermogen 2,371.7562,449.9112,320.786492.2141,070.889695.73697.5013,877.5470201.829257.454251.816247.019247.019247.019247.382247.382249.262268.597270.638333.747333.059332.53332.504420.895412.39551.967000
Totaal eigen vermogen van aandeelhouders 10,787.10111,035.32510,569.9268,722.7828,776.4387,562.1546,106.5577,105.3072,480.8231,165.512988.909868.317763.444653.3571.096514.973468.899455.907440.708438.972460.639403.852385.909363.289449.483561.063199.116104.57104.02226.533
Totaal eigen vermogen 11,624.20611,893.18911,563.1298,966.3559,069.097,812.0096,192.6777,159.1732,510.0411,167.425990.81870.209765.321655.174572.962517.413471.35458.378443.144441.475461.402404.431386.426363.289467.739577.075216.562121.58118.42236.755
Totaal passiva en aandeelhoudersvermogen 17,218.87817,645.78216,735.01413,492.08113,857.80112,101.57211,002.44911,136.336,488.6513,230.2542,893.12,711.0282,247.5281,825.8981,522.4061,269.823999.969874.351792.165793.126867.025856.139668.328590.029704.649817.62505.451377.034230.59103.804