Hangzhou Silan Microelectronics Co., Ltd

SSE:600460.SS

24.55 (CNY) • At close May 16, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4,520.3356,131.232,230.3892,323.4361,110.3951,082.2761,171.706672.415467.879409.462487.329739.425437.574563.736667.685213.686202.14174.408132.484113.316148.471176.68925.76614.46525.254
Kortetermijnbeleggingen 1,739.4760225.0430.1060.162-73.535-48.536-24.059-11.2580.6821.1941.556-17.41300.0070.3730.0270000000
Liquide middelen en kortetermijnbeleggingen 4,520.3356,131.232,232.3892,348.4791,110.5021,082.4371,171.706672.415467.879409.462488.01740.619439.13563.736667.685213.692202.513174.436132.484113.316148.471176.68925.76614.46525.254
Nettovorderingen 4,571.9423,384.4942,772.1172,460.2331,787.5891,210.1571,152.3361,033.059871.066759.394738.211668.054494.742534.421429.71-9.758-11.295-0190.465128.674105.3080027.9130
Voorraad 3,898.9433,732.0343,071.7931,912.9461,387.9131,421.5921,213.698795.172619.153724.673664.672514.625472.161483.148313.909291.538309.316287.592252.047169.487127.34580.89856.58531.72935.821
Overige vlottende activa 359.805237.544149.517128.393.78198.127181.245230.209493.712318.214326.441490.642176.569252.539505.911359.305260.445285.58910.8147.2015.60182.1544.58327.54626.578
Totaal vlottende activa 13,351.02413,485.3028,225.8166,849.9584,379.8433,812.3143,718.9852,730.8552,451.8112,250.7932,251.2562,413.941,602.9631,787.6511,487.505864.535772.274747.616585.81418.677383.938339.737126.93373.73987.653
Niet-vlottende activa:
Materiële vaste activa, netto 8,684.3138,166.5665,813.1994,622.7683,618.3343,571.1883,427.8352,977.8672,261.9411,748.3321,462.1231,374.21,393.5741,191.854825.669710.132757.217814.646753.227668.758552.071376.738230.385121.06512.062
Goodwill 245.07245.360.620.620.620.620.620.620.620.620.620.620.620.620.621.3071.3072.6610000000
Immateriële activa 418.247498.064283.106289.259284.857250.897167.909121.884120.217119.776123.845119.983121.49395.88669.86762.41377.46291.51667.14341.9013.7733.272.2671.0571.029
Goodwill en immateriële activa 663.317743.424283.725289.879285.477251.517168.529122.504120.837120.396124.465120.603122.11396.50670.48763.72178.7794.17867.14341.9013.7733.272.2671.0571.029
Langetermijnbeleggingen 01,267.0482,195.1961,636.65804.214677.549399.63149.013121.787105.09105.849132.312143.72175.7190141.512143.445464.3460000000
Belastingvorderingen 157.881107.369125.529112.521142.301125.76101.93689.47782.58874.96755.67157.58745.43731.65913.98319.54410.84214.0490000000
Overige niet-vlottende activa 1,940.435137.878277.015294.587609.942474.932309.452184.6948.8441.42618.79135.22542.60134.062167.3060.0070.4530.18873.73782.88470.18952.67536.35230.88226.465
Totaal niet-vlottende activa 11,445.94710,422.2848,694.6646,956.4055,460.2695,100.9464,407.3833,523.5512,635.9932,090.2111,766.91,719.9261,747.4451,529.81,077.444934.915990.7281,387.406894.108793.543626.033432.683269.004153.00439.556
Totaal activa 24,796.97123,907.58616,920.4813,806.3639,840.1118,913.268,126.3686,254.4075,087.8044,341.0044,018.1564,133.8673,350.4083,317.4512,564.9491,799.451,763.0012,135.0221,479.9181,212.221,009.971772.42395.937226.743127.209
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,101.5572,055.1041,727.5891,421.292914.147509.684671.352410.927442.71437.021427.352347.65185.091187.783250.391261.512245.996309.513114.003190.407149.309100.68655.52926.07219.4
Kortlopende schulden 1,491.6391,810.5682,466.3082,170.7352,010.8412,007.3661,568.9671,453.286604.5871.112542.978405.517330.639327.063479576.179644.231626.456257.83212252504200
Belastingschulden 99.5616.32472.866159.73933.05419.96613.64925.596.2469.96918.37815.78910.904-27.76612.4597.6059.13615.0889.1714.342-1.922-1.630.5911.0110.761
Uitgestelde opbrengsten 0032.527480.418282.379256.56513.649338.593238.717194.076269.59254.246139.82145.74365.27342.68551.88757.2557.6528.25517.14920.47729.64500
Overige kortlopende verplichtingen 2,492.0711,756.8141,2361,246.541724.28848.984522.5421,055.995428.88187.61253.36289.359333.016331.88995.19937.26647.25343.846283.69180.39122.2324.82615.7927.0683.96
Totaal kortlopende verplichtingen 7,184.8275,638.8095,535.295,008.2953,682.3223,386.0012,664.5652,358.3241,482.3361,505.7121,242.0681,058.315759.649772.777837.05882.563946.615994.903664.697397.14221.617173.882128.91634.15124.122
Langlopende verplichtingen:
Langetermijnschulden 2,608.0433,438.7872,117.5358.459665.8191,079.778442.479442.598317.731120.132132.984627.754709.467613.0874040110110.165151.329196.29461.73895.15350.0910
Uitgestelde opbrengsten niet-vlottend 135.846118.579129.28153.132172.006206.627273.518274.375190.805226.614227.45169.76630.023018.64318.64318.64318.330000000
Uitgestelde belastingverplichtingen niet-vlottend 58.436107.144158.01794.443621.716110.053111.228225.283-179.564-50.5130.1020.6680.29900.1161.9068.27640.8580000000
Overige niet-vlottende verplichtingen 986.2371,184.2561,039.2471,083.455986.654209.312715.406277.0612.686296.2320.3882.686137.926208.38332.26430.38316.03416.74938.11626.00518.31113.8165.2964.4142.686
Totaal niet-vlottende verplichtingen 3,788.5624,848.7653,314.7641,689.4881,650.5691,289.091,268.522719.659511.222416.364360.925800.873877.714821.46358.02290.93282.953185.938148.281177.334214.60575.554100.44954.5052.686
Totaal passiva 10,973.38910,487.5758,850.0556,697.7835,332.8914,675.0913,933.0873,077.9831,993.5581,922.0761,602.9931,859.1891,637.3631,594.24895.072973.4941,029.5671,180.84812.978574.473436.221249.436229.36588.65626.807
Eigen vermogen:
Preferente aandelen 0000000000000000000000000
Gewone aandelen 1,664.0721,664.0721,416.0721,416.0721,312.0621,312.0621,312.0621,247.1681,247.1681,247.1681,247.168959.36868.16434.08434.08404.08404.08404.08404.08202.04202.04101.0275.0275.0275.02
Ingehouden winsten 3,322.8693,135.8523,313.2452,513.3571,154.1091,106.1561,138.6281,043.724916.34845.234845.013697.044597.596628.865514.792279.39207.628194.86179.585192.231164.403125.71874.34952.22221.467
Overige gereserveerde algehele resultaten 0525.783525.471362.042213.595200.995189.042180.001165.924153.71514.11237.1930000000000000
Overige totale aandeelhoudersvermogen 7,227.8446,695.92,118.9252,119.026768.269963.976771.124324.305316.036301.98306.543437.401231.136646.682542.043127.831108.221340.87143.79202.552195.383285.70315.8149.2743.847
Totaal eigen vermogen van aandeelhouders 12,214.78512,021.6067,373.7136,410.4973,448.0343,378.9783,427.8672,625.5982,486.7912,401.7332,398.7242,257.4611,696.8921,709.6261,658.727811.301719.929939.81648.249596.823561.827512.441165.183136.515100.334
Totaal eigen vermogen 13,823.58213,420.0118,070.4267,108.584,507.2214,238.1694,193.2823,176.4243,094.2462,418.9292,415.1632,274.6781,713.0451,723.2111,669.876825.956733.434954.182666.94637.746573.75522.984166.572138.087100.402
Totaal passiva en aandeelhoudersvermogen 24,796.97123,907.58616,920.4813,806.3639,840.1118,913.268,126.3686,254.4075,087.8044,341.0044,018.1564,133.8673,350.4083,317.4512,564.9491,799.451,763.0012,135.0221,479.9181,212.221,009.971772.42395.937226.743127.209