Fiberhome Telecommunication Technologies Co., Ltd.

SSE:600498.SS

21.95 (CNY) • At close May 14, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,243.7575,207.7294,388.9734,722.3293,970.1194,637.6073,879.575,211.8923,548.6264,183.0394,101.1883,833.63,534.2572,076.4491,569.1571,830.0281,197.0921,358.9861,021.949850.791552.395347.918216.771917.92179.2992.08758.909
Kortetermijnbeleggingen 2,881.450-113.605-118.36-158.871-127.9271,021.589-191.422-147.2210.0410000000089.55396.861140.448293.585459.564164.1870.31700
Liquide middelen en kortetermijnbeleggingen 5,243.7575,207.7294,388.9734,722.3293,970.1194,637.6073,879.575,211.8923,548.6264,183.084,101.1883,833.63,534.2572,076.4491,569.1571,830.0281,197.0921,358.9861,111.501947.652692.843641.503676.3351,082.10879.60892.08758.909
Nettovorderingen 17,461.52614,445.8257,552.5454,944.63208,546.9058,387.1996,518.9924,915.463,760.7614,683.3313,955.5612,909.7850005.199994.303950.9471,315.078901.57300012.3431.6313.889
Voorraad 9,329.2269,718.93214,390.16214,605.12813,573.778,938.8199,925.56310,849.6419,901.8887,384.1444,560.0474,295.6574,070.9093,801.1543,152.612,504.3022,011.4531,608.7141,019.26807.068803.618838.534629.665843.09471.468240.279210.44
Overige vlottende activa 1,576.9241,929.1452,607.0682,213.513657.4371,887.4811,632.4872,301.6022,631.9072,379.3634,530.72324.929446.401115.24378.63582.3371,487.5681,155.33986.7281,315.07816.7161,288.7841,078.789785.395703.073268.571139.202
Totaal vlottende activa 33,611.43331,301.63128,194.17525,907.36525,831.36423,669.93523,473.90524,484.15320,389.97316,256.99613,190.94512,347.18710,802.5738,578.8376,632.2345,984.7674,701.3124,123.0393,423.2923,069.7992,704.3322,768.8212,384.7892,710.5941,266.493602.568410.812
Niet-vlottende activa:
Materiële vaste activa, netto 4,813.1264,702.144,736.8494,738.6544,228.2983,594.93,367.6622,856.9962,591.1511,914.5141,445.5651,214.4481,036.275876.1641,009.158943.586822.16716.89720.537795.44865.294843.916606.381305.628137.171148.627111.613
Goodwill 86.34886.3482.1762.1762.1762.1762.1762.1762.1762.1762.1762.1762.17600000000000000
Immateriële activa 3,015.7352,491.5392,222.682,081.362,134.0261,486.2251,006.98780.283558.084228.844167.814172.616169.648134.43385.75882.67186.63791.03627.92131.61834.56337.9477.0585.82000
Goodwill en immateriële activa 3,102.0832,577.8882,224.8562,083.5362,136.2021,488.4011,009.157782.459560.26231.02169.99174.792171.824134.43385.75882.67186.63791.03627.92131.61834.56337.9477.0585.82000
Langetermijnbeleggingen 02,987.4183,147.1242,918.9042,642.1072,525.2020884.009660.811410.438353.354337.039264.56600000-52.657-52.003-112.827-262.742-393.6190000
Belastingvorderingen 202.374207.191192.12174.021175.429165.761125.462117.26596.84392.31980.84981.05156.57333.948.4097.0294.8112.33689.84600000000
Overige niet-vlottende activa 3,028.423157.31950.81557.84128.13846.8581,238.7830.4423.455173.275192.166203.694202.659460.227349.522222.96339.46838.2783.36197.115141.219295.685462.8564.3866.01900
Totaal niet-vlottende activa 11,146.00710,631.95510,351.7639,972.9569,210.1757,821.1235,741.0644,641.1693,932.5212,821.5662,241.9242,011.0231,731.8971,504.7641,452.8461,256.248953.075848.54789.008872.17928.249914.806682.675315.833143.19148.627111.613
Totaal activa 44,757.43941,933.58538,545.93935,880.32135,041.53931,491.05829,214.96929,125.32224,322.49419,078.56215,432.8714,358.2112,534.4710,083.6018,085.087,241.0155,654.3874,971.5784,212.33,941.9693,632.5813,683.6263,067.4643,026.4281,409.683751.196522.425
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 14,506.0323,653.37214,019.2163,412.3926,499.8959,652.2159,485.1288,712.3377,839.716,454.3262,520.9544,117.5543,886.6063,414.9282,649.3062,193.4531,793.8521,216.9081,034.973839.864299.965793.694474.668582.963458.517127.32891.144
Kortlopende schulden 5,079.8582,026.2361,535.862513.552541.995548.811,479.8562,174.8851,228.5981,099.7181,152.386-374.612877.688611.85280.153340.4446206.877315.283347.289357.742140.58232.2340250114.730.7
Belastingschulden 754.12565.056524.503244.709108.055268.338294.46243.049189.172-782.164-388.145-276.929-293.657-263.95-267.135-146.119-147.783-70.70623.0938.55389.03276.2367.1797.141-14.4494.20136.827
Uitgestelde opbrengsten 001,320.7425,348.4485,628.4182,344.238294.461,544.4381,286.767-154.475238.6305.561160.315-65.628-94.68126.37718.32676.7128.029146.724182.894229.201153.0420126.47928.2555.594
Overige kortlopende verplichtingen 6,146.34117,019.6412,632.47313,908.73711,429.6536,150.8496,234.9656,797.2256,505.6784,345.4284,981.3942,208.5011,961.3182,026.8891,459.441,185.251,187.666766.377318.35190.417445.246226.207173.001178.574227.65833.67236.301
Totaal kortlopende verplichtingen 26,486.35622,764.30520,032.79617,714.59818,579.59916,620.21217,494.4117,927.49715,763.15911,117.3078,057.5796,727.6256,431.9555,439.124,121.7653,489.4462,858.0612,119.4551,691.6961,416.1231,191.9851,236.712747.082768.677921.727279.901194.972
Langlopende verplichtingen:
Langetermijnschulden 2,036.4623,610.8334,479.1145,125.9923,938.5122,382.9255455003500122.38776.6513.544252.0360157.0490233.74754.66120.3920.3961.9941.250000
Uitgestelde opbrengsten niet-vlottend 516.131592.406466.656413.117489.726393.865393.74324.58212.442152.764127.0680000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.7724.3620.8410.8761.2091.1541.0430.9121.4630.9370.6910.7280.76500000000000000
Overige niet-vlottende verplichtingen 47.356639.38511.44433.644-41.96437.1641.22347.73448.62755.11331.701-103.776110.74516.2796.1296.4497.8497.80537.84889.22868.58451.427.930000
Totaal niet-vlottende verplichtingen 2,600.7214,254.5744,991.3995,573.6294,387.4832,815.104981.005873.227612.533208.813281.841,168.131115.054268.3156.129163.4987.849241.55292.509109.61888.974113.4149.182.852000
Totaal passiva 29,087.07727,018.8825,024.19523,288.22722,967.08219,435.31618,475.41518,800.72416,375.69111,326.128,339.4187,895.7556,547.0095,707.4354,127.8943,652.9442,865.9092,361.0071,784.2051,525.741,280.9591,350.122796.262768.677921.727279.901194.972
Eigen vermogen:
Preferente aandelen 00000000002.3132.553000000000000000
Gewone aandelen 1,184.4641,185.4911,186.5651,187.8281,170.1541,170.9851,168.7011,113.9391,046.2731,046.918995.13965.72482.361442.336441.8441.84104104104104104104104103303300
Ingehouden winsten 5,416.1114,919.3454,551.7324,254.8284,037.6134,343.9743,657.2443,215.3332,765.6732,396.2882,029.9941,692.9881,375.7071,016.584696.528416.727230.997117.63865.57468.76784.394107.42487.66384.748000
Overige gereserveerde algehele resultaten 00792.203671.365805.112493.033534.551492.95465.315387.887-2.313-2.553000000000000000
Overige totale aandeelhoudersvermogen 7,350.2287,067.9786,393.936,291.7326,300.365,955.35,930.4315,198.3533,002.4163,027.4142,905.7652,990.0563,411.5412,426.7352,374.5192,339.8911,818.7321,806.2721,8101,712.8541,792.1021,782.4421,824.9371,763.002157.956141.295327.454
Totaal eigen vermogen van aandeelhouders 13,950.80313,172.81412,132.22711,733.48611,472.42811,470.25810,009.5739,527.6257,279.6786,858.5066,199.5385,646.215,269.613,885.6553,512.8473,198.4182,459.7292,333.912,285.5742,282.0432,286.4952,299.8672,273.42,257.75487.956471.295327.454
Totaal eigen vermogen 15,670.36314,914.70613,521.74312,592.09412,074.45612,055.74110,739.55410,324.5987,946.8037,752.4427,093.4516,462.4555,987.4614,376.1663,957.1853,588.0712,788.4782,610.5712,428.0952,416.2292,351.6222,333.5042,271.2022,257.75487.956471.295327.454
Totaal passiva en aandeelhoudersvermogen 44,757.43941,933.58538,545.93935,880.32135,041.53931,491.05829,214.96929,125.32224,322.49419,078.56215,432.8714,358.2112,534.4710,083.6018,085.087,241.0155,654.3874,971.5784,212.33,941.9693,632.5813,683.6263,067.4643,026.4281,409.683751.196522.425