Tengda Construction Group Co., Ltd.

SSE:600512.SS

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

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,598.8282,575.1292,398.2343,051.0191,925.5552,030.0182,236.2972,033.3992,122.395633.252639.258598.04606.505539.518433.723602.801437.576177.64237.691188.01380.722146.83290.38668.06346.48449.118
Kortetermijnbeleggingen 1,860.86539.7451,495.317612.4691,051.863418.256180.0191,809.236-1,012.748-380.4580-166.51500000000000000
Liquide middelen en kortetermijnbeleggingen 2,598.8283,114.8743,893.5513,663.4882,977.4192,448.2742,416.3163,842.6352,122.395633.252639.258598.04606.505539.518433.723602.801437.576177.64237.691188.01380.722146.83290.38668.06346.48449.118
Nettovorderingen 2,337.8772,328.9892,021.7411,594.3081,196.7961,005.321,249.3151,050.15500.387351.277443.84435.247403.119602.587786.754651.3820502.07504.784446.833457.87900000
Voorraad 2,664.2162,236.7921,898.3922,825.8823,473.2733,080.812,826.1793,014.3093,070.0563,098.7183,270.1063,272.5522,617.4112,000.9211,134.9691.523502.557126.07281.77953.7157.38428.56717.18219.4026.5431.748
Overige vlottende activa 108.131276.439251.974275.201382.974631.1851,127.44846.154296.204280.777247.366245.876227.31766.23219.71124.422703.6651.30414.17310.94630.93372.082301.797237.792287.019302.682
Totaal vlottende activa 7,709.0527,978.718,123.4468,445.3428,102.6637,218.7367,619.258,221.4335,989.0424,364.0244,601.3774,536.3093,834.3183,209.2592,355.5541,970.1271,643.793857.086838.426699.501626.916547.48609.364325.258340.046353.548
Niet-vlottende activa:
Materiële vaste activa, netto 537.902543.198608.41487.153299.301279.996271.332157.67899.971136.6146.986141.028344.202375.324357.087386.608349.103330.66328.317350.412367.19347.997166.94732.27645.15233.827
Goodwill 00000000000000000000000000
Immateriële activa 96.486136.516112.817151.168189.102226.352264.563302.825341.08379.511417.942456.39494.863532.663571.103609.543651.95689.666723.563761.8134.5914.71001.2470
Goodwill en immateriële activa 96.486136.516112.817151.168189.102226.352264.563302.825341.08379.511417.942456.39494.863532.663571.103609.543651.95689.666723.563761.8134.5914.71001.2470
Langetermijnbeleggingen 01,215.65374.765866.458386.45919.9651,236.853-970.1691,330.268502.5153169.51530000000000000
Belastingvorderingen 73.67975.60166.85354.64257.91454.26569.79566.76160.55964.69771.70994.08581.14443.47726.53418.92416.64314.2800000000
Overige niet-vlottende activa 2,507.0571,192.7422,288.3421,557.9331,890.0051,545.3831,776.0973,227.65800420.237140.5890.1683.6053.4183.2483.3893335559.758.26.88
Totaal niet-vlottende activa 3,215.1253,163.7113,151.1873,117.3542,822.7713,025.9613,618.6392,784.7531,831.8771,083.3231,059.8741,001.606923.376955.068958.1421,018.3221,021.0861,037.6061,054.8791,115.224376.781357.707171.94742.02654.59940.707
Totaal activa 10,924.17711,142.42111,274.63311,562.69610,925.43410,244.69711,237.88911,006.1867,820.9195,447.3485,661.2515,537.9154,757.6944,164.3273,313.6962,988.452,664.8791,894.6921,893.3061,814.7251,003.697905.188781.311367.284394.646394.255
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,841.7883,013.6532,979.7212,517.551,916.61,575.0341,400.7371,555.348967.885699.953743.809333.697274.803382.187442.89475.146400.14237.95292.487248.532134.981270.402188.586141.12183.494165.686
Kortlopende schulden 0400150.198545.709893.834722.75355.41,388.751,569.2261,592.9981,005.8752706.2594.6329.8242.4219.3180.72000006
Belastingschulden 21.31616.17716.93175.67448.18677.98258.571169.24393.87654.8664.8762.00445.95849.1441.77540.27637.69237.85352.58332.32927.24326.94721.42117.84839.77232.229
Uitgestelde opbrengsten 00438.0612,346.3222,831.037971.59458.5711,055.528373.412737.399899.2131,017.692989.35947.613558.419260.519230.34240.919192.852161.063134.747000072.917
Overige kortlopende verplichtingen 1,786.8461,976.0321,417.64296.653211.4752,648.8971,815.8261,260.717637.8461,141.201874.8491,135.7811,652.3151,689.34659.151351.907455.775338.728228.254189.918303.284132.305138.51961.83749.60971.249
Totaal kortlopende verplichtingen 4,649.9515,009.8624,852.3535,136.25,157.4964,847.6244,227.543,609.842,428.4193,284.7644,151.9664,142.1722,978.8762,872.6681,850.0161,461.9291,218.316856.931792.624651.479485.508429.654348.525220.806272.876275.163
Langlopende verplichtingen:
Langetermijnschulden 15.4682.4631.2252.2460302.466999.31,030.627800147.5318168.6709.898164343.8441395.6466.6535599.3000000
Uitgestelde opbrengsten niet-vlottend 00000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0005.51397.786005.77000000000000000000
Overige niet-vlottende verplichtingen 00397.4500517.5725001,6001,600029.54820.04820.0482.31400005.8576.270000000
Totaal niet-vlottende verplichtingen 15.4682.463398.625507.76597.786802.4662,599.32,405.77800177.048338.048188.648712.212164343.8441400.69472.457541.27599.3000000
Totaal passiva 4,665.4195,012.3255,250.9785,643.9595,755.2825,650.0896,826.846,015.613,228.4193,461.8124,490.0154,330.823,691.0883,036.6682,193.8161,902.9291,619.0061,329.3881,333.8941,250.779485.508429.654348.525220.806272.876275.163
Eigen vermogen:
Preferente aandelen 00000000000000000000000000
Gewone aandelen 1,598.9031,598.9031,598.9031,598.9031,598.9031,598.9031,598.9031,598.9031,598.9031,018.037736.941736.941736.941736.941736.941368.47368.47319.47319.47159.735159.735159.735159.73599.73599.73599.735
Ingehouden winsten 1,929.9661,942.381,905.1971,924.4551,195.914666.338228.618369.435290.421215.302266.605320.72188.546178.448174.719154.214116.84118.165118.058127.16587.55253.61417.51720.063-0.9650
Overige gereserveerde algehele resultaten 00365.864316.009250.035169.394156.368198.309186.544152.72427.97121.7400000000000000
Overige totale aandeelhoudersvermogen 2,705.382,648.3722,566.6552,200.7922,250.8032,250.8032,304.8873,607.352,572.982631.368139.092112.416121.951183.992175.972538.273534.451125.565102.063274.992268.854260.148277.45824.69421.00717.349
Totaal eigen vermogen van aandeelhouders 6,234.2486,189.6556,070.7556,040.1585,295.6554,685.4374,291.2874,742.2354,648.852,017.4311,170.6081,191.8181,047.4381,099.3811,087.6311,060.9581,019.761563.2557.317561.892516.14473.496430.75144.492119.777117.085
Totaal eigen vermogen 6,258.7586,130.0966,023.6555,918.7375,170.1514,594.6084,411.0494,990.5764,592.51,985.5361,171.2371,207.0951,066.6061,127.6591,119.8811,085.5211,045.873565.304559.411563.946518.188475.534430.75146.479121.77119.092
Totaal passiva en aandeelhoudersvermogen 10,924.17711,142.42111,274.63311,562.69610,925.43410,244.69711,237.88911,006.1867,820.9195,447.3485,661.2515,537.9154,757.6944,164.3273,313.6962,988.452,664.8791,894.6921,893.3061,814.7251,003.697905.188779.275367.284394.646394.255