Jiangsu Zhongtian Technology Co., Ltd.

SSE:600522.SS

13.83 (CNY) • At close April 18, 2025
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 15,497.31313,698.49512,368.42911,097.5629,968.8656,548.3056,315.7453,666.2433,242.3192,061.823895.5861,202.7961,100.889515.718821.094387.189186.472401.32331.739383.979273.416367.80658.8950.13629.557
Kortetermijnbeleggingen 28.9630.01430.245101.619455.664-162.2138.957-28.134-86.942-18.134-19.592-19.24142.02929.23372.1463.6956.40400000000
Liquide middelen en kortetermijnbeleggingen 15,526.27613,698.50912,398.67511,199.18110,424.5296,548.3056,324.7023,666.2433,242.3192,061.823895.5861,202.7961,142.918544.951893.24390.884192.876401.32331.739383.979273.416367.80658.8950.13629.557
Nettovorderingen 14,847.17812,634.10612,423.1411,106.4349,381.9746,865.9676,370.2245,585.4144,027.2363,612.3732,786.0732,134.9911,969.1221,590.752938.317664.326417.82287.006196.346190.86029.249000
Voorraad 5,107.3435,438.2685,584.2736,429.9047,136.0915,140.1454,017.4773,051.6842,620.7282,018.2861,455.6591,507.8831,239.16982.7681,044.744968.651791.554660.305415.314232.69221.033106.977155.09269.30934.602
Overige vlottende activa 1,922.0671,967.8871,861.2665,009.66410,946.1781,567.1071,744.6261,165.019760.3931,450.53559.524506.59-62.054269.189304.018140.912196.97283.17466.1684.941201.262165.247128.8168.343227.316
Totaal vlottende activa 37,402.86433,738.77132,001.22133,745.18427,602.94220,121.52318,339.92113,468.36110,650.6778,253.0255,686.8435,253.1534,289.1463,329.8053,180.3192,164.7731,599.2221,460.6281,007.812892.47695.71639.987342.782287.789291.475
Niet-vlottende activa:
Materiële vaste activa, netto 11,162.53710,244.5399,508.8859,482.7539,617.4628,854.9466,040.8324,989.4243,473.8762,461.1172,166.3411,835.0581,677.6191,166.023748.514555.484469.255413.119333.338232.51198.461194.11798.81236.74931.001
Goodwill 5.5595.5598.38622.37133.36314.6955.1825.1825.1823.9534.054.1480000000000000
Immateriële activa 1,013.4941,002.1791,039.7181,088.081,022.065930.886595.965526.551390.782310.772268.968289.982162.557141.981105.88852.95449.9836.0251.5264.161.5942.0262.0692.1110
Goodwill en immateriële activa 1,019.0531,007.7381,048.1051,110.4511,055.429945.581601.147531.733395.965310.772268.968289.982162.557141.981105.88852.95449.9836.0251.5264.161.5942.0262.0692.1110
Langetermijnbeleggingen 3,618.4522,579.9331,913.3421,698.272873.571,404.5421,174.3841,270.7711,039.46669.887801.028445.219672.528978.004661.20350.62747.91800000000
Belastingvorderingen 931.761834.19846.526315.363235.896225.014163.868114.70692.06666.80950.51842.26238.3736.99434.87313.59112.8074.0250000000
Overige niet-vlottende activa 596.171265.003313.636793.285808.602454.708487.52277.53550.22437.5611.5618.35167.98733.57776.5868.23311.0451.16351.6749.65749.723-2.389-2.38931.9230
Totaal niet-vlottende activa 17,327.97514,931.40213,630.49413,400.12412,590.95911,884.7918,467.7546,984.175,051.593,546.1463,298.4162,620.8722,619.0612,356.5781,627.064680.89591.003474.333386.535286.328249.778193.75498.49270.78331.001
Totaal activa 54,730.83948,670.17445,631.71547,145.30740,193.90132,006.31426,807.67520,452.53115,702.26711,799.1718,985.2597,874.0256,908.2075,686.3834,807.3832,845.6632,190.2261,934.9611,394.3471,178.798945.488833.742441.274358.572322.476
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 9,890.6567,261.4087,277.61810,188.719,029.6436,572.9855,133.2314,034.4342,464.0851,106.2731,024.147594.128629.396789.229472.792365.242285.879277.505204.141129.56269.15976.4758.63337.78139.425
Kortlopende schulden 4,246.5824,992.8631,946.447-1,845.841,026.0682,471.6531,131.762,776.8931,088.2311,481.1941,804.9481,011.2991,084.3651,011.695936.514898.259520.901474.593302.696270.486172.44850.045645420
Belastingschulden 183.175401.224382.721330.951156.945187.549128.35139.4394.22230.11244.30842.681-158.0412.2186.605-13.486-35.5463.82511.04315.4329.744.53134.86626.96721.278
Uitgestelde opbrengsten 01,379.5973,013.0584,741.692719.208187.549714.928462.824430.184180.181223.316256.50452.996268.012494.562151.29761.88999.977160.79131.63101.237122.42177.67586.8598.295
Overige kortlopende verplichtingen 3,341.2383,618.5741,962.0721,177.7191,731.212,142.081669.403807.852600.7771,291.031328.1091,269.042566.756362.017782.341542.408474.794354.029171.091136.19499.499122.04383.70988.76881.201
Totaal kortlopende verplichtingen 17,661.6516,274.06915,026.97918,017.25212,932.811,374.2697,808.7537,758.6094,677.4993,210.0943,201.5122,917.152,122.4772,165.1592,198.2521,792.4221,246.0291,109.953688.972551.674350.847252.933241.207207.517161.904
Langlopende verplichtingen:
Langetermijnschulden 1,446.149278.9421,981.7853,943.234,931.495554.49468015.53260.679210.072770122.8563511.9896055150020000.7
Uitgestelde opbrengsten niet-vlottend 374.15267.57240.165215.964150.36137.549130.665105.52997.6576.76723.04239.496040.0419.740000000000
Uitgestelde belastingverplichtingen niet-vlottend 505.608355.643358.051475.777463.578285.958251.435273.439225.189144.686176.31494.914164.78238.572176.3670.171000000000
Overige niet-vlottende verplichtingen 490.594191.472286.119237.305226.028173.05171.942206.39351.64332.1659.04547.20955.42-270.58611.0424.2425.1439.890.78000000
Totaal niet-vlottende verplichtingen 2,442.3511,093.6272,865.7694,872.2765,771.4611,152.7641,234.041600.891635.161463.686265.401188.619220.2686.774242.14736.485.1494.8915.780020000.7
Totaal passiva 20,104.00117,367.69717,892.74822,889.52718,704.26112,527.0329,042.7948,359.4995,312.663,673.7793,466.9133,105.7692,342.6772,851.9332,440.3991,828.8231,331.1691,204.843704.752551.674350.847252.933241.207207.517162.604
Eigen vermogen:
Preferente aandelen 0000000000000000000000000
Gewone aandelen 3,412.953,412.953,412.953,066.1533,066.0823,066.0733,066.0732,610.7711,044.308862.768704.504704.504391.391320.803320.803270.803270.803270.803208.31208.31208.31208.31138.31138.31138.31
Ingehouden winsten 16,515.49213,920.04911,229.8711,452.8529,534.4527,335.5075,708.8334,304.9023,209.0542,492.4032,039.3971,552.5441,246.942962.087555.19322.911180.18767.00261.96243.75631.87233.95532.511.22615.36
Overige gereserveerde algehele resultaten 01,655.0251,240.9691,835.571,453.918623.9511,216.61,262.263977.194409.165470.46300000000000000
Overige totale aandeelhoudersvermogen 13,230.6311,008.79312,270.337,111.7118,836.4318,877.2057,363.6295,026.1215,994.2234,175.3872,498.5382,244.322,707.0171,323.1861,266.531284.977281.686299.442334.313327.434322.446341.92117.70811.5196.202
Totaal eigen vermogen van aandeelhouders 33,159.07229,996.81726,934.40823,466.28621,245.72919,273.93417,609.81811,941.79510,247.5857,858.225,242.4394,501.3684,345.3512,606.0752,142.523878.691732.676637.248604.585579.5562.628560.839188.527151.055159.872
Totaal eigen vermogen 34,626.83831,302.47727,738.96724,255.7821,489.6419,479.28117,764.88112,093.03110,389.6078,125.3925,518.3454,768.2564,565.532,834.452,366.9841,016.84859.057730.119689.595627.124594.641580.809200.067151.055159.872
Totaal passiva en aandeelhoudersvermogen 54,730.83948,670.17445,631.71547,145.30740,193.90132,006.31426,807.67520,452.53115,702.26711,799.1718,985.2597,874.0256,908.2075,686.3834,807.3832,845.6632,190.2261,934.9611,394.3471,178.798945.488833.742441.274358.572322.476