Baoding Tianwei Baobian Electric Co., Ltd.

SSE:600550.SS

7.85 (CNY) • At close April 21, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) CNY.

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Assets:
Current Assets:
Cash & Cash Equivalents 1,176.311901.756579.1891,189.4741,188.8671,278.3011,462.7451,672.7162,354.0591,420.3671,366.3551,587.6481,357.671,830.2471,878.7642,668.713,031.8821,363.874992.359339.065583.843326.526280.263386.25426.84155.8366.31119.122
Short Term Investments 40.0180-220.276-31.862-35.734-32.583-31.918-30.098-27.246-23.494-30.513109.82151.36122.76331.7553.5431.605-49.73200385846.900000
Cash and Short Term Investments 1,176.311901.756579.1891,189.4741,188.8671,278.3011,462.7451,672.7162,354.0591,420.3671,366.3551,697.4681,509.031,953.0072,210.5192,672.2533,033.4871,363.874992.359339.065621.843384.526327.163386.25426.84155.8366.31119.122
Net Receivables 02,119.4852,024.6451,719.0241,232.9491,776.0132,017.8892,538.0432,971.3542,082.4641,713.5472,067.7022,682.7590000317.486738.952498.866384.5140000000
Inventory 2,052.1791,077.434688.329750.032826.263888.8151,053.5161,377.1961,059.3881,279.5151,437.2181,742.351,933.6422,011.2781,927.8082,701.5561,867.3741,263.204805.416680.218418.824230.264262.923206.789248.51237.844284.631296.781
Other Current Assets 2,719.053575.073401.865243.795427.034548.69434.867619.212457.986506.849595.347563.4851,153.3911,399.5441,027.536874.6593,031.4151,978.108984.836815.896515.324522.043511.82547.218428.334343.306191.353148.392
Total Current Assets 5,947.5434,673.7493,694.0283,902.3263,675.1134,797.0844,969.0176,207.1676,780.175,289.1945,112.4676,071.0067,046.4698,811.4798,022.7078,143.237,932.2764,922.6723,020.5442,129.0851,841.5891,136.8331,101.9071,140.26703.685636.986482.294464.295
Non-Current Assets:
Property, Plant & Equipment, Net 979.4661,015.4761,064.1361,133.7311,220.6331,339.711,441.5651,551.491,390.8061,238.6251,267.91,359.7365,459.6115,350.7964,900.3054,412.5351,400.674992.525956.037934.418586.977543.383485.772325.448124.175130.3797.139113.038
Goodwill 0000000013.05313.05313.05313.05313.05313.05313.05313.05313.05350.4140000000000
Intangible Assets 314.291345.328362.079362.412404.555449.035457.572507.691575.27631.29680.277721.931542.773487.699479.364356.226304.764179.717165.342123.66950.66151.95554.1400000
Goodwill and Intangible Assets 314.291345.328362.079362.412404.555449.035457.572507.691588.323644.342693.329734.983555.825500.752492.417369.279317.817230.131165.342123.66950.66151.95554.1400000
Long Term Investments 0227.997251.72160.13866.20798.734334.659767.407801.263821.0511,454.7641,568.7041,903.8362,347.1192,407.5072,577.822,468.0641,549.57700132.77714.363-43.7700000
Tax Assets 8.8499.8344.35445.42542.79441.99262.4553.7149.70144.10739.15848.9840.30835.48634.40928.58422.22413.230039.97158.34247.35100000
Other Non-Current Assets 263.1744.96310.302247.437231.72914.19413.2693.70142.0025.5441.387143.766217.522191.519402.78970.3543.2-15.512844.67279.63520.93419.586-5.96.8390000
Total Non-Current Assets 1,565.781,603.5951,732.5921,849.1431,965.9171,943.6652,309.5152,883.9992,872.0952,753.6693,456.5393,856.178,177.1038,425.6718,237.4267,458.5684,251.982,769.9511,966.0491,337.722831.32687.629537.593332.286124.175130.3797.139113.038
Total Assets 7,513.3246,277.3445,426.6215,751.4695,641.036,740.7497,278.5329,091.1669,652.2658,042.8638,569.0059,927.17515,223.57217,237.1516,260.13315,601.79812,184.2567,692.6234,986.5933,466.8072,672.9091,824.4631,639.4991,472.547827.861767.357579.434577.333
Liabilities & Equity:
Current Liabilities:
Account Payables 2,548.7051,887.7971,858.9142,003.0081,909.5641,709.9462,004.9562,222.8421,693.011,442.8421,138.5561,473.4371,291.1561,779.8962,260.4891,700.287647.272638.616493.926366.158347.448117.975112.20192.14288.41753.50456.55267.155
Short Term Debt 1,240.51,646.3131,191.0751,056.6061,4122,057.2033,227.424,349.0015,084.1982,941.8232,6503,400.5222,691.9721,431.182,965.793,101.5612,659.51,788.51,319.2561,253.047912434.5290.2588.75157.36113.55246.63238.63
Tax Payables 29.3026.15859.85755.85137.74432.48845.278140.646103.20763.66719.524-159.169-411.577-292.572-190.125-287.2112.57151.14721.29242.08930.73542.38325.32811.4880.2466.606-2.0032.374
Deferred Revenue 00226.506603.509439.509191.52845.278263.974232.939264.272407.95255.225-271.452-127.129131.436-163.533101.054183.122112.891171.01776.53278.50771.82587.30821.20626.60926.70529.472
Other Current Liabilities 2,864.2251,213.492195.315582.989190.611,185.25703.941,032.11,593.71994.669727.4371,116.4072,037.7151,391.023948.2561,764.661,386.7812,204.559602.474353.082146.411141.629114.081258.38385.476117.698130.509129.659
Total Current Liabilities 6,682.7324,753.763,531.6673,701.7333,827.94,984.8866,026.8717,744.598,707.0635,443.0014,943.4685,831.1965,181.9924,309.5285,984.4116,279.2984,807.1774,682.8222,549.8392,185.3941,513.125736.486541.859450.763331.498291.358431.688437.818
Non-Current Liabilities:
Long Term Debt 103.503896.087994.3261,189985885162.175482.743210.1481,790.4412,134.1033,236.3934,078.2785,286.9354,906.54,6002,96035025010.95210.9523696.13184.63219.14212.8800
Deferred Revenue Non-Current 21.233039.70847.08668.71884.782112.092153.87778.19284.1466.13500-0-4,906.500-339.1380000000000
Deferred Tax Liabilities Non-Current 2.0922.511.371.5532.1552.82829.134-337.25762.6160.378011.12916.51712.22739000.0020000000000
Other Non-Current Liabilities 029.7581.27800086.241153.877-39.859257.297292.187567.926104.393122.7770010.86210.86211.2520026.4425.1100000
Total Non-Current Liabilities 126.829928.3551,035.4041,237.6391,055.873972.609277.55636.62311.0962,085.1572,492.4253,815.4484,199.1885,421.9384,945.54,6002,970.862360.864261.25210.95210.95262.44121.24184.63219.14212.8800
Total Liabilities 6,809.5615,682.1164,567.0714,939.3724,883.7745,957.4956,304.4218,381.219,018.167,528.1587,435.8939,646.6449,381.189,731.46610,929.91110,879.2987,778.0395,043.6862,811.0912,196.3461,524.077798.926663.099635.393550.638504.238431.688437.818
Equity:
Preferred Stock 0000000000000000000000000000
Common Stock 1,841.5281,841.5281,841.5281,841.5281,841.5281,841.5281,841.5281,534.6071,534.6071,534.6071,534.6071,372.9911,372.9911,372.9911,1681,1681,168730365330330330330220160160147.745139.514
Retained Earnings -5,561.727-5,658.05-5,452.633-5,482.123-5,318.21-5,336.135-5,351.342-4,534.834-4,615.752-4,724.88-4,815.532-4,881.319372.0421,896.7852,136.2231,588.2041,289.424439.563290.263119.447108.18967.25935.11551.41724.96518.22400
Accumulated Other Comprehensive Income/Loss 0352.803358.391353.139143.484185.16352.976354.222349.787336.45611.94115.7360000000000000000
Other Total Stockholders Equity 4,320.0423,970.8843,985.4823,985.653,945.6083,944.4113,944.4073,144.9233,144.9233,154.1124,195.6253,230.3493,957.3753,580.1391,395.8281,348.1661,327.8321,314.7031,360.977560.678528.349513.634506.031565.73792.25784.89500
Total Shareholders Equity 599.843507.165731.89697.148611.209634.96787.569498.919413.565300.295914.70163.3785,342.9166,849.9154,700.0514,104.3693,785.2562,484.2661,980.2131,009.834966.538910.893870.906837.154277.222263.119147.745139.514
Total Equity 703.763595.228859.549812.097757.257783.254974.111709.956634.105514.7061,133.113280.5315,842.3927,505.6845,330.2234,722.4994,406.2172,648.9372,175.5021,270.4611,148.8321,025.536976.4837.154277.222263.119147.745139.514
Total Liabilities & Shareholders Equity 7,513.3246,277.3445,426.6215,751.4695,641.036,740.7497,278.5329,091.1669,652.2658,042.8638,569.0059,927.17515,223.57217,237.1516,260.13315,601.79812,184.2567,692.6234,986.5933,466.8072,672.9091,824.4631,639.4991,472.547827.861767.357579.434577.333