Ecovacs Robotics Co., Ltd.

SSE:603486.SS

70.84 (CNY) • At close July 25, 2025
Overview | Financials

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

202420232022202120202019201820172016201520142013
Assets:
Current Assets:
Cash & Cash Equivalents 5,198.8635,097.4133,991.3273,576.5821,965.2071,088.1671,142.721720.991318.767278.61152.788154.19
Short Term Investments 54.59353.8271,450838.50862.3144.50.2312.88321.66621.68341.84439.577
Cash and Short Term Investments 5,253.4535,148.85,441.3274,415.092,027.5211,092.6671,142.952723.874340.433300.293194.632193.768
Net Receivables 3,188.1951,809.052,067.3651,808.5641,348.973956.749900.985619.079499.5337.561528.163437.308
Inventory 2,368.7222,848.262,906.2692,417.3061,284.73999.5891,174.648632.12581.747474.847350.98308.24
Other Current Assets 642.283595.084711.198424.851311.502117.113141.687110.576154.105132.98670.27568.696
Total Current Assets 11,452.65310,401.19411,126.169,065.8114,972.7263,166.1173,360.2732,085.6491,575.7851,245.681,215.8871,008.012
Non-Current Assets:
Property, Plant & Equipment, Net 2,370.6631,913.0041,316.496951.934768.18779.739539.225366.951394.374370.668328.778284.715
Goodwill 00000000.9540.954000.563
Intangible Assets 297.895274.864158.44988.03787.28489.28687.79885.23782.37645.65422.99725.19
Goodwill and Intangible Assets 297.895274.864158.44988.03787.28489.28687.79886.19183.33145.65422.99725.752
Long Term Investments 557.304564.186-983.78-412.04190.399218.901147.943109.44211.9160.929-21.6720
Tax Assets 268.5206.433210.038159.68275.34964.97362.01537.34931.54923.73410.65610.355
Other Non-Current Assets 79.04327.5891,482.21866.5968.41513.07610.86615.67938.83836.66345.2943.762
Total Non-Current Assets 3,573.4052,986.0762,183.4121,654.2031,189.6271,165.974847.847615.612560.008477.647386.054324.584
Total Assets 15,026.05813,387.2713,309.57210,720.0146,162.3534,332.0914,208.122,701.2612,135.7941,723.3271,601.9411,332.596
Liabilities & Equity:
Current Liabilities:
Account Payables 3,651.8553,087.7391,760.842,720.2052,026.032826.223909.5391,042.8891,023.315825.954650.765553.953
Short Term Debt 839.583470.317574.19140.139108.981314.148125.1799.148016.04427.98859.882
Tax Payables 290.6238.904147.451298.44168.94236.31145.22865.75117.09419.44124.44814.428
Deferred Revenue 00304.9071,741.944822.482320.91945.228231.18389.917220.517104.587165.649
Other Current Liabilities 1,919.7881,997.0313,322.3111,208.418536.993663.168644.997312.387204.863201.57888.423-0.621
Total Current Liabilities 6,701.8495,563.9915,804.7924,649.0893,038.6321,832.4021,698.761,430.1751,245.2711,118.883791.624793.291
Non-Current Liabilities:
Long Term Debt 1,036.8941,202.373998.725934.36500000000
Deferred Revenue Non-Current 35.1421.01323.0911.6192.1483.471.3491.6362.2384.5145.0014.5
Deferred Tax Liabilities Non-Current 55.44252.11252.45128.4418.6096.730.0220.0250.14503.4562.711
Other Non-Current Liabilities 000004.10611.0695.663008.4560
Total Non-Current Liabilities 1,127.4751,275.4981,074.267964.42510.75714.30612.4397.3242.3834.5148.4567.211
Total Liabilities 7,829.3246,839.4896,879.0595,613.5153,049.3891,846.7081,711.21,437.4991,247.6541,123.397800.081800.501
Equity:
Preferred Stock 000000000000
Common Stock 575.295576.463573.5572.024564.366564.478400.1360360156.039156.03933.939
Retained Earnings 4,872.4164,229.2644,195.2463,182.0091,499.613883.27906.84459.958117.066258.179480.007341.112
Accumulated Other Comprehensive Income/Loss 00252.818213.332252.893251.848-438.954-373.111402.347158.1060.560.138
Other Total Stockholders Equity 1,748.9771,741.5921,660.7331,340.2611,037.1191,034.7341,650.345809.052402.3470138.577118.76
Total Shareholders Equity 7,196.6886,547.3196,429.4795,094.2943,101.0982,476.2922,488.3871,255.899879.413572.324774.622493.811
Total Equity 7,196.7346,547.7816,430.5135,106.53,112.9642,485.3832,496.9211,263.763888.139599.93801.86532.094
Total Liabilities & Shareholders Equity 15,026.05813,387.2713,309.57210,720.0146,162.3534,332.0914,208.122,701.2612,135.7941,723.3271,601.9411,332.596