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Q3 2024 | Q4 2024 | Q1 2025 | Q2 2025 | Q3 2025 |
 | ASSETS |
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 | A. CURRENT ASSETS AND SHORT-TERM INVESTMENTS |
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6,956,715 | 6,441,856 | 4,793,960 | 4,553,020 | 4,377,037 |
 | I. Cash and cash equivalents |
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1,945,532 | 2,419,518 | 2,106,077 | 1,706,426 | 1,741,374 |
 | 1. Cash |
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1,371,066 | 1,652,055 | 1,186,702 | 1,401,946 | 1,190,600 |
 | 2. Cash equivalents |
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574,466 | 767,463 | 919,375 | 304,480 | 550,774 |
 | II. Short-term financial investments |
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1,346,697 | 718,639 | 166,191 | 229,408 | 186,400 |
 | 1. Trading securities |
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 | 2. Provision for diminution in value of trading securities |
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 | 3. Investments holding until maturity |
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1,346,697 | 718,639 | 166,191 | 229,408 | 186,400 |
 | III. Short-term receivables |
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2,303,219 | 1,751,232 | 1,551,511 | 1,475,455 | 1,531,252 |
 | 1. Short-term receivables of customers |
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1,206,715 | 1,205,625 | 712,646 | 844,294 | 841,483 |
 | 2. Prepayments to suppliers |
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740,034 | 558,693 | 757,805 | 568,507 | 486,392 |
 | 3. Short-term intercompany receivables |
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 | 4. Receivables according to the progress of construction contracts |
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 | 5. Receivables on short-term loans |
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290,325 | 1,500 | 1,500 | 20,000 | 186,000 |
 | 6. Other short-term receivables |
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96,709 | 78,642 | 84,248 | 55,962 | 42,662 |
 | 7. Provision for doubtful short-term receivables |
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-30,564 | -93,228 | -4,689 | -13,309 | -25,285 |
 | IV. Inventories |
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1,138,806 | 1,352,422 | 827,536 | 987,232 | 757,283 |
 | 1. Inventories |
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1,139,066 | 1,354,122 | 827,589 | 987,232 | 757,283 |
 | 2. Provision for decline in value of inventories |
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-260 | -1,700 | -53 | | |
 | V. Other current assets |
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222,460 | 200,045 | 142,645 | 154,499 | 160,728 |
 | 1. Short-term prepaid expenses |
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30,648 | 24,216 | 30,390 | 25,407 | 21,515 |
 | 2. Deductible VAT |
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188,652 | 175,201 | 111,871 | 128,910 | 139,110 |
 | 3. Taxes and the State Receivables |
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3,161 | 628 | 385 | 183 | 104 |
 | 4. Repurchasing and reselling transactions in government bonds |
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 | 5. Other current assets |
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 | B. FIXED ASSETS AND LONG-TERM INVESTMENTS |
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6,075,525 | 7,306,027 | 7,390,793 | 7,606,508 | 7,864,701 |
 | I. Long-term receivables |
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377,913 | 445,612 | 389,371 | 348,769 | 363,188 |
 | 1. Long-term customer's receivables |
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| | | 299,000 | |
 | 2. Business capital in the subsidiary units |
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 | 3. Internal long-term receivables |
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 | 4. Receivables on long-term loans |
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358,500 | 358,500 | 358,500 | | 299,000 |
 | 5. Other long-term receivables |
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19,413 | 24,788 | 30,871 | 49,769 | 53,770 |
 | 6. Provision for doubtful long-term receivables |
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| 62,324 | | | 10,418 |
 | II. Fixed assets |
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2,717,471 | 3,037,271 | 2,761,544 | 2,811,034 | 2,787,129 |
 | 1. Tangible fixed assets |
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2,510,886 | 2,836,544 | 2,576,369 | 2,639,714 | 2,621,352 |
 | - Cost |
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4,642,421 | 5,028,006 | 4,515,798 | 4,680,596 | 4,722,609 |
 | - Accumulated depreciation |
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-2,131,534 | -2,191,462 | -1,939,429 | -2,040,882 | -2,101,257 |
 | 2. Fixed assets of financial leasing |
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58,342 | 56,809 | 55,275 | 35,578 | 33,617 |
 | - Cost |
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58,342 | 58,342 | 58,342 | 31,396 | 37,414 |
 | - Accumulated depreciation |
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| -1,533 | -3,067 | 4,182 | -3,797 |
 | 3. Intangible fixed assets |
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148,243 | 143,918 | 129,900 | 135,742 | 132,160 |
 | - Cost |
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179,646 | 174,788 | 156,898 | 165,215 | 163,064 |
 | - Accumulated depreciation |
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-31,403 | -30,870 | -26,998 | -29,473 | -30,904 |
 | III. Real Estate Investments |
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1,324,945 | 1,303,971 | 1,288,374 | 1,272,813 | 1,285,597 |
 | - Cost |
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1,521,200 | 1,515,803 | 1,515,803 | 1,515,803 | 1,543,834 |
 | - Accumulated depreciation |
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-196,255 | -211,832 | -227,429 | -242,990 | -258,237 |
 | IV. Long-term assets in progress |
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426,120 | 1,191,926 | 1,594,403 | 1,582,572 | 1,812,362 |
 | 1. Costs of long-term production, business in progress |
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 | 2. Costs of construction in progress |
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426,120 | 1,191,926 | 1,594,403 | 1,582,572 | 1,812,362 |
 | IV. Long-term financial investments |
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273,913 | 254,659 | 560,680 | 471,213 | 490,735 |
 | 1. Investment in subsidiaries |
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 | 2. Investments in associated companies, joint ventures |
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223,936 | 224,282 | 530,224 | 440,757 | 460,278 |
 | 3. Other investments in equity instruments |
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49,977 | 30,377 | 30,456 | 30,456 | 30,456 |
 | 4. Provision for diminution in value of financial long-term investments |
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 | 5. Investments holding until maturity |
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 | V. Total other long-term assets |
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911,959 | 916,158 | 647,844 | 979,385 | 992,822 |
 | 1. Long-term prepaid expenses |
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897,925 | 902,849 | 633,458 | 968,547 | 983,549 |
 | 2. Deferred income tax assets |
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14,034 | 13,310 | 14,386 | 10,839 | 9,273 |
 | 3. Other long-term assets |
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 | VI. Goodwills |
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43,206 | 156,431 | 148,576 | 140,722 | 132,868 |
 | TOTAL ASSETS |
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13,032,240 | 13,747,884 | 12,184,753 | 12,159,528 | 12,241,738 |
 | CAPITAL RESOURCES |
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 | A. LIABILITIES |
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6,955,710 | 7,512,721 | 6,147,473 | 6,314,821 | 6,223,855 |
 | I. Current liabilities |
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4,136,418 | 4,026,705 | 3,056,908 | 3,190,440 | 3,110,747 |
 | 1. Borrowings and short-term financial leased liabilities |
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2,801,596 | 2,463,850 | 2,043,921 | 1,857,119 | 1,837,584 |
 | 2. Long-term borrowings are due to pay |
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 | 3. Short-term payables to sellers |
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701,274 | 852,891 | 484,197 | 600,481 | 513,134 |
 | 4. Advances from customers |
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151,268 | 135,107 | 121,551 | 146,541 | 126,881 |
 | 5. Taxes and other payables to the State Budget |
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54,242 | 89,174 | 13,027 | 41,692 | 66,432 |
 | 6. Payables to employees |
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58,185 | 67,393 | 56,461 | 58,129 | 56,706 |
 | 7. Short-term accrued expenses |
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110,400 | 92,479 | 37,503 | 58,913 | 59,648 |
 | 8. Short-term intercompany payables |
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 | 9. Payables to the scheduled progress of construction contracts |
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 | 10. Short-term unrealized Revenue |
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117,633 | 111,467 | 97,185 | 120,472 | 115,502 |
 | 11. Other short-term payables |
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90,035 | 170,260 | 174,086 | 245,633 | 281,374 |
 | 12. Provision for short term payables |
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4,429 | 4,336 | | | |
 | 13. Bonus and welfare fund |
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47,355 | 39,747 | 28,976 | 61,460 | 53,485 |
 | 14. Price stabilization fund |
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 | 15. Repurchasing and reselling transactions in government bonds |
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 | II. Long-term liabilities |
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2,819,292 | 3,486,016 | 3,090,565 | 3,124,381 | 3,113,107 |
 | 1. Long-term payables to sellers |
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 | 2. Long-term accrued expenses |
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 | 3. Intercompany payables on business capital |
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 | 4. Long-term intra-company payables |
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 | 5. Other long-term payables |
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3,949 | 3,949 | 3,694 | 3,694 | 3,694 |
 | 6. Borrowings and long-term financial leased liabilities |
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779,984 | 1,430,626 | 1,351,918 | 1,049,115 | 1,030,800 |
 | 7. Convertible bonds |
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 | 8. Deferred income tax payables |
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14,619 | 11,930 | 11,925 | 14,086 | 14,037 |
 | 9. Provision for job loss allowance |
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 | 10. Provision for long-term payables |
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| | 4,578 | 4,953 | 4,273 |
 | 11. Long-term unrealized revenue |
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2,020,740 | 2,039,512 | 1,718,451 | 2,052,534 | 2,060,304 |
 | 12. Development fund of science and technology |
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 | B. OWNER'S EQUITY |
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6,076,529 | 6,235,162 | 6,037,280 | 5,844,707 | 6,017,883 |
 | I. ShareHolder's equity |
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6,076,529 | 6,235,162 | 6,037,280 | 5,844,707 | 6,017,883 |
 | 1. Owner's investment capital |
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3,822,745 | 3,822,745 | 3,822,745 | 3,822,745 | 3,937,427 |
 | 2. Share capital surplus |
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823,946 | 823,946 | 823,946 | 823,946 | 823,946 |
 | 3. Bond conversion option |
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 | 4. Other owner's capital |
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18,751 | 18,751 | 18,751 | 18,751 | 18,751 |
 | 5. Treasury shares |
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 | 6. Differences upon asset revaluation |
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 | 7. Differences upon foreign exchange rate |
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25,180 | 35,396 | 34,698 | 40,807 | 42,776 |
 | 8. Investment and development funds |
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80,482 | 80,482 | 80,482 | 80,482 | 80,482 |
 | 9. Financial reserve funds |
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 | 10. Other funds belonging to owner's equity |
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13,177 | 13,177 | 13,177 | 13,177 | 13,177 |
 | 11. After tax undistributed profit |
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269,845 | 529,234 | 594,090 | 453,286 | 471,372 |
 | - After tax undistributed profit accumulated to the end of prior period |
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77,978 | 514,679 | 535,295 | 369,520 | 253,988 |
 | - Profit after tax undistributed this period |
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191,866 | 14,556 | 58,795 | 83,766 | 217,384 |
 | 12. Investment capital resource for basic construction |
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 | 13. Assistance fund for arrangement of enterprises |
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 | 14. interest of shareholders who not control |
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1,022,403 | 911,430 | 649,390 | 591,512 | 629,952 |
 | II. Funding resources and other funds |
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 | 1. Funding resources |
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 | 2. Funding resources that form fixed assets |
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 | 3. Retrenchment provision fund |
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 | TOTAL CAPITAL RESOURCES |
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13,032,240 | 13,747,884 | 12,184,753 | 12,159,528 | 12,241,738 |
There is no report.
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