Sino-Thai Engineering and Construction Public Company Limited daromadi
Sino-Thai Engineering and Construction Public Company Limited, Sino-Thai Engineering and Construction Public Company Limited kompaniyasining moliyaviy natijalari to'g'risida hisobot 2024 yil uchun. Sino-Thai Engineering and Construction Public Company Limited moliyaviy hisobotlarni qachon e'lon qiladi?
Bugungi kunda Sino-Thai Engineering and Construction Public Company Limited umumiy daromad, sof daromad va o'zgarishlarning dinamikasi Evro.
So'nggi davrda Sino-Thai Engineering and Construction Public Company Limited sof daromad dinamikasi -1 318 357 418 € ga o'zgargan. So'nggi yillarda Sino-Thai Engineering and Construction Public Company Limited ning sof daromadlari dinamikasi -270 856 635 € ga o'zgargan. Sino-Thai Engineering and Construction Public Company Limited ning asosiy moliyaviy ko'rsatkichlari. Sino-Thai Engineering and Construction Public Company Limited ning moliyaviy jadvali kompaniyaning asosiy moliyaviy ko'rsatkichlarining uchta jadvalidan iborat: aktivlar, sof foyda, sof foyda. Grafikadagi Sino-Thai Engineering and Construction Public Company Limited umumiy daromad sariq rangda ko'rsatilgan. Onlayn jadvalda Sino-Thai Engineering and Construction Public Company Limited aktivlarining qiymati yashil chiziqlar bilan ko'rsatiladi.
Hisobot sanasi
Umumiy daromad
Jami daromad tovarlar narxiga sotiladigan tovarlar sonini ko'paytirish hisobiga hisoblanadi.
va
O'zgarish (%)
Joriy yilning har choraklik hisobotini o'tgan yilning choragi hisoboti bilan taqqoslash.
Aniq daromad
Aniq daromad - korxonaning sotilgan tovarlar, xarajatlar va hisobot davridagi soliqlar bo'yicha daromadlari.
va
O'zgarish (%)
Joriy yilning har choraklik hisobotini o'tgan yilning choragi hisoboti bilan taqqoslash.
31/03/2021
7 036 414 620.80 €
+1 % ↑
183 441 724.56 €
-42.473 % ↓
31/12/2020
8 261 010 459.23 €
-2.889 % ↓
435 035 035.68 €
-21.985 % ↓
30/09/2020
8 006 035 297.60 €
-4.623 % ↓
217 831 648.80 €
-13.831 % ↓
30/06/2020
8 382 264 208.40 €
+23.68 % ↑
168 013 027.76 €
-32.474 % ↓
31/12/2019
8 506 770 531.21 €
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557 632 592.76 €
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30/09/2019
8 394 102 784 €
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252 795 620.88 €
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30/06/2019
6 777 561 773.44 €
-
248 812 583.44 €
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31/03/2019
6 967 009 636.08 €
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318 878 930.72 €
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Ko'rsatish:
Uchun
Sino-Thai Engineering and Construction Public Company Limited moliyaviy hisoboti
Sino-Thai Engineering and Construction Public Company Limited moliyaviy hisobotlarining so'nggi sanalari Internetda mavjud: 31/03/2019, 31/12/2020, 31/03/2021. Moliyaviy hisobotlarning sanasi buxgalteriya qoidalari bilan belgilanadi. Sino-Thai Engineering and Construction Public Company Limited moliyaviy hisobotining hozirgi sanasi - 31/03/2021. Aniq daromad Sino-Thai Engineering and Construction Public Company Limited - korxonaning sotilgan tovarlar, xarajatlar va hisobot davridagi soliqlar bo'yicha daromadlari. Aniq daromad Sino-Thai Engineering and Construction Public Company Limited bo'ladi 197 487 000 €
Sino-Thai Engineering and Construction Public Company Limited moliyaviy hisobotlar tarixi
31/03/2021
31/12/2020
30/09/2020
30/06/2020
31/12/2019
30/09/2019
30/06/2019
31/03/2019
Yalpi daromad
Brüt foyda, kompaniyaning mahsulotlarini ishlab chiqarish va sotish xarajatlarini va / yoki xizmatlarini taqdim etish xarajatlarini hisobga olgan holda olingan daromad hisoblanadi.
382 148 663.04 €
420 361 492.31 €
408 996 081.68 €
290 500 717.84 €
384 317 421.35 €
453 029 638.08 €
348 465 616.48 €
508 453 121.04 €
Narxlar narxi
Narx - kompaniyaning mahsulot va xizmatlarini ishlab chiqarish va tarqatishning umumiy qiymati.
6 654 265 957.76 €
7 840 648 966.92 €
7 597 039 215.92 €
8 091 763 490.56 €
8 122 453 109.85 €
7 941 073 145.92 €
6 429 096 156.96 €
6 458 556 515.04 €
Umumiy daromad
Jami daromad tovarlar narxiga sotiladigan tovarlar sonini ko'paytirish hisobiga hisoblanadi.
7 036 414 620.80 €
8 261 010 459.23 €
8 006 035 297.60 €
8 382 264 208.40 €
8 506 770 531.21 €
8 394 102 784 €
6 777 561 773.44 €
6 967 009 636.08 €
Operatsion daromad
Operatsion daromad - kompaniyaning asosiy faoliyatidan olingan daromaddir. Misol uchun, chakana sotish orqali daromad keltiradi va shifokor taqdim etgan tibbiy xizmatlardan daromad oladi.
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Faoliyat daromadi
Operatsion daromad - bu operatsiya xarajatlaridan, masalan, ish haqi, amortizatsiya va sotilgan tovarlar narxini hisobga olgan holda, korxonaning operatsiyalaridan olingan daromad miqdorini o'lchaydigan hisob-kitob vositasi.
212 897 438.24 €
286 994 636.13 €
256 161 882 €
90 984 724.88 €
293 458 020.03 €
341 983 891.84 €
211 310 911.20 €
372 831 067.76 €
Aniq daromad
Aniq daromad - korxonaning sotilgan tovarlar, xarajatlar va hisobot davridagi soliqlar bo'yicha daromadlari.
183 441 724.56 €
435 035 035.68 €
217 831 648.80 €
168 013 027.76 €
557 632 592.76 €
252 795 620.88 €
248 812 583.44 €
318 878 930.72 €
ARGE xarajatlari
Tadqiqot va rivojlantirish xarajatlari - mavjud mahsulot va vositalarni takomillashtirish yoki yangi mahsulotlar va vositalarni ishlab chiqish uchun tadqiqot xarajatlari.
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Operatsion xarajatlar
Operatsion harajatlar - bu biznesning odatiy operatsiyalari natijasida yuzaga keladigan xarajatlar.
6 823 517 182.56 €
7 974 015 823.10 €
7 749 873 415.60 €
8 291 279 483.52 €
8 213 312 511.17 €
8 052 118 892.16 €
6 566 250 862.24 €
6 594 178 568.32 €
Mavjud aktivlar
Qisqa muddatli aktivlar - bir yil ichida naqd pulga aylanishi mumkin bo'lgan barcha aktivlarning qiymatini aks ettiruvchi balans maqomi.
19 923 127 266.24 €
19 595 011 505.43 €
17 383 892 596.48 €
18 680 098 192.48 €
21 502 906 324.65 €
24 207 952 244.96 €
26 283 051 587.36 €
27 305 746 609.60 €
Jami aktivlar
Aktivlarning umumiy miqdori tashkilotning umumiy pul mablag'lari, qarz qarzlari va moddiy zaxiralarning pul ekvivalentidir.
41 221 199 428.32 €
40 901 627 323.69 €
42 699 437 637.92 €
44 190 319 762.08 €
45 707 764 866.96 €
43 838 072 675.12 €
44 478 316 219.44 €
44 034 782 521.60 €
Joriy pul
Hozirgi pul - hisobot davrida kompaniyaning barcha mablag'lari summasi.
4 686 743 923.68 €
3 266 233 906.23 €
3 611 734 379.84 €
3 776 248 316.64 €
4 993 142 285.25 €
6 297 393 977.28 €
8 084 960 373.44 €
8 582 476 861.36 €
Hozirgi qarz
Mavjud qarz, yil davomida (12 oy) to'lanadigan qarzning bir qismidir va joriy majburiyat va aniq ishchi kapitalning bir qismi sifatida ko'rsatilgan.
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29 240 136 884.61 €
28 313 834 993.84 €
30 521 533 814 €
30 949 477 189.92 €
Jami pul
Naqd pulning umumiy miqdori - kompaniyaning o'z hisobvaraqlarida bo'lgan naqd pul summasi, shu jumladan kichik pul va bankda saqlanadigan mablag'lar.
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Jami qarz
Jami qarz qisqa muddatli va uzoq muddatli qarzlarning birlashmasidan iborat. Qisqa muddatli qarzlar - bir yil ichida to'lanishi kerak bo'lgan qarzlardir. Uzoq muddatli qarz odatda bir yildan so'ng to'lanishi kerak bo'lgan barcha majburiyatlarni o'z ichiga oladi.
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32 101 709 330.47 €
30 894 159 599.28 €
32 824 925 851.76 €
32 804 438 474.48 €
Qarz nisbati
Umumiy qarzlarning umumiy qarzi qarz sifatida ko'rsatilgan aktivlarning ulushini ko'rsatadigan moliyaviy nisbatdir.
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70.23 %
70.47 %
73.80 %
74.50 %
Haqiqat
Haqiqiylik jami aktivlardan jami majburiyatni tushirgandan so'ng egasining barcha aktivlarining summasi hisoblanadi.
13 769 795 145.92 €
13 406 396 927.01 €
12 315 474 667.44 €
13 113 336 143.44 €
13 354 781 221.34 €
12 696 056 309.92 €
11 408 009 995.84 €
10 987 262 653.28 €
Pul oqimi
Naqd pul oqimi, tashkilotda aylanma mablag 'va pul ekvivalentlarining aniq qiymati hisoblanadi.
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305 937 461.53 €
-1 640 455 026.16 €
-227 659 199.20 €
1 772 293 751.20 €
Sino-Thai Engineering and Construction Public Company Limited daromadining oxirgi moliyaviy hisoboti 31/03/2021. Sino-Thai Engineering and Construction Public Company Limited moliyaviy natijalari bo'yicha so'nggi hisobotga ko'ra, Sino-Thai Engineering and Construction Public Company Limited umumiy daromadi o'tgan yilga nisbatan 7 036 414 620.80 Evro taga etdi va +1% o'zgartirildi. So'nggi chorakdagi Sino-Thai Engineering and Construction Public Company Limited sof foydasi 183 441 724.56 € dollarni tashkil etgan bo'lsa, sof foyda o'tgan yilga nisbatan -42.473% marta o'zgargan.
Sino-Thai Engineering and Construction Public Company Limited aksiyalarining qiymati
Sino-Thai Engineering and Construction Public Company Limited aksiyalarining qiymati
Sino-Thai Engineering and Construction Public Company Limited aktsiyalari bugungi kunga kelib, NYVK.F aktsiyasining narxi hozirda.
Sino-Thai Engineering and Construction Public Company Limited daromadi
Sino-Thai Engineering and Construction Public Company Limited, Sino-Thai Engineering and Construction Public Company Limited kompaniyasining moliyaviy natijalari to'g'risida hisobot 2024 yil uchun.