Bilans kwartalnie
dane w mln
index | 0 | 1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 | 9 | 10 | 11 | 12 | 13 | 14 | 15 | 16 | 17 | 18 | 19 | 20 | 21 | 22 | 23 | 24 | 25 | 26 | 27 | 28 | 29 | 30 | 31 | 32 | 33 | 34 | 35 | 36 | 37 | 38 | 39 |
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Rok finansowy | 2014 | 2014 | 2015 | 2015 | 2015 | 2015 | 2016 | 2016 | 2016 | 2016 | 2017 | 2017 | 2017 | 2017 | 2018 | 2018 | 2018 | 2018 | 2019 | 2019 | 2019 | 2019 | 2020 | 2020 | 2020 | 2020 | 2021 | 2021 | 2021 | 2021 | 2022 | 2022 | 2022 | 2022 | 2023 | 2023 | 2023 | 2023 | 2024 | 2024 |
Kwartał | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 |
Aktywa | 155 895.0 | 171 166.0 | 202 540.0 | 218 062.0 | 261 877.0 | 306 818.0 | 358 997.0 | 430 959.0 | 352 762.0 | 395 899.0 | 435 738.0 | 465 513.0 | 513 618.0 | 554 672.0 | 614 182.0 | 646 808.0 | 690 926.0 | 723 521.0 | 780 747.0 | 816 864.0 | 856 222.0 | 953 986.0 | 1 014 945.0 | 1 159 544.0 | 1 190 029.0 | 1 333 425.0 | 1 423 133.0 | 1 517 772.0 | 1 567 584.0 | 1 612 364.0 | 1 494 158.0 | 1 459 669.0 | 1 478 143.0 | 1 578 131.0 | 1 517 206.0 | 1 537 503.0 | 1 541 233.0 | 1 577 246.0 | 1 646 677.0 | 1 654 970.0 |
Aktywa trwałe | 86 443.0 | 95 845.0 | 104 351.0 | 116 882.0 | 132 507.0 | 151 440.0 | 161 830.0 | 183 018.0 | 232 547.0 | 246 745.0 | 266 488.0 | 297 679.0 | 332 008.0 | 376 226.0 | 426 380.0 | 464 957.0 | 491 454.0 | 506 441.0 | 549 666.0 | 573 587.0 | 596 257.0 | 700 018.0 | 734 147.0 | 818 111.0 | 870 714.0 | 1 015 778.0 | 1 092 677.0 | 1 186 487.0 | 1 189 863.0 | 1 127 552.0 | 1 081 280.0 | 1 046 350.0 | 1 063 721.0 | 1 012 142.0 | 1 043 027.0 | 1 047 094.0 | 1 035 232.0 | 1 046 259.0 | 1 082 972.0 | 1 133 329.0 |
Rzeczowe aktywa trwałe netto | 11 037.0 | 11 748.0 | 12 176.0 | 12 533.0 | 13 313.0 | 14 221.0 | 15 477.0 | 15 535.0 | 16 968.0 | 18 574.0 | 19 527.0 | 21 220.0 | 23 334.0 | 26 760.0 | 29 209.0 | 34 554.0 | 38 126.0 | 39 970.0 | 51 297.0 | 53 291.0 | 56 626.0 | 61 606.0 | 63 605.0 | 68 404.0 | 71 117.0 | 77 711.0 | 79 855.0 | 80 715.0 | 80 131.0 | 88 305.0 | 90 180.0 | 88 386.0 | 85 525.0 | 85 731.0 | 82 859.0 | 82 382.0 | 83 833.0 | 87 279.0 | 86 232.0 | 89 458.0 |
Wartość firmy | 0.0 | 6 356.0 | 0.0 | 0.0 | 0.0 | 7 155.0 | 0.0 | 0.0 | 0.0 | 22 927.0 | 0.0 | 0.0 | 0.0 | 23 608.0 | 0.0 | 0.0 | 0.0 | 32 605.0 | 0.0 | 0.0 | 0.0 | 93 456.0 | 0.0 | 0.0 | 0.0 | 108 623.0 | 0.0 | 0.0 | 0.0 | 112 173.0 | 0.0 | 0.0 | 0.0 | 116 731.0 | 0.0 | 0.0 | 0.0 | 126 220.0 | 0.0 | 0.0 |
Wartości niematerialne i prawne | 5 153.0 | 4 355.0 | 11 189.0 | 12 571.0 | 15 458.0 | 11 676.0 | 17 880.0 | 18 256.0 | 38 394.0 | 22 656.0 | 41 485.0 | 48 552.0 | 44 332.0 | 28 800.0 | 48 122.0 | 62 511.0 | 55 696.0 | 44 803.0 | 63 324.0 | 79 134.0 | 61 558.0 | 66 744.0 | 143 403.0 | 166 252.0 | 152 936.0 | 82 320.0 | 172 845.0 | 193 649.0 | 196 727.0 | 95 449.0 | 197 163.0 | 214 717.0 | 193 939.0 | 80 377.0 | 180 135.0 | 189 727.0 | 193 423.0 | 68 686.0 | 201 590.0 | 0.0 |
Wartość firmy i wartości niematerialne i prawne | 5 153.0 | 10 711.0 | 11 189.0 | 12 571.0 | 15 458.0 | 18 831.0 | 17 880.0 | 18 256.0 | 38 394.0 | 45 583.0 | 41 485.0 | 48 552.0 | 44 332.0 | 52 408.0 | 48 122.0 | 62 511.0 | 55 696.0 | 77 408.0 | 63 324.0 | 79 134.0 | 61 558.0 | 160 200.0 | 143 403.0 | 166 252.0 | 152 936.0 | 190 943.0 | 172 845.0 | 193 649.0 | 196 727.0 | 207 622.0 | 197 163.0 | 214 717.0 | 193 939.0 | 197 108.0 | 180 135.0 | 189 727.0 | 193 423.0 | 194 906.0 | 201 590.0 | 177 621.0 |
Należności netto | 4 293.0 | 17 893.0 | 5 195.0 | 5 536.0 | 6 821.0 | 70 585.0 | 7 148.0 | 8 810.0 | 9 507.0 | 21 641.0 | 12 900.0 | 28 707.0 | (22 194.0) | 29 324.0 | 20 627.0 | 38 075.0 | 25 736.0 | 42 756.0 | 29 471.0 | 48 419.0 | 32 069.0 | 52 738.0 | 42 869.0 | 61 767.0 | 41 696.0 | 67 797.0 | 51 676.0 | 89 258.0 | 53 837.0 | 92 940.0 | 52 774.0 | 92 897.0 | 44 837.0 | 101 079.0 | 49 284.0 | 50 750.0 | 50 532.0 | 96 445.0 | 52 412.0 | 52 250.0 |
Inwestycje długoterminowe | 46 375.0 | 56 614.0 | 61 024.0 | 67 829.0 | 70 222.0 | 73 953.0 | 78 069.0 | 91 921.0 | 90 049.0 | 115 545.0 | 117 549.0 | 148 382.0 | 178 112.0 | 240 234.0 | 299 618.0 | 321 179.0 | 327 459.0 | 295 611.0 | 329 827.0 | 350 881.0 | 373 840.0 | 378 412.0 | 397 556.0 | 446 971.0 | 486 138.0 | 609 217.0 | 678 467.0 | 760 483.0 | 732 305.0 | 671 243.0 | 632 725.0 | 587 630.0 | 586 044.0 | 511 308.0 | 498 576.0 | 483 041.0 | 483 057.0 | 723 343.0 | 736 814.0 | 783 759.0 |
Aktywa obrotowe | 69 452.0 | 75 321.0 | 98 189.0 | 101 180.0 | 129 370.0 | 155 378.0 | 197 167.0 | 247 941.0 | 120 215.0 | 149 154.0 | 169 250.0 | 167 834.0 | 181 610.0 | 178 446.0 | 187 802.0 | 181 851.0 | 199 472.0 | 217 080.0 | 231 081.0 | 243 277.0 | 259 965.0 | 253 968.0 | 280 798.0 | 341 433.0 | 319 315.0 | 317 647.0 | 330 456.0 | 331 285.0 | 377 721.0 | 484 812.0 | 412 878.0 | 413 319.0 | 414 422.0 | 565 989.0 | 474 179.0 | 490 409.0 | 506 001.0 | 530 987.0 | 563 705.0 | 521 641.0 |
Środki pieniężne i Inwestycje | 50 649.0 | 53 511.0 | 69 730.0 | 65 600.0 | 71 690.0 | 80 769.0 | 90 326.0 | 99 980.0 | 94 922.0 | 122 222.0 | 135 492.0 | 131 775.0 | 144 714.0 | 142 421.0 | 142 381.0 | 134 043.0 | 144 351.0 | 166 907.0 | 174 744.0 | 184 534.0 | 200 951.0 | 187 016.0 | 199 809.0 | 259 965.0 | 234 318.0 | 227 878.0 | 225 644.0 | 216 468.0 | 253 219.0 | 262 352.0 | 284 740.0 | 292 185.0 | 292 423.0 | 289 478.0 | 339 283.0 | 347 727.0 | 362 495.0 | 377 024.0 | 416 535.0 | 372 160.0 |
Zapasy | 154.0 | 244.0 | 279.0 | 238.0 | 240.0 | 222.0 | 226.0 | 216.0 | 231.0 | 263.0 | 263.0 | 297.0 | 312.0 | 295.0 | 285.0 | 306.0 | 456.0 | 324.0 | 300.0 | 312.0 | 412.0 | 718.0 | 601.0 | 988.0 | 1 164.0 | 814.0 | 816.0 | 1 020.0 | 2 735.0 | 1 063.0 | 2 712.0 | 2 939.0 | 2 933.0 | 2 333.0 | 2 015.0 | 2 155.0 | 1 676.0 | 456.0 | 1 055.0 | 4 387.0 |
Inwestycje krótkoterminowe | 17 195.0 | 10 798.0 | 14 147.0 | 17 329.0 | 24 976.0 | 37 331.0 | 33 719.0 | 35 774.0 | 42 505.0 | 50 320.0 | 66 631.0 | 61 474.0 | 57 371.0 | 36 724.0 | 25 309.0 | 29 420.0 | 38 957.0 | 69 093.0 | 65 052.0 | 61 696.0 | 55 344.0 | 54 025.0 | 64 539.0 | 86 247.0 | 81 827.0 | 75 080.0 | 77 023.0 | 74 747.0 | 82 346.0 | 94 386.0 | 95 914.0 | 107 527.0 | 132 246.0 | 132 739.0 | 185 955.0 | 208 080.0 | 216 019.0 | 200 886.0 | 252 078.0 | 215 241.0 |
Środki pieniężne i inne aktywa pieniężne | 33 454.0 | 42 713.0 | 55 583.0 | 48 271.0 | 46 714.0 | 43 438.0 | 56 607.0 | 64 206.0 | 52 417.0 | 71 902.0 | 68 861.0 | 70 301.0 | 87 343.0 | 105 697.0 | 117 072.0 | 104 623.0 | 105 394.0 | 97 814.0 | 109 692.0 | 122 838.0 | 145 607.0 | 132 991.0 | 135 270.0 | 173 718.0 | 152 491.0 | 152 798.0 | 148 621.0 | 141 721.0 | 170 873.0 | 167 966.0 | 188 826.0 | 184 658.0 | 160 177.0 | 156 739.0 | 153 328.0 | 139 647.0 | 146 476.0 | 176 138.0 | 164 457.0 | 156 919.0 |
Należności krótkoterminowe | 7 441.0 | 8 683.0 | 10 061.0 | 10 311.0 | 12 418.0 | 15 700.0 | 19 748.0 | 21 168.0 | 23 900.0 | 27 413.0 | 32 804.0 | 36 982.0 | 41 850.0 | 50 085.0 | 53 890.0 | 60 838.0 | 69 439.0 | 73 735.0 | 76 494.0 | 67 764.0 | 71 212.0 | 80 690.0 | 88 176.0 | 86 433.0 | 87 008.0 | 94 030.0 | 102 625.0 | 99 279.0 | 99 808.0 | 109 470.0 | 112 512.0 | 105 119.0 | 99 789.0 | 92 381.0 | 102 317.0 | 100 103.0 | 111 921.0 | 100 948.0 | 112 520.0 | 121 230.0 |
Dług krótkoterminowy | 4 553.0 | 5 049.0 | 5 375.0 | 6 114.0 | 6 711.0 | 15 903.0 | 16 242.0 | 17 362.0 | 19 893.0 | 15 744.0 | 19 470.0 | 14 838.0 | 20 733.0 | 20 448.0 | 18 836.0 | 42 168.0 | 39 712.0 | 40 554.0 | 53 151.0 | 38 836.0 | 35 781.0 | 36 508.0 | 20 918.0 | 18 575.0 | 17 571.0 | 18 064.0 | 16 709.0 | 18 699.0 | 30 591.0 | 24 449.0 | 37 098.0 | 36 621.0 | 26 547.0 | 28 380.0 | 32 048.0 | 66 206.0 | 66 222.0 | 61 852.0 | 74 611.0 | 64 871.0 |
Zobowiązania krótkoterminowe | 43 577.0 | 50 035.0 | 60 074.0 | 68 498.0 | 92 512.0 | 124 406.0 | 164 221.0 | 209 002.0 | 96 049.0 | 101 197.0 | 121 090.0 | 123 377.0 | 142 810.0 | 151 740.0 | 155 667.0 | 178 874.0 | 192 079.0 | 202 435.0 | 217 427.0 | 201 948.0 | 211 524.0 | 240 156.0 | 253 394.0 | 254 592.0 | 259 320.0 | 269 079.0 | 284 983.0 | 277 605.0 | 294 867.0 | 403 098.0 | 314 722.0 | 300 207.0 | 285 347.0 | 434 204.0 | 310 396.0 | 348 864.0 | 362 344.0 | 353 499.0 | 388 563.0 | 387 826.0 |
Rozliczenia międzyokresowe | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 54 072.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 98 610.0 | 97 096.0 | 92 724.0 | 88 495.0 | 96 925.0 | 89 888.0 | 84 678.0 | 83 032.0 | 97 145.0 | 94 055.0 | 88 814.0 | 86 837.0 | 106 088.0 | 106 944.0 |
Zobowiązania długoterminowe | 36 924.0 | 39 007.0 | 51 796.0 | 49 340.0 | 58 362.0 | 60 312.0 | 65 667.0 | 77 836.0 | 82 764.0 | 108 455.0 | 108 961.0 | 115 738.0 | 125 903.0 | 125 839.0 | 157 460.0 | 147 192.0 | 156 085.0 | 164 879.0 | 165 017.0 | 193 884.0 | 203 161.0 | 225 006.0 | 248 008.0 | 298 679.0 | 284 212.0 | 286 303.0 | 293 004.0 | 313 196.0 | 341 341.0 | 332 573.0 | 334 159.0 | 355 581.0 | 374 390.0 | 361 067.0 | 365 437.0 | 347 823.0 | 347 944.0 | 350 066.0 | 341 345.0 | 339 547.0 |
Rezerwy z tytułu odroczonego podatku | 2 176.0 | 2 942.0 | 2 739.0 | 3 017.0 | 3 232.0 | 3 668.0 | 3 518.0 | 3 920.0 | 4 406.0 | 5 153.0 | 5 515.0 | 5 171.0 | 5 647.0 | 5 975.0 | 8 808.0 | 9 097.0 | 9 881.0 | 10 964.0 | 11 520.0 | 10 547.0 | 9 461.0 | 12 841.0 | 13 512.0 | 13 434.0 | 14 488.0 | 16 061.0 | 16 523.0 | 15 228.0 | 15 861.0 | 13 142.0 | 12 524.0 | 11 401.0 | 13 895.0 | 12 162.0 | 13 927.0 | 14 369.0 | 16 524.0 | 16 293.0 | 16 762.0 | 14 223.0 |
Zobowiązania długoterminowe | 36 924.0 | 39 007.0 | 51 796.0 | 49 340.0 | 58 362.0 | 60 312.0 | 65 667.0 | 77 836.0 | 82 764.0 | 108 455.0 | 108 961.0 | 115 738.0 | 125 903.0 | 125 839.0 | 157 460.0 | 147 192.0 | 156 085.0 | 164 879.0 | 165 017.0 | 193 884.0 | 203 161.0 | 225 006.0 | 248 008.0 | 298 679.0 | 284 212.0 | 286 303.0 | 293 004.0 | 313 196.0 | 341 341.0 | 332 573.0 | 334 159.0 | 355 581.0 | 374 390.0 | 361 067.0 | 365 437.0 | 347 823.0 | 347 944.0 | 350 066.0 | 341 345.0 | 339 547.0 |
Zobowiązania z tytułu leasingu | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 10 485.0 | 11 440.0 | 11 523.0 | 11 707.0 | 11 657.0 | 11 617.0 | 11 559.0 | 14 020.0 | 14 036.0 | 14 975.0 | 16 165.0 | 21 947.0 | 23 908.0 | 24 458.0 | 24 289.0 | 24 778.0 | 23 053.0 | 23 462.0 | 21 909.0 | 16 468.0 | 15 238.0 | 14 979.0 |
Zobowiązania ogółem | 80 501.0 | 89 042.0 | 111 870.0 | 117 838.0 | 150 874.0 | 184 718.0 | 229 888.0 | 286 838.0 | 178 813.0 | 209 652.0 | 230 051.0 | 239 115.0 | 268 713.0 | 277 579.0 | 313 127.0 | 326 066.0 | 348 164.0 | 367 314.0 | 382 444.0 | 395 832.0 | 414 685.0 | 465 162.0 | 501 402.0 | 553 271.0 | 543 532.0 | 555 382.0 | 577 987.0 | 590 801.0 | 636 208.0 | 735 671.0 | 648 881.0 | 655 788.0 | 659 737.0 | 795 271.0 | 675 833.0 | 696 687.0 | 710 288.0 | 703 565.0 | 729 908.0 | 727 373.0 |
Kapitał (fundusz) podstawowy | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 |
Zyski zatrzymane | 68 413.0 | 74 062.0 | 80 940.0 | 85 614.0 | 93 059.0 | 100 012.0 | 109 185.0 | 116 192.0 | 126 855.0 | 136 743.0 | 151 219.0 | 164 398.0 | 182 401.0 | 202 682.0 | 242 150.0 | 256 551.0 | 285 952.0 | 299 660.0 | 326 859.0 | 342 687.0 | 363 147.0 | 384 651.0 | 413 881.0 | 436 611.0 | 475 887.0 | 538 464.0 | 590 219.0 | 620 202.0 | 675 732.0 | 669 911.0 | 702 856.0 | 708 525.0 | 749 345.0 | 705 981.0 | 744 212.0 | 751 256.0 | 787 468.0 | 836 255.0 | 857 015.0 | 842 048.0 |
Kapitał własny | 75 394.0 | 82 124.0 | 90 670.0 | 100 224.0 | 111 003.0 | 122 100.0 | 129 109.0 | 144 121.0 | 173 949.0 | 186 247.0 | 205 687.0 | 226 398.0 | 244 905.0 | 277 093.0 | 301 055.0 | 320 742.0 | 342 762.0 | 356 207.0 | 398 303.0 | 421 032.0 | 441 537.0 | 488 824.0 | 513 543.0 | 606 273.0 | 646 497.0 | 778 043.0 | 845 146.0 | 926 971.0 | 931 376.0 | 876 693.0 | 845 277.0 | 803 881.0 | 818 406.0 | 782 860.0 | 841 373.0 | 840 816.0 | 830 945.0 | 873 681.0 | 916 769.0 | 927 597.0 |
Udziały mniejszościowe | 608.0 | 2 111.0 | 2 424.0 | 2 622.0 | 2 715.0 | 2 065.0 | 2 243.0 | 2 851.0 | 10 151.0 | 11 623.0 | 11 384.0 | 11 724.0 | 11 871.0 | 21 019.0 | 23 512.0 | 25 956.0 | 28 381.0 | 32 697.0 | 34 341.0 | 34 576.0 | 37 555.0 | 56 118.0 | 55 719.0 | 70 864.0 | 69 394.0 | 74 059.0 | 83 334.0 | 80 764.0 | 74 840.0 | 70 394.0 | 67 418.0 | 67 387.0 | 62 486.0 | 61 469.0 | 62 890.0 | 62 520.0 | 62 431.0 | 65 090.0 | 68 182.0 | 66 916.0 |
Pasywa | 155 895.0 | 171 166.0 | 202 540.0 | 218 062.0 | 261 877.0 | 306 818.0 | 358 997.0 | 430 959.0 | 352 762.0 | 395 899.0 | 435 738.0 | 465 513.0 | 513 618.0 | 554 672.0 | 614 182.0 | 646 808.0 | 690 926.0 | 723 521.0 | 780 747.0 | 816 864.0 | 856 222.0 | 953 986.0 | 1 014 945.0 | 1 159 544.0 | 1 190 029.0 | 1 333 425.0 | 1 423 133.0 | 1 517 772.0 | 1 567 584.0 | 1 612 364.0 | 1 494 158.0 | 1 459 669.0 | 1 478 143.0 | 1 578 131.0 | 1 517 206.0 | 1 537 503.0 | 1 541 233.0 | 1 577 246.0 | 1 646 677.0 | 1 654 970.0 |
Inwestycje | 63 570.0 | 67 412.0 | 75 171.0 | 85 158.0 | 95 198.0 | 111 284.0 | 111 788.0 | 127 695.0 | 132 554.0 | 164 105.0 | 182 367.0 | 205 823.0 | 229 817.0 | 271 799.0 | 322 809.0 | 348 031.0 | 363 493.0 | 363 011.0 | 393 781.0 | 412 390.0 | 429 068.0 | 432 437.0 | 462 095.0 | 533 218.0 | 567 965.0 | 684 293.0 | 754 980.0 | 834 845.0 | 814 102.0 | 765 629.0 | 728 639.0 | 695 157.0 | 718 290.0 | 644 047.0 | 684 531.0 | 691 121.0 | 699 076.0 | 924 229.0 | 988 892.0 | 999 000.0 |
Dług | 34 297.0 | 35 584.0 | 48 532.0 | 47 556.0 | 54 125.0 | 65 917.0 | 71 930.0 | 84 977.0 | 91 968.0 | 109 497.0 | 114 284.0 | 116 592.0 | 131 935.0 | 131 905.0 | 157 059.0 | 169 477.0 | 173 700.0 | 179 289.0 | 194 757.0 | 211 632.0 | 218 802.0 | 232 520.0 | 237 957.0 | 285 491.0 | 271 088.0 | 262 464.0 | 267 273.0 | 291 149.0 | 331 793.0 | 323 476.0 | 339 011.0 | 360 802.0 | 367 173.0 | 359 141.0 | 362 086.0 | 377 577.0 | 372 929.0 | 371 240.0 | 374 008.0 | 364 371.0 |
Środki pieniężne i inne aktywa pieniężne | 33 454.0 | 42 713.0 | 55 583.0 | 48 271.0 | 46 714.0 | 43 438.0 | 56 607.0 | 64 206.0 | 52 417.0 | 71 902.0 | 68 861.0 | 70 301.0 | 87 343.0 | 105 697.0 | 117 072.0 | 104 623.0 | 105 394.0 | 97 814.0 | 109 692.0 | 122 838.0 | 145 607.0 | 132 991.0 | 135 270.0 | 173 718.0 | 152 491.0 | 152 798.0 | 148 621.0 | 141 721.0 | 170 873.0 | 167 966.0 | 188 826.0 | 184 658.0 | 160 177.0 | 156 739.0 | 153 328.0 | 139 647.0 | 146 476.0 | 176 138.0 | 164 457.0 | 156 919.0 |
Dług netto | 843.0 | (7 129.0) | (7 051.0) | (715.0) | 7 411.0 | 22 479.0 | 15 323.0 | 20 771.0 | 39 551.0 | 37 595.0 | 45 423.0 | 46 291.0 | 44 592.0 | 26 208.0 | 39 987.0 | 64 854.0 | 68 306.0 | 81 475.0 | 85 065.0 | 88 794.0 | 73 195.0 | 99 529.0 | 102 687.0 | 111 773.0 | 118 597.0 | 109 666.0 | 118 652.0 | 149 428.0 | 160 920.0 | 155 510.0 | 150 185.0 | 176 144.0 | 206 996.0 | 202 402.0 | 208 758.0 | 237 930.0 | 226 453.0 | 195 102.0 | 209 551.0 | 207 452.0 |
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