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Revenues Sino-Thai Engineering and Construction Public Company Limited

Laporan on hasil finansial Company Sino-Thai Engineering and Construction Public Company Limited, Sino-Thai Engineering and Construction Public Company Limited panghasilan taunan pikeun 2024. Lamun Sino-Thai Engineering and Construction Public Company Limited publishes laporan keuangan na?
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Sino-Thai Engineering and Construction Public Company Limited jumlah pendapatan, panghasilan bersih sareng dinamika tina parobahan dina Euro

Hasil net Sino-Thai Engineering and Construction Public Company Limited ayeuna 7 575 160 000 €. Inpormasi ngeunaan pendapatan bersih dicandak tina sumber kabuka. Pendapatan bersih tina Sino-Thai Engineering and Construction Public Company Limited dinten ayeuna berjumlah 197 487 000 €. Pendapatan bersih, hasil sareng dinamika - indikator kauangan utama tina Sino-Thai Engineering and Construction Public Company Limited. Grafik laporan kauangan tina Sino-Thai Engineering and Construction Public Company Limited. Inpormasi dina Sino-Thai Engineering and Construction Public Company Limited panghasilan bersih dina bagan di halaman ieu ditarik dina bar biru. Nilai sadayana Sino-Thai Engineering and Construction Public Company Limited aset dina grafik anu dipidangkeun dina héjo.

laporan Tanggal total kuitansi
Total pendapatan diitung ku cara ngalikeun kuantitas barang dijual di harga barang.
jeung Ngarobah (%)
A ngabandingkeun tina laporan quarterly taun ieu, kalawan laporan quarterly taun ka tukang.
panghasilan net
panghasilan net - hiji bisnis panghasilan kirang biaya barang dijual, expenses jeung pajeg pikeun periode.
jeung Ngarobah (%)
A ngabandingkeun tina laporan quarterly taun ieu, kalawan laporan quarterly taun ka tukang.
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 € - 557 632 592.76 € -
30/09/2019 8 394 102 784 € - 252 795 620.88 € -
30/06/2019 6 777 561 773.44 € - 248 812 583.44 € -
31/03/2019 6 967 009 636.08 € - 318 878 930.72 € -
Tembongkeun:
Ka

Laporan keuangan Sino-Thai Engineering and Construction Public Company Limited, jadwal

Tanggal tina Sino-Thai Engineering and Construction Public Company Limited laporan kauangan: 31/03/2019, 31/12/2020, 31/03/2021. Tanggal pernyataan keuangan ditangtukeun ku aturan akuntansi. Tanggal laporan keuangan ayeuna tina Sino-Thai Engineering and Construction Public Company Limited pikeun dinten ayeuna nyaéta 31/03/2021. kauntungan kotor Sino-Thai Engineering and Construction Public Company Limited - untung nu parusahaan nu narima sanggeus deducting biaya produksi jeung diobral produk na jeung / atawa waragad nyadiakeun jasa na. kauntungan kotor Sino-Thai Engineering and Construction Public Company Limited nyaeta 411 408 000 €

Tanggal tina pernyataan finansial Sino-Thai Engineering and Construction Public Company Limited

panghasilan operasi Sino-Thai Engineering and Construction Public Company Limited - a indikator kasaimbangan, nu ukuran jumlah kauntungan nampi ti operasi bisnis, sanggeus deducting expenses operasi, kayaning lacur, amortization tur biaya barang dijual. panghasilan operasi Sino-Thai Engineering and Construction Public Company Limited nyaeta 229 198 000 € panghasilan net Sino-Thai Engineering and Construction Public Company Limited - hiji bisnis panghasilan kirang biaya barang dijual, expenses jeung pajeg pikeun periode. panghasilan net Sino-Thai Engineering and Construction Public Company Limited nyaeta 197 487 000 € aset ayeuna Sino-Thai Engineering and Construction Public Company Limited - a item neraca, anu ngagambarkeun nilai sadaya aset nu bisa dirobah jadi tunai dina sataun. aset ayeuna Sino-Thai Engineering and Construction Public Company Limited nyaeta 21 448 548 000 €

dana ayeuna Sino-Thai Engineering and Construction Public Company Limited - sakur tunai sadia pikeun Company éta dina tanggal laporan. dana ayeuna Sino-Thai Engineering and Construction Public Company Limited nyaeta 5 045 586 000 €

31/03/2021 31/12/2020 30/09/2020 30/06/2020 31/12/2019 30/09/2019 30/06/2019 31/03/2019
kauntungan kotor
kauntungan kotor - untung nu parusahaan nu narima sanggeus deducting biaya produksi jeung diobral produk na jeung / atawa waragad nyadiakeun jasa na.
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 €
harga
Harga ongkos - nyaeta biaya total produksi jeung distribusi produk jeung jasa pausahaan.
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 €
total kuitansi
Total pendapatan diitung ku cara ngalikeun kuantitas barang dijual di harga barang.
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 €
sharing operasi
sharing operasi - nyaeta bagi hasil tina bisnis inti. Contona, pangecér nu dibangkitkeun sharing ngaliwatan diobral barang, sarta dokter narima panghasilan tina jasa médis nu anjeunna / manehna nyadiakeun.
- - - - - - - -
panghasilan operasi
panghasilan operasi - a indikator kasaimbangan, nu ukuran jumlah kauntungan nampi ti operasi bisnis, sanggeus deducting expenses operasi, kayaning lacur, amortization tur biaya barang dijual.
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 €
panghasilan net
panghasilan net - hiji bisnis panghasilan kirang biaya barang dijual, expenses jeung pajeg pikeun periode.
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 €
expenses R & D
Pengeluaran dina panalungtikan sarta pamekaran - biaya panalungtikan pikeun ngaronjatkeun produk sarta prosedur aya atawa ngembangkeun produk sarta prosedur nu anyar.
- - - - - - - -
expenses operasi
Operasi waragad - eta waragad nu usaha tega salaku hasil tina operasi bisnis normal maranéhanana.
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 €
aset ayeuna
aset ayeuna - a item neraca, anu ngagambarkeun nilai sadaya aset nu bisa dirobah jadi tunai dina sataun.
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 €
total aset
Total aset - tunai sarimbag nyaeta sakur dana organisasi, debentures, kitu ogé harta tangible.
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 €
dana ayeuna
dana ayeuna - sakur tunai sadia pikeun Company éta dina tanggal laporan.
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 €
hutang ayeuna
hutang ayeuna - éta bagian tina hutang payable dina sataun (12 bulan), sarta geus ditémbongkeun salaku liability arus jeung nyangkokkeun sabagian ibukota kerja net.
- - - - 29 240 136 884.61 € 28 313 834 993.84 € 30 521 533 814 € 30 949 477 189.92 €
total dana
The total jumlah duit - jumlah tunai anu parusahaan boga di rekening na, kaasup tunai leutik jeung dana diayakeun di bank.
- - - - - - - -
total hutang
Total hutang téh kombinasi hutang jangka panjang duanana pondok tur. hutang jangka pondok - jalma anu kudu balik salila sataun. hutang jangka panjang, sabab aturan, ngawengku sagala kawajiban nu kudu repaid sanggeus sataun.
- - - - 32 101 709 330.47 € 30 894 159 599.28 € 32 824 925 851.76 € 32 804 438 474.48 €
ratio hutang
The total hutang ka total aset - nyaeta nisbah keuangan anu nunjukkeun persentase aset parusahaan, dibere dina bentuk hutang.
- - - - 70.23 % 70.47 % 73.80 % 74.50 %
equity
Equity - sakur nu boga aset sanggeus subtracting total Liabilities tina total aset.
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 €
aliran tunai
aliran Cash - ieu jumlah net kas sarta duit tunai equivalents, sirkulasi dina organisasi.
- - - - 305 937 461.53 € -1 640 455 026.16 € -227 659 199.20 € 1 772 293 751.20 €

Pernyataan finansial panungtungan panghasilan Sino-Thai Engineering and Construction Public Company Limited éta 31/03/2021. Numutkeun laporan panganyarna dina hasil finansial Sino-Thai Engineering and Construction Public Company Limited, total pendapatan Sino-Thai Engineering and Construction Public Company Limited ieu robah jadi 7 036 414 620.80 Euro sarta +1% dibandingkeun jeung taun saméméhna. kauntungan net Sino-Thai Engineering and Construction Public Company Limited dina kuartal ahir 183 441 724.56 € amounted mun, panghasilan net geus robah ku -42.473% dibandingkeun jeung taun saméméhna.

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