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Pangentukan Sino-Thai Engineering and Construction Public Company Limited

Laporan hasil keuangan perusahaan Sino-Thai Engineering and Construction Public Company Limited, Sino-Thai Engineering and Construction Public Company Limited taunan kanggo 2024. Nalika Panjenengan Sino-Thai Engineering and Construction Public Company Limited nerbitake laporan keuangan?
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Sino-Thai Engineering and Construction Public Company Limited jumlah pendapatan, penghasilan net lan dinamika owah-owahan ing Euro

Sino-Thai Engineering and Construction Public Company Limited penghasilan sajrone sawetara laporan kepungkur. Pendapatan net Sino-Thai Engineering and Construction Public Company Limited - 197 487 000 €. Informasi babagan penghasilan net digunakake saka sumber terbuka. Iki minangka indikator finansial utama Sino-Thai Engineering and Construction Public Company Limited. Grafik finansial Sino-Thai Engineering and Construction Public Company Limited nampilake status online: penghasilan net, penghasilan net, total aset. Laporan keuangan ing grafik Sino-Thai Engineering and Construction Public Company Limited ngidini sampeyan ndeleng dinamika aset tetep. Sino-Thai Engineering and Construction Public Company Limited net income dituduhake biru ing grafik kasebut.

Laporan Tanggal Total revenue
Total revenue diwiwiti kanthi ngalikan jumlah barang sing didol dening rega barang.
lan Owah-owahan (%)
Perbandingan laporan seprapat taun iki kanthi laporan kuartalan pungkasan taun.
Net income
Pendapatan netepake penghasilan perusahaan ngurangi biaya barang sing didol, biaya lan pajak kanggo periode pelaporan.
lan Owah-owahan (%)
Perbandingan laporan seprapat taun iki kanthi laporan kuartalan pungkasan taun.
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 € -
Tampilake:
Kanggo

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

Tanggal Sino-Thai Engineering and Construction Public Company Limited laporan keuangan: 31/03/2019, 31/12/2020, 31/03/2021. Tanggal lan tanggal pernyataan keuangan ditetepake dening hukum negara sing digunakake ing perusahaan kasebut. Laporan keuangan paling anyar saka Sino-Thai Engineering and Construction Public Company Limited kasedhiya online kanggo tanggal kaya ngono - 31/03/2021. Total revenue Sino-Thai Engineering and Construction Public Company Limited diwiwiti kanthi ngalikan jumlah barang sing didol dening rega barang. Total revenue Sino-Thai Engineering and Construction Public Company Limited punika 7 575 160 000 €

Tanggal laporan finansial Sino-Thai Engineering and Construction Public Company Limited

Pendapatan operasional Sino-Thai Engineering and Construction Public Company Limited minangka langkah akuntansi sing ngukur jumlah keuntungan sing ditampa saka operasi bisnis, sawise ngurangi biaya operasi, kayata upah, panyusutan lan biaya barang sing didol. Pendapatan operasional Sino-Thai Engineering and Construction Public Company Limited punika 229 198 000 € Aset saiki Sino-Thai Engineering and Construction Public Company Limited minangka item neraca sing nggambarake nilai kabeh aset sing bisa diowahi dadi awis ing setahun. Aset saiki Sino-Thai Engineering and Construction Public Company Limited punika 21 448 548 000 € Saiki awis Sino-Thai Engineering and Construction Public Company Limited iku jumlah kabeh awis sing dianakake dening perusahaan ing tanggal laporan kasebut. Saiki awis Sino-Thai Engineering and Construction Public Company Limited punika 5 045 586 000 €

Equity Sino-Thai Engineering and Construction Public Company Limited minangka jumlah kabeh aset pemilik sawise nyuda total utang saka total aset. Equity Sino-Thai Engineering and Construction Public Company Limited punika 14 824 084 000 €

31/03/2021 31/12/2020 30/09/2020 30/06/2020 31/12/2019 30/09/2019 30/06/2019 31/03/2019
MediaWiki kotor
MediaWiki punika keuntungan sing perusahaan ditampa sawise ngurangi biaya prodhuksi lan sade produk lan / utawa biaya nyedhiyakake layanan.
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 €
Rega biaya
Biaya punika total biaya produksi lan distribusi produk lan layanan perusahaan.
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 revenue
Total revenue diwiwiti kanthi ngalikan jumlah barang sing didol dening rega 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 €
Pendapatan operasional
Pendapatan operasional yaiku revenue saka bisnis inti perusahaan. Contone, pengecer ngasilake penghasilan liwat penjualan barang, lan dhokter ditampa income saka layanan medis sing dheweke menehi.
- - - - - - - -
Pendapatan operasional
Pendapatan operasional minangka langkah akuntansi sing ngukur jumlah keuntungan sing ditampa saka operasi bisnis, sawise ngurangi biaya operasi, kayata upah, panyusutan lan biaya barang sing didol.
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 €
Net income
Pendapatan netepake penghasilan perusahaan ngurangi biaya barang sing didol, biaya lan pajak kanggo periode pelaporan.
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 €
R & D expenses
Biaya riset lan pengembangan - biaya riset kanggo nambah produk lan prosedur sing ana utawa kanggo ngembangake produk lan prosedur anyar.
- - - - - - - -
Operasi expenses
Beban operasi iku expenses sing bisnis kalebu minangka asil saka operasi bisnis normal.
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 saiki
Aset saiki minangka item neraca sing nggambarake nilai kabeh aset sing bisa diowahi dadi awis ing setahun.
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
Jumlah total aset minangka awis awis saka total awis organisasi, cathetan utang, lan properti nyata.
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 €
Saiki awis
Saiki awis iku jumlah kabeh awis sing dianakake dening perusahaan ing tanggal laporan kasebut.
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 €
Utang saiki
Utang saiki minangka bagean saka utang sing dibayar ing taun (12 sasi) lan dituduhake minangka kewajiban saiki lan minangka bagean saka modal kerja net.
- - - - 29 240 136 884.61 € 28 313 834 993.84 € 30 521 533 814 € 30 949 477 189.92 €
Total awis
Total jumlah awis yaiku jumlah kabeh awis sing perusahaan duwe ing akun, kalebu awis lan dana cilik sing dianakake ing bank.
- - - - - - - -
Total utang
Total utang minangka kombinasi saka utang jangka panjang lan jangka panjang. Utang jangka pendek iku kudu dibayar sajrone setahun. Utang jangka panjang biasane nyakup kabeh kewajiban sing kudu dilunasi sawise setahun.
- - - - 32 101 709 330.47 € 30 894 159 599.28 € 32 824 925 851.76 € 32 804 438 474.48 €
Rasio utang
Total utang kanggo aset total minangka rasio financial sing nuduhake persentase aset perusahaan sing dituduhake minangka utang.
- - - - 70.23 % 70.47 % 73.80 % 74.50 %
Equity
Equity minangka jumlah kabeh aset pemilik sawise nyuda total utang saka 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 €
Arus kas
Arus kas punika jumlah net saka kas lan setara kas sing sirkulasi ing organisasi.
- - - - 305 937 461.53 € -1 640 455 026.16 € -227 659 199.20 € 1 772 293 751.20 €

Laporan keuangan paling anyar babagan pendapatan Sino-Thai Engineering and Construction Public Company Limited yaiku 31/03/2021. Miturut laporan paling anyar babagan asil finansial Sino-Thai Engineering and Construction Public Company Limited, total revenue Sino-Thai Engineering and Construction Public Company Limited ana 7 036 414 620.80 Euro lan diganti dadi +1% dibandhingake taun sadurunge. Keuntungan bersih Sino-Thai Engineering and Construction Public Company Limited pada kuartal terakhir 183 441 724.56 €, laba bersih berubah -42.473% dibanding tahun lalu.

Biaya saham Sino-Thai Engineering and Construction Public Company Limited

Keuangan Sino-Thai Engineering and Construction Public Company Limited