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Public company info - Fuyao Glass Industry Group Co. Ltd. - H Shares , 03606.HK

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Fuyao Glass Industry Group Co. Ltd. - H Shares, 03606.HK - Balance Sheet 2023-12 2022-12 2021-12 2020-12 2019-12 2018-12 2017-12 2016-12 2015-12 2014-12 2013-12 2012-12
Fixed Assets 21,965,227 19,709,782 18,581,781 18,742,860 19,789,802 18,165,544 15,973,155 14,442,836 11,873,958 9,697,238 8,195,304 7,664,698
Investments 272,592 327,607 298,145 264,749 199,805 205,737 95,520 101,537 46,449 161,045 130,016 104,268
Current Assets 33,536,371 29,677,907 24,683,102 18,559,638 17,774,363 15,581,140 15,006,493 14,951,022 12,517,813 6,630,293 6,012,375 5,065,436
Other Assets 866,273 1,062,830 1,233,057 868,085 1,074,547 550,820 642,197 384,334 403,412 402,361 345,446 325,957
Total Assets 56,640,463 50,778,126 44,796,085 38,435,332 38,838,517 34,503,241 31,717,365 29,879,729 24,841,632 16,890,937 14,683,141 13,160,359
Long Term Debt 8,920,232 3,483,982 2,845,401 3,694,296 1,764,282 1,246,875 2,509,605 1,573,531 848,000 1,212,558 917,529 880,171
Other Long Term Liabilities 1,196,054 934,847 926,607 1,007,170 907,020 648,861 510,394 542,331 461,055 409,648 323,377 128,453
Current Liabilities 15,102,798 17,360,371 14,718,781 12,131,252 14,785,897 12,404,831 9,678,752 9,711,439 7,102,850 6,450,765 5,580,640 5,160,186
Share Capital 2,609,744 2,609,744 2,609,744 2,508,618 2,508,618 2,508,618 2,508,618 2,508,618 2,508,618 2,002,986 2,002,986 2,002,986
Reserves 28,826,495 26,403,894 23,707,464 19,097,606 18,873,985 17,695,090 16,505,573 15,538,882 13,914,670 6,810,660 5,855,496 4,985,018
Equity 31,436,239 29,013,638 26,317,208 21,606,224 21,382,603 20,203,708 19,014,191 18,047,500 16,423,288 8,813,646 7,858,482 6,988,004
Currency Renminbi Renminbi Renminbi Renminbi Renminbi Renminbi Renminbi Renminbi Renminbi Renminbi Renminbi Renminbi
Unit
Major Items
Inventory 5,143,615 5,403,360 4,327,048 3,280,990 3,280,465 3,241,740 2,974,677 2,785,865 2,494,921 2,169,036 1,877,167 1,907,388
Cash On Hand 18,518,173 17,019,656 14,327,356 8,809,986 8,356,154 6,365,973 6,728,200 7,211,179 5,905,158 499,072 501,350 510,907
Short Term Debt 5,610,506 9,523,077 8,355,519 6,735,704 9,611,789 7,153,326 5,387,661 5,671,642 3,871,051 3,335,627 2,899,300 3,125,849
Total Debt 14,530,738 13,007,059 11,200,920 10,430,000 11,376,071 8,400,201 7,897,266 7,245,173 4,719,051 4,548,185 3,816,829 4,006,020
Auditor's Opinion 0 1 1 1 1 1 1 1 1 0 0 0

Notes:1–Unqualified; 2–Unqualified ( not qualified in respect of fundamental uncertainly because of proper disclosure); 3–Qualified

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