Hefei Meyer Optoelectronic Technology Inc
SZSE:002690
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Balance Sheet
Balance Sheet Decomposition
Hefei Meyer Optoelectronic Technology Inc
Current Assets | 2.3B |
Cash & Short-Term Investments | 1.2B |
Receivables | 600.6m |
Other Current Assets | 499.8m |
Non-Current Assets | 713.1m |
Long-Term Investments | 164.4m |
PP&E | 474m |
Intangibles | 56.6m |
Other Non-Current Assets | 18.1m |
Current Liabilities | 552.2m |
Accounts Payable | 272.5m |
Accrued Liabilities | 26.8m |
Short-Term Debt | 92.6m |
Other Current Liabilities | 160.3m |
Non-Current Liabilities | 46.9m |
Other Non-Current Liabilities | 46.9m |
Balance Sheet
Hefei Meyer Optoelectronic Technology Inc
Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | ||
---|---|---|---|---|---|---|---|---|---|---|---|
Assets | |||||||||||
Cash & Cash Equivalents |
451
|
432
|
524
|
771
|
344
|
588
|
665
|
1 049
|
1 411
|
1 386
|
|
Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1 049
|
1 411
|
1 386
|
|
Cash Equivalents |
451
|
432
|
524
|
771
|
344
|
588
|
665
|
0
|
0
|
0
|
|
Short-Term Investments |
923
|
1 054
|
1 104
|
1 352
|
1 624
|
1 370
|
740
|
701
|
140
|
201
|
|
Total Receivables |
141
|
298
|
226
|
201
|
235
|
236
|
261
|
235
|
410
|
642
|
|
Accounts Receivables |
131
|
294
|
208
|
197
|
216
|
228
|
239
|
197
|
354
|
568
|
|
Other Receivables |
10
|
4
|
18
|
4
|
19
|
9
|
22
|
38
|
56
|
74
|
|
Inventory |
89
|
110
|
155
|
102
|
127
|
146
|
268
|
353
|
473
|
413
|
|
Other Current Assets |
3
|
5
|
2
|
4
|
33
|
17
|
49
|
38
|
53
|
38
|
|
Total Current Assets |
1 608
|
1 898
|
2 010
|
2 430
|
2 362
|
2 357
|
1 983
|
2 376
|
2 488
|
2 680
|
|
PP&E Net |
233
|
231
|
231
|
222
|
235
|
294
|
395
|
465
|
492
|
482
|
|
PP&E Gross |
233
|
231
|
231
|
222
|
235
|
294
|
395
|
465
|
492
|
482
|
|
Accumulated Depreciation |
52
|
67
|
75
|
86
|
99
|
112
|
127
|
140
|
150
|
181
|
|
Intangible Assets |
32
|
32
|
31
|
31
|
52
|
58
|
56
|
57
|
58
|
57
|
|
Goodwill |
1
|
1
|
1
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Long-Term Investments |
0
|
0
|
50
|
50
|
50
|
50
|
415
|
342
|
262
|
190
|
|
Other Long-Term Assets |
8
|
12
|
11
|
10
|
12
|
10
|
10
|
13
|
16
|
16
|
|
Other Assets |
1
|
1
|
1
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Total Assets |
1 882
N/A
|
2 173
+15%
|
2 334
+7%
|
2 743
+18%
|
2 712
-1%
|
2 769
+2%
|
2 859
+3%
|
3 253
+14%
|
3 315
+2%
|
3 425
+3%
|
|
Liabilities | |||||||||||
Accounts Payable |
57
|
118
|
117
|
106
|
130
|
174
|
273
|
307
|
243
|
281
|
|
Accrued Liabilities |
16
|
23
|
28
|
41
|
45
|
52
|
60
|
95
|
101
|
120
|
|
Short-Term Debt |
11
|
16
|
44
|
289
|
102
|
48
|
107
|
100
|
104
|
85
|
|
Other Current Liabilities |
50
|
33
|
48
|
51
|
64
|
70
|
77
|
147
|
152
|
126
|
|
Total Current Liabilities |
134
|
189
|
237
|
487
|
341
|
343
|
517
|
649
|
600
|
612
|
|
Long-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Deferred Income Tax |
16
|
22
|
19
|
15
|
11
|
5
|
2
|
44
|
32
|
21
|
|
Minority Interest |
4
|
3
|
2
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Other Liabilities |
29
|
36
|
44
|
44
|
51
|
37
|
44
|
54
|
33
|
32
|
|
Total Liabilities |
183
N/A
|
250
+37%
|
301
+21%
|
546
+81%
|
402
-26%
|
386
-4%
|
563
+46%
|
747
+33%
|
666
-11%
|
666
0%
|
|
Equity | |||||||||||
Common Stock |
338
|
676
|
676
|
676
|
676
|
676
|
676
|
678
|
882
|
882
|
|
Retained Earnings |
627
|
851
|
959
|
1 123
|
1 236
|
1 309
|
1 210
|
1 183
|
1 373
|
1 501
|
|
Additional Paid In Capital |
735
|
397
|
397
|
397
|
397
|
397
|
397
|
442
|
266
|
283
|
|
Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
249
|
180
|
119
|
|
Treasury Stock |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
46
|
53
|
28
|
|
Other Equity |
0
|
0
|
1
|
0
|
1
|
1
|
14
|
0
|
1
|
2
|
|
Total Equity |
1 699
N/A
|
1 923
+13%
|
2 033
+6%
|
2 196
+8%
|
2 309
+5%
|
2 384
+3%
|
2 296
-4%
|
2 505
+9%
|
2 649
+6%
|
2 759
+4%
|
|
Total Liabilities & Equity |
1 882
N/A
|
2 173
+15%
|
2 334
+7%
|
2 743
+18%
|
2 712
-1%
|
2 769
+2%
|
2 859
+3%
|
3 253
+14%
|
3 315
+2%
|
3 425
+3%
|
|
Shares Outstanding | |||||||||||
Common Shares Outstanding |
676
|
676
|
676
|
676
|
676
|
676
|
676
|
879
|
879
|
880
|