Building an efficient communication bridge with investors

Building an efficient communication bridge with investors

Safeguarding the rights and interests of investors and maintaining the healthy and stable development of the capital market

Financial Summary

Annual Information
Quarterly Information
2024H120232022202120202019
Operating revenue (RMB)80,223,736,962174,366,657,015166,552,785,829163,657,700,47776,677,238,07974,933,085,688
Net profits attributable to the company’s shareholders (RMB)995,211,5332,214,935,302261,319,45110,064,253,1184,388,159,0182,617,766,571
Net profits attributable to the company’s shareholders after non-recurring gains and losses (RMB)558,757,0611,021,080,065-2,698,210,8009,444,050,5662,933,248,153235,119,321
Net cash generated from operating activities (RMB)12,632,721,71325,314,756,10518,426,376,60932,878,450,43716,698,282,77511,490,096,405
Basic earnings per share (RMB / share)0.05350.11950.01740.67890.33660.1986
Diluted earnings per share (RMB / share)0.05300.11790.01680.66900.32260.1935
Weighted average return on equity (%)1.874.270.5226.4813.759.09
The end of 2024 H1The end of 2023The end of 2022The end of 2021The end of 2020The end of 2019
Total Assets (RMB)382,333,538,876382,859,086,727359,996,232,668308,749,696,062257,908,278,887164,844,884,926
Net assets attributable to shareholders of the listed company (RMB)52,369,539,90652,921,867,08650,678,520,47743,041,044,20034,107,795,45430,111,946,237
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Highlights

一图读懂 | TCL科技2024年半年报
一图读懂 | TCL科技2023年年报及2024年一季报
一图读懂 | TCL科技2023年三季报
一图读懂 | TCL科技2023年半年报
一图读懂 | TCL科技2023年一季报
一图读懂 | TCL科技2022年三季报
一图读懂 | TCL科技2022年半年报
一图读懂 | TCL科技2021年年报及2022年一季报