TCL Technology Group
SZSE:000100
¥ 4,36
+ ¥0,16 (3,81%)
4,36 ¥
+¥0,16 (3,81%)
End-of-day quote: 03/24/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

¥0,02
Earnings Per Share
¥8,88
Revenue Per Share
8,73%
Gross Margin %
¥85,52 B
Market Cap
¥126,78 B
Long-Term Debt
Earnings Per Share
¥0,02
Revenue Per Share
¥8,88
Gross Margin %
8,73%
Market Cap
¥85,52 B
Long-Term Debt
¥126,78 B

Financials

Year Year 2024 2023 2022 2021 2020 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share ¥0,02 ¥0,06 ¥-0,18 ¥0,64 ¥0,20 ¥0,13 ¥0,18 ¥0,10 ¥0,03 ¥0,04 ¥-0,03 ¥0,03 ¥0,01 ¥0,02 ¥-0,29
Earnings Earnings ¥371,34M ¥1,11B ¥-2,78B ¥9,62B ¥2,98B ¥1,88B ¥2,42B ¥938,47M ¥279,72M ¥372,95M ¥-279,72M ¥193,84M ¥56,90M ¥113,80M ¥-1,65B
RPS Revenue Per Share ¥8,88 ¥9,39 ¥10,79 ¥10,88 ¥5,15 ¥7,21 ¥7,53 ¥9,09 ¥7,45 ¥6,52 ¥5,56 ¥6,86 ¥0,00 ¥6,87 ¥8,23
Revenue Revenue ¥164,82B ¥174,37B ¥166,55B ¥163,54B ¥76,68B ¥104,58B ¥101,03B ¥85,32B ¥69,45B ¥60,75B ¥51,87B ¥44,30B ¥0,00M ¥39,06B ¥46,86B
OCF Operating Cash Flow ¥29,53B ¥25,31B ¥0,00M ¥32,88B ¥16,70B ¥7,39B ¥5,41B ¥5,18B ¥3,92B ¥1,67B ¥795,55M ¥0,00M ¥0,00M ¥0,00M ¥0,00M
FCF Free Cash Flow ¥5,83B ¥-4,21B ¥0,00M ¥2,02B ¥-16,38B ¥0,00M ¥-2,13B ¥1,41B ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M
OM Operating Margin -0,93% 3,12% -1,91% 10,01% 4,06% 0,62% 2,01% 1,15% 0,24% 1,26% -0,64% 1,47% 1,05% 0,31% -5,81%
GM % Gross Margin % 8,73% 12,63% 6,98% 18,73% 13,14% 16,31% 17,35% 17,10% 15,84% 15,60% 13,60% 14,83% 15,32% 16,19% 12,56%
FCFS Free Cash Flow Per Share ¥0,31 ¥-0,23 ¥-1,48 ¥0,14 ¥-1,14 ¥-0,70 ¥-0,23 ¥0,15 ¥-0,17 ¥-1,52 ¥-0,29 ¥-0,17 ¥-0,10 ¥-0,10 ¥0,09
LT Debt Long-Term Debt ¥123,30B ¥126,78B ¥130,61B ¥100,35B ¥91,63B ¥14,43B ¥12,21B ¥14,64B ¥12,73B ¥15,37B ¥3,90B ¥2,07B ¥149,38M ¥1,61B ¥42,63M
Sha. Stocks 18.567,1M 18.567,43M 15.431,57M 15.033,35M 14.901,24M 14.495,22M 13.423M 9.384,65M 9.323,84M 9.323,84M 9.323,84M 6.461,25M 5.689,93M 5.689,93M 5.689,93M
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