The Hong Kong and China Gas Company Limited

HKEX:0003.HK

5.93 (HKD) • At close January 15, 2025
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) HKD.

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Operationele Activiteiten:
Nettowinst 3,040.22,455.73,614.41,933.23,314.78174,2003,340.42,666.93,076.33,889.44,574.94,845.33,808.94,527.63,065.24,3863,160.24,252.33,437.53,773.93,233.83,6203,591.84,120.34,034.354,034.353,543.353,543.35002,478.72,478.70000001,858.951,858.950000000000
Afschrijvingen & Amortisatie 1,784.41,706.41,835.41,769.51,755.91,682.91,605.71,532.31,408.31,412.31,341.21,232.91,242.31,151.61,163.61,068.11,098.8973.41,050.9960.9948.7831.8776717.7712.8655.5655.557657600354.2354.2000000224.9224.90000000000
Uitgestelde Inkomstenbelasting 000-9710-2,854.7000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 048.90-13.5036.5000000000000000000000000000000000000000000000
Verandering in Werkkapitaal 0532.10-2,515.60-440.20-900.70-801.50-524.70-1,670.10193.30-132.40-329.60-1,234.10-528.90-546.35-546.3547.5547.5500616.1616.100000040.8540.850000000000
Vorderingen 0317.20-2,153.20-161.70-783.50-953.70-621.90-1,297.1020-1.40-4290-758.10-378.1000000000000000000000000000
Voorraden 0166.30-401.30-385.90-216.5092.8044.80-422.90148.10-169.1064.50-4760-150.80-142.3-142.3667.75667.7500-216.7-216.7000000-37.1-37.10000000000
Crediteuren 000000000000000000000000000000000000000000000000000
Overig Werkkapitaal 048.6038.90107.4099.3059.4052.4049.9043.2038.1034.90-6.1000-404.05-404.05-620.2-620.200832.8832.800000077.9577.950000000000
Overige Niet-Contante Posten -111.54,720.93,7985,365.42,644.76,300.82,587.44,636.62,879.34,198.62,331.7-854.8-1,077841.2-1,298.4-234.5-1,107.7158.1-1,18688.7-700.3-521.7-947.6-238.2-1,709.8-1,664.85-1,664.85-1,549.8-1,549.800-966.55-966.552,410.552,410.552,289.32,289.31,711.51,711.5-449.95-449.951,524.11,524.11,506.351,506.351,802.551,802.551,821.71,821.700
Kasstroom uit Operationele Activiteiten 4,713.15,470.25,5775,529.14,203.55,434.95,181.76,444.74,137.95,862.64,879.94,428.35,010.64,131.64,392.84,092.14,377.14,159.34,117.24,157.54,022.33,543.93,448.43,542.43,123.32,478.652,478.652,617.12,617.11,987.71,987.72,482.452,482.452,410.552,410.552,289.32,289.31,711.51,711.51,674.751,674.751,524.11,524.11,506.351,506.351,802.551,802.551,821.71,821.71,715.21,715.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3,167.7-4,808.1-3,619.5-5,095.6-3,238.8-4,743.2-3,668.7-4,575.9-2,719-3,715.8-3,337.1-3,333.6-3,233.4-3,536.7-2,467.8-3,419.4-2,637.3-3,294.1-2,735.2-3,821.4-2,428.9-2,889.6-2,196.4-5,816.10-2,362.55-2,362.55-2,138.75-2,138.75-1,380.1-1,380.1-1,447.5-1,447.5-807.25-807.25-1,157.8-1,157.8-1,341.35-1,341.35-591.45-591.45-368.95-368.95-343.75-343.75-304.55-304.55-337.9-337.9-309.6-309.6
Netto Overnames 13.682.2-2,287.311101,553.3-186.350.7-19.782.40-7.4-76.3-69.4-10.6-45-102.2-71.8-130.9-468.8-545.6-666.6-997.300-684.25-684.25-967.75-967.75-58.7-58.7-122.15-122.15-35.6-35.60.50.5-58.45-58.45-142.55-142.55-0.85-0.850000-3-300
Aankoop van Beleggingen -70.7-618.4-45.2-599.2-132.8-1,784.8-5,629.9-1,271.8-354.2-789.2-120.100000000000000-384.85-384.85-1,695.8-1,695.8-934.2-934.2-989.45-989.45-1,655.5-1,655.5-1,227.4-1,227.4-120.95-120.95-545.1-545.100-414.25-414.25-1,112.5-1,112.5-538.1-538.1-542.55-542.55
Verkoop/verval van Beleggingen 8.46,089.3177.3545.82.1923.766632.386.5233.496.2000000000000001,051.11,051.1827827593.95593.957017011,442.11,442.11,402.11,402.125.6525.65501.5501.50000000.20.200
Overige Investeringsactiviteiten 1,296.873395.390.9-90.9-611.6611.6-281.8281.8114.6-114.62,349.2524.92,4371,976.93,374.2-3,638.742.71,450.32,665.11,781.5-997.61,347.33,222-3,708.5504.85504.85734.95734.95864.1864.1956.8956.81,597.451,597.4524.824.8-1,289.15-1,289.15190.45190.45-479.35-479.354714711,865.051,865.05-348.75-348.751,4311,431
Kasstroom uit Investeringsactiviteiten -1,919.6818-5,379.4-4,947.1-3,460.4-4,662.6-8,807.3-5,446.5-2,724.6-4,074.6-3,475.6-991.8-2,784.8-1,169.1-501.5-90.2-6,378.2-3,323.2-1,415.8-1,625.1-1,193-3,887.2-1,846.4-2,594.1-3,708.5-1,875.7-1,875.7-3,240.35-3,240.35-914.95-914.95-901.3-901.3541.2541.2-957.8-957.8-2,784.25-2,784.25-587.15-587.15-849.15-849.15-287-287448448-1,227.55-1,227.55578.85578.85
Financieringsactiviteiten:
Schuldaflossingen 2,422.5-5,085.52,413.32,473.93,310.41,887.58,652.5583.93,118.61,524.3923.202,899.70587.80716.901,515.30917.900001,808.41,808.4638.3638.31,641.21,641.23,381.13,381.1-278.25-278.25-61.65-61.652,686.952,686.95230.6230.6266.6266.6200.8200.847.847.8-1,109.95-1,109.95-463.3-463.3
Uitgifte van Gewone Aandelen 00-395.53,3240000021.12,300.40000000000000019.5519.553.83.80000000000000000000000
Terugkoop van Gewone Aandelen 00.1-3.3-29.900000-144.9-2,405.4000-15.400-360-60.3000000000-999.5-999.5000000-840.6-840.6-206.9-206.9-225.3-225.3-145.7-145.7-2,180.9-2,180.9-196.85-196.85-231.7-231.7
Uitgekeerde Dividenden -4,291.8-2,239.2-4,291.8-2,239.2-4,291.8-2,239.2-4,087.4-2,132.6-3,892.8-2,031-3,538.9-1,846.4-3,217.2-1,678.5-2,924.7-1,526-2,659-1,387.6-2,417.8-1,261.9-2,198.7-1,147.2-1,998.8-1,042.9-1,817.1-1,300-1,300-1,181.85-1,181.85-36.75-36.75-1,096.8-1,096.8-1,005.75-1,005.75-966.8-966.8-976.5-976.5-986.65-986.65-991.25-991.25-936.4-936.4-907.6-907.6-849.7-849.7-776.5-776.5
Overige Financieringsactiviteiten -1,205.7-786.4-398.42,649.740.41,645.6-1,071.9-612.5-76-619.72,331.8-4,779.2-845.41,541.2-944.8-1,389.2-815.7-976.2-674.6-526.31,669.9-1,266.7-262.82,091.71,347.8-420.3-420.3-441.8-441.8-292.9-292.9-156.05-156.0542.1542.15-184.05-184.0517.717.7881.051.05-40.3-40.3905.75905.752,413.252,413.25805.05805.05
Kasstroom uit Financieringsactiviteiten -3,075-8,111.1-2,276.92,854.5-9411,293.94,501.9-2,161.2-850.2-1,105.3-2,689.3-6,625.6-1,162.9-1,042.4-3,297.1-2,915.2-2,757.8-2,399.8-1,577.1-1,848.5389.1-2,413.9-2,261.61,048.8-469.3107.65107.65-981.55-981.55-802.55-802.552,128.252,128.25-1,423.95-1,423.95-1,209.75-1,209.75887.55887.55-964.85-964.85-948.9-948.9-921.6-921.6-2,134.95-2,134.95256.75256.75-666.45-666.45
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -163.5149.1-406.6-361.4-193116.742.8271-65-45.8-3.8-107.8-23.8100.567.7-128.8-48.8-26221.81-146.818.46119.3-17.762.3562.3544.2544.25-6.95-6.9531.6531.6516.4516.455.65.6-2-22.32.3-2.45-2.4500-988.65-988.65-969.4-969.4-847.2-847.2
Netto Kasstroomverandering 8,527.1-1,783.2-2,485.93,075.1-390.92,182.9919.1-892498.1636.9-1,288.8-3,296.91,039.12,020.6661.9957.9-4,807.7-1,825.71,146.1684.93,071.6-12,957.2-299.31,008.2-536.11,545.91,545.9-3,121.1-3,121.1526.5526.57,482.17,482.13,088.53,088.5254.7254.7-374.4-374.4250.1250.1-552.8-552.8595.5595.5-1,746.1-1,746.1-237-2371,560.81,560.8
Kaspositie aan het Einde van de Periode 8,527.18,972.110,755.313,241.210,166.110,5578,374.17,4558,3477,848.97,2128,500.811,797.710,758.68,7388,076.17,118.211,925.913,751.612,605.511,920.6-1,369.411,587.81,008.210,17011,242.211,242.29,696.39,696.312,817.412,817.412,290.912,290.94,808.84,808.81,720.31,720.31,465.61,465.61,8401,8401,589.91,589.92,142.72,142.71,547.21,547.23,293.33,293.33,530.33,530.3