PCCW Limited

HKEX:0008.HK

4.49 (HKD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst -46215-486-588-88609-315-436-5845181637121858841,1541,1838681,2251,0702,2521,0581,029856816.25699.750699.75699.75579.50579.5579.577007707705950595595558.250558.25558.25459.250459.25408408396.1160467.2990473.97101,622.943000660.451000-1,286.88000-1,618.5640467.970807.3320-17.4670-1,727.50186.786.786.786.7
Afschrijvingen & Amortisatie 3,6764,0653,7983,8813,8353,9813,8784,1493,7163,9003,3051,8352,7311,8782,727-3093,1973372,9191,8772,5064892,2541,142.751,105.251,105.251,105.251,105.25981.75981.75981.75981.75944.25944.25944.25944.25939.5939.5939.5939.5916.25916.25916.25916.25000000000000635.198635.198635.198635.198718.168718.168718.168718.168698.128698.128698.128698.128549.922549.922549.922549.922230.073230.073230.073230.0733.1673.1673.1673.167
Uitgestelde Inkomstenbelasting 0-8,4900-3,5510-5,135-6,991-8,524.25-7,656.5-8,227-6,289.255261,32618095192519-388-192.75-275-14.25-340102.5000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 0397421046901058108412708746816888396000000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal 03210-4,2530-4,696-774214.5214.5-1,837-330.75-4,736-1,338-1,997-103-2,639-525415186.75-4686.25-218-108.5-108.5-382.25-382.25-382.25-382.25-53.25-53.25-53.25-53.25-359.75-359.75-359.75-359.75306.75306.75306.75306.75-263.25-263.25-263.25-263.2500000000-248.192-248.192-248.192-248.192-64.103-64.103-64.103-64.103-527.951-527.951-527.951-527.951-1,961.778-1,961.778-1,961.778-1,961.778-204.758-204.758-204.758-204.758313.914313.914313.914313.914-43.925-43.925-43.925-43.925
Vorderingen 07260-1,0890-2,501000-560-2320-2760-15002890-28604060000000000000000000000000000000000000000000000000000000000
Voorraden 04600-8220-372-105280.75280.75425-34.75-378-734.2526-41-116-39.5181.5473116.25-10523.523.561.2561.2561.2561.25-47.5-47.5-47.5-47.5353535354.54.54.54.5-40.75-40.75-40.75-40.7500000000-19.39-19.39-19.39-19.3913.59813.59813.59813.598-31.056-31.056-31.056-31.056-33.151-33.151-33.151-33.15115.60115.60115.60115.601-15.598-15.598-15.598-15.5981.9871.9871.9871.987
Crediteuren 0000066900029602960603.750620485.50-185.2501100000000000000000000000000000000000000000000000000000000000
Overig Werkkapitaal 0-8650-2,3420-1,823-669-66.25-66.25-2,206-296-4,126-603.75-1,747-62-2,373-485.5108185.25-655-110-519-132-132-443.5-443.5-443.5-443.5-5.75-5.75-5.75-5.75-394.75-394.75-394.75-394.75302.25302.25302.25302.25-222.5-222.5-222.5-222.500000000-228.802-228.802-228.802-228.802-77.7-77.7-77.7-77.7-496.895-496.895-496.895-496.895-1,928.627-1,928.627-1,928.627-1,928.627-220.359-220.359-220.359-220.359329.512329.512329.512329.512-45.911-45.911-45.911-45.911
Overige Niet-Contante Posten 8,5499,9829,33010,5897,0818,8677,72210,3609,8838,8917,4446,419-6974,9476458,202-6295,4041,0612,8513812,738119-14.5122.75822.5122.75122.75186.5766186.5186.5125.5895.5125.5125.5143.75738.75143.75143.75404.25962.5404.25404.258211,280.25821872.251,222.51,234.3841,630.51,163.2011,407.714933.7431,407.714-215.229619.658619.658619.658-40.793764.752764.752764.7522,051.6322,242.5892,242.5892,242.5893,861.153489.46921.499489.469-317.8632,577.6032,595.0692,577.6034,305.103-141.871-141.871-141.871-141.871
Kasstroom uit Operationele Activiteiten 4,4115,9325,0466,1203,1585,4953,5295,7755,5835,5094,3024,3142,2315,7824,5346,5113,4427,4625,0566,6003,9534,0773,2351,8281,5421,5421,5421,5421,694.51,694.51,694.51,694.51,4801,4801,4801,4801,9851,9851,9851,9851,615.51,615.51,615.51,615.51,280.251,280.251,280.251,280.251,630.51,630.51,630.51,630.51,159.5221,159.5221,159.5221,159.5221,190.7541,190.7541,190.7541,190.754954.97954.97954.97954.97978.939978.939978.939978.939834.633834.633834.633834.6333,121.593,121.593,121.593,121.59-95.929-95.929-95.929-95.929
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 0-5,8360-2,3320-4,328-1,979.75-7,126-1,781.5-4,956-2.5-3,834-44-3,357-107.75-3,184-241.5-3,517-129-3,203-143.25-2,554-358.5-358.5-4.75-4.75-4.75-4.75-6.75-6.75-6.75-6.75-788.5-788.5-788.5-788.5-651-651-651-651-1,119.25-1,119.25-1,119.25-1,119.25-1-1-1-1-884.75-884.75-884.75-884.75-622.419-622.419-622.419-622.419-493.396-493.396-493.396-493.396-489.131-489.131-489.131-489.131-403.666-403.666-403.666-403.666-604.524-604.524-604.524-604.524-487.444-487.444-487.444-487.444-58.874-58.874-58.874-58.874
Netto Overnames 781-651,5662,77903,6461,924.25-1371,77852.5-73-340.75-21626-13393.75-23-1,295-26-18,7577-49000000000000000000000000000000000000000000000000000000000
Aankoop van Beleggingen -88-464-167-1,938-175-3,810-311-296-22-268-403-31.75-20.75-20.75-559.25-559.25-207.5-207.5-45-45-29.75-29.75-11.75-11.75-32.25-32.25-32.25-32.25-57.25-57.25-57.25-57.25-7-7-7-70000-31-31-31-31-44-44-44-44-24.75-24.75-24.75-24.75-42.658-42.658-42.658-42.658-7.77-7.77-7.77-7.77-44.643-44.643-44.643-44.643-35.101-35.101-35.101-35.101-7.8-7.8-7.8-7.80000-65.841-65.841-65.841-65.841
Verkoop/verval van Beleggingen 01,170036459422255.5253.5966215283.5405.5405.5414155.2555.253.53.54.54.545.545.52.752.752.752.757.757.757.757.7525.2525.2525.2525.250.50.50.50.541.2541.2541.2541.2560.2560.2560.2560.2571.7571.7571.7571.7500000000000000000000148.183148.183148.183148.18320.2220.2220.2220.22
Overige Investeringsactiviteiten -3,7842,426-2,4263,864-3,8643,091-3,0912,974-2,9743,383-3,396112-1,998958-3,686-2,485-4,378-1,099-4,2572,326289-920-2,801324.7534.2534.2534.2534.2556.2556.2556.2556.25770.25770.25770.25770.25650.5650.5650.5650.51,1091,1091,1091,109-15.25-15.25-15.25-15.25837.75837.75837.75837.75665.077665.077665.077665.077501.166501.166501.166501.166533.774533.774533.774533.774438.767438.767438.767438.767612.324612.324612.324612.324339.261339.261339.261339.261-610.58-610.58-610.58-610.58
Kasstroom uit Investeringsactiviteiten -3,091-4,956-1,027-1,837-3,445-4,770-3,402-4,560-2,996-5,625-3,584-3,795-1,998-2,420-3,686-5,682-4,378-4,639-5,552-903-18,468-3,467-2,850-324.75-34.25-34.25-34.25-34.25-63.25-63.25-63.25-63.25-799.25-799.25-799.25-799.25-627.75-627.75-627.75-627.75-1,078.5-1,078.5-1,078.5-1,078.517.7517.7517.7517.75-792.5-792.5-792.5-792.5-407.19-407.19-407.19-407.19-334.11-334.11-334.11-334.11-582.299-582.299-582.299-582.299-208.658-208.658-208.658-208.6584,818.6424,818.6424,818.6424,818.642-1,339.495-1,339.495-1,339.495-1,339.495-715.076-715.076-715.076-715.076
Financieringsactiviteiten:
Schuldaflossingen -18,916-18,760-20,523-14,385-17,299-15,473-16,086-13,859-15,295-2,665-7,955-4,230-4,020-3,135.75-9,097-2,289.5-8,950-4,366.5-9,761-4,914-51,718-10,725.25-4,634-3,921.75-971-971-971-971-4,493.75-4,493.75-4,493.75-4,493.75-4,103.5-4,103.5-4,103.5-4,103.5-1,179.75-1,179.75-1,179.75-1,179.75-4,221-4,221-4,221-4,221-3,535.25-3,535.25-3,535.25-3,535.25-5,176.75-5,176.75-5,176.75-5,176.750000000000000000000000000000
Uitgifte van Gewone Aandelen 000-1,52603645,77600000002,090.252,090.250000330000000000319.75319.75319.75319.750000444434.2534.2534.2534.2500001,979.7191,979.7191,979.7191,979.7195.8285.8285.8285.828766.693766.693766.693766.69300001.951.951.951.952,903.2152,903.2152,903.2152,903.2151,711.5381,711.5381,711.5381,711.538
Terugkoop van Gewone Aandelen 0-1330-1,1210-1,903653.50000000752.75199.25000010,913.510,722.25000000000000000000-12.25-12.25-12.25-12.250000-6-6-6-6000000000000000000000000-46.905-46.905-46.905-46.905
Uitgekeerde Dividenden 0-2,9560-2,8770-2,4980-2,4830-2,4310-2,3200-2,2140-1,4770-7970-7650-1,4420000000000000000000000000000000000000000000000000000000000
Overige Financieringsactiviteiten -20,89622,362-25,06116,662-19,35716,325-18,93015,731-18,3099,548-12,350192-7,492457-4,641-210-9,881-1,101-10,606-6,017-33,608-1,403-1,8274,282.251,2641,2641,2641,2644,775.54,775.54,775.54,775.54,101.54,101.54,101.54,101.53,380.753,380.753,380.753,380.754,576.54,576.54,576.54,576.53,814.253,814.253,814.253,814.255,494.255,494.255,494.255,494.25-1,688.869-1,688.869-1,688.869-1,688.86967.98867.98867.98867.988-766.693-766.693-766.693-766.693-118.955-118.955-118.955-118.955-1.95-1.95-1.95-1.95-2,903.215-2,903.215-2,903.215-2,903.215-1,664.633-1,664.633-1,664.633-1,664.633
Kasstroom uit Financieringsactiviteiten -1,980-1,005-4,538-3,247-2,058-3,1852,932-2,585-3,0142,439-4,395-2,128-3,472-1,7574,456-1,687-931-1,898-845-6,78218,110-2,8452,807-4,279.5-1,248.5-1,248.5-1,248.5-1,248.5-2,540-2,540-2,540-2,540-4,096.25-4,096.25-4,096.25-4,096.25-3,368.25-3,368.25-3,368.25-3,368.25-4,575.75-4,575.75-4,575.75-4,575.75-2,769.75-2,769.75-2,769.75-2,769.75-7,026.75-7,026.75-7,026.75-7,026.751,275.8621,275.8621,275.8621,275.862-273.893-273.893-273.893-273.893700.699700.699700.699700.699-118.955-118.955-118.955-118.9551,125.1951,125.1951,125.1951,125.1953,924.8973,924.8973,924.8973,924.8971,703.5151,703.5151,703.5151,703.515
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 08-6-33-25-9-233,377-20-29-7-6027-6537-23211-35-38-38-653,015.25-462.25-462.25-462.25-462.25224.75224.75224.75224.75-0.25-0.25-0.25-0.250.250.250.250.255,440.255,440.255,440.255,440.251,153.51,153.51,153.51,153.55,006.755,006.755,006.755,006.75-480.872-480.872-480.872-480.872-1,097.514-1,097.514-1,097.514-1,097.514-1,659.551-1,659.551-1,659.551-1,659.551-542.122-542.122-542.122-542.122-8,344.382-8,344.382-8,344.382-8,344.382-3,261.974-3,261.974-3,261.974-3,261.97485.14985.14985.14985.149
Netto Kasstroomverandering -721-21-525264-1,631-3,0533,501-1,321-4212,9722,304.75-7,0925,516.5-8,408.758,910.25-2,7303,762.25-5,377.754,581.25-7,190.257,688.75-5,764.256,611.75239-203-203-203-203-684-684-684-68413131313-308.75-308.75-308.75-308.751,401.51,401.51,401.51,401.5-318.25-318.25-318.25-318.25-1,182-1,182-1,182-1,1821,547.3221,547.3221,547.3221,547.322-514.763-514.763-514.763-514.763-586.18-586.18-586.18-586.18109.204109.204109.204109.204-1,565.912-1,565.912-1,565.912-1,565.9122,445.0182,445.0182,445.0182,445.018977.66977.66977.66977.66
Kaspositie aan het Einde van de Periode 2,1172,8382,8593,3843,1204,7517,8044,3035,6246,0453,9941,3348,4261,689.2510,0982,9085,6381,189.256,5671,875.759,0661,985.757,7501,377.251,138.251,138.251,138.251,138.251,341.251,341.251,341.251,341.252,025.252,025.252,025.252,025.252,012.252,012.252,012.252,012.252,3212,3212,3212,321919.5919.5919.5919.51,237.751,237.751,237.751,237.752,421.8112,421.8112,421.8112,421.811874.126874.126874.126874.1261,383.9291,383.9291,383.9291,383.9291,969.5781,969.5781,969.5781,969.5781,860.3741,860.3741,860.3741,860.3743,425.7553,425.7553,425.7553,425.755980.239980.239980.239980.239