MTR Corporation Limited

HKEX:0066.HK

26.95 (HKD) • At close May 9, 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 9,7286,0443,6064,1785,0954,7326,8792,673-4,475-3346,4265,5068,9257,0839,3497,4805,1335,1214,8058,1897,6947,9126,8676,1587,199.506,541.506,08604,819.59,5024,7518,2807,59115,1823,8797,7584,231.58,4632,2484,4962,2254,4502,1064,2122,1422,1422,034.54,0690
Afschrijvingen & Amortisatie 3,2382,9063,0593,0463,2612,7733,5572,6352,7522,6132,6452,5922,5242,4612,4652,3902,1192,0081,9691,8801,7981,6881,7311,641000000000000000000000000000
Uitgestelde Inkomstenbelasting 000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 001190118083012101220585258615254463220.3233022265929.511356.56130.5402022110000000000000000
Verandering in Werkkapitaal 1,026-352-354-1,61173-565-9161,576-2,238-1,464-690-870-1,297-55-85456-75313-109-439-533-107197-249447.51,550775289144.5879439.5-82-4111356.50000000000000000
Vorderingen 898-898-306-1,37651-358-9041,717-2,187-1,396-669-703-1,22845-871104-807182-166-347-484-54223-187000000000000000000000000000
Voorraden 117-128-48-23522-207-12-141-51-68-21-167-69-10017-4854-16957-92-49-53-26-62-44-81-40.5-72-36-5-2.5-350-175-34-170000000000000000
Crediteuren 07340000000000000000000000000000000000000000000000000
Overig Werkkapitaal 11-600000000000000000000000491.51,631815.5361180.588444226813414773.50000000000000000
Overige Niet-Contante Posten -3,680-419897-1,743-5,565-3,165-6,346-2,6693,910-113-1,5032,815-4,063-4,738-379-1,0231,0902,298-1,49765-2,019.3-432-2,117484-29111,930-576.510,622-7759,967164-1,353-676.5506-3,198-9,217-896.5-2,358-1,531.5-3,274346.5-1018-613-187.516-28-64.543-313939
Kasstroom uit Operationele Activiteiten 10,3128,1797,3273,8702,9823,7753,2574,215707027,00010,0436,1474,80310,6398,9647,6419,4945,2149,7276,9609,0846,7088,0567,38213,5396,769.511,0245,51210,9075,453.58,1074,053.58,9214,460.55,9652,982.55,4002,7005,1892,594.54,4862,2433,8371,918.54,2282,1142,077.52,077.53,756939
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -11,725-7,691-7,135-5,198-15,151-4,133-4,702-3,940-2,889-3,233-5,786-3,237-3,233-3,279-4,194-3,616-6,285-5,065-8,084-12,977-5,810-5,052-5,412-7,577-7,053-11,875-5,937.5-10,043-5,021.5-12,336-6,168-5,341-2,670.5-5,807-2,903.5-2,481-1,240.5-2,903-1,451.5-3,454-1,727-2,889-1,444.5-2,670-1,335000000
Netto Overnames 0000000000000000044000000000000000000000000000000000
Aankoop van Beleggingen 0-4000000000000000000000000-96-260-130-160-80-3,844-1,922-47-23.5-147-73.5-369-184.5-294-147-114-57-202-10100000000
Verkoop/verval van Beleggingen 0445000000000000000000000054.52,8461,4231,09454715979.5283141.5100502021011065313366.50000000000
Overige Investeringsactiviteiten 133-1,9785424,06711,2186,0794,60310,0134,0161,4313,213-2,502-2,655-2,49812,021-3,311-6,4726603,225-21012,998-1,0053,2851,2097,094.59,2894,644.59,1094,554.516,0218,010.55,1052,552.55,8542,9272,6481,3243,0911,545.53,4351,717.53,0911,545.52,6701,335-2,476-1,238-2,876.5-2,876.5-5,711-1,427.75
Kasstroom uit Investeringsactiviteiten -11,592-9,624-6,593-1,131-3,9331,946-996,0731,127-1,802-2,573-5,739-5,888-5,7777,827-6,927-12,757-4,361-4,859-13,1877,188-6,057-2,127-6,368-5,804.5-10,767-5,383.5-11,204-5,602-8,878-4,4396,0673,033.5-6,604-3,302-8,484-4,242-2,770-1,385-1,841-920.5-1,440-720-1,978-989-2,476-1,238-2,876.5-2,876.5-5,711-1,427.75
Financieringsactiviteiten:
Schuldaflossingen 011,23305,7860-4,0190-3,68402,1720-3,9600-3,59302,05506,2040-1,9160-3,43800000000000000000000000000000
Uitgifte van Gewone Aandelen 000000000000000000000000681869334176331.51681,7768882311.536184623683488443718.59900
Terugkoop van Gewone Aandelen 0-207-2-910-1090-1160-860-880-239000-990-1500000000000000000000000000000000
Uitgekeerde Dividenden -7,9460-7,5950-8,5620-7,1650-6,8080-6,6490-1,2810-15,3580-18,5080-5,7480-4,9440-1,450-3,130-2,290-4,398-2,199-3,754-1,877-1,814-907-1,362-681-1,265-632.5-1,168-584-1,155-577.5-1,138-569-1,079-539.5-415-207.5-847-423.5-300.5-300.500
Overige Financieringsactiviteiten 5,99054,623-8488,462-343-3,284-2827,868-3021,978-4092,103-457-2,092-16913,0234721,795106-194-395780-365-1,932.5-5,893-2,946.5621310.5-11,105-5,552.5-15,232-7,616-9,662-4,831-7,435-3,717.5-8,444-4,222-6,920-3,460-10,160-5,080-10,388-5,194-3,240-1,620-3,179.5-3,179.5-3,822-955.5
Kasstroom uit Financieringsactiviteiten -1,95611,031-2,9744,847-100-4,471-10,449-4,0821,0601,784-4,671-4,457465-4,289-16,0931,886-5,4856,577-3,953-1,960-5,138-3,833-670-3,495-4,222.5-10,291-5,145.5-3,133-1,566.5-12,919-6,459.5-16,594-8,297-10,927-5,463.5-8,603-4,301.5-9,599-4,799.5-8,058-4,029-11,239-5,619.5-10,803-5,401.5-4,087-2,043.5-3,480-3,480-3,822-955.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -249-217192-110-235-475-8038797-205-68-54-303-232304302-212-87-16800000-3.573.5-8-414742-1-0.511,3915,695.56,9293,464.54,7972,398.58,0874,043.57,6243,8123,8531,926.54,2974,2975,8231,455.75
Netto Kasstroomverandering -24,66524,665-3,2258,559-1,304793-7,3716,244-6,209.7389,742.738-312-207421-5,4952,6774,225-10,81311,623-3,7669,993-6,4036,403555.252,021.75526419.5419.5-70.25-70.25-846.5-846.51,5901,590404067.2567.25-10-1021.7521.75-26.5-26.5-330-330379.5379.59911.511.5
Kaspositie aan het Einde van de Periode 031,26615,57518,80010,24111,54510,75218,12311,87918,088.7388,34621,6178,8658,44413,93911,2627,03717,8506,2279,99306,4033,853.253,2981,802.251,276.251,276.25856.75856.759279271,773.51,773.5183.5183.5143.5143.576.2576.2586.2586.2564.564.5919142142141.541.532.532.5