China Overseas Grand Oceans Group Limited

HKEX:0081.HK

2.17 (HKD) • At close November 8, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Operationele Activiteiten:
Nettowinst 4,122.7133,663.5786,087.0084,915.8943,775.582,031.3631,072.591806.315712.2171,681.4162,448.5733,067.9972,237.3631,456.06930.272426.64900-15.964000000
Afschrijvingen & Amortisatie 116.808110.128109.166106.08291.13937.93738.42811.76614.86910.71512.7869.5075.9188.67726.14321.61721.90818.52921.64747.99351.34682.221000
Uitgestelde Inkomstenbelasting 00000000000000-65.691-308.623000000000
Aandelen Gebaseerde Vergoedingen 00000000000000112.27642.211000000000
Verandering in Werkkapitaal 6,019.191-5,663.496-8,381.94-9,389.235-11,286.5841,009.6432,846.918,056.8934,614.051-2,405.793-6,969.585-418.642-1,996.289-215.05936.481-472.696-369.972-356.513-239.022-192.331-24.6990.848000
Vorderingen 954.0210,924.8935,221.144-8,574.284-38.799-661.331-3,207.6142.094-100.189696.71-3,219.087-842.460000000000000
Voorraden 24,843.4346,377.008-32,476.581-22,651.831-28,757.716-13,852.813-650.3885,069.602-1,364.832-6,216.887-3,621.643-3,924.86-2,782.681961.157-609.041-429.8071,038.39-648.281-374.696-20.309-4.3687.06000
Crediteuren -3,746.4281,043.3765,063.474,175.012,689.3921,236.951-1,172.168-1,244.128148.7630000000000000000
Overig Werkkapitaal 3,940.738-24,008.77313,810.02817,661.87114,820.53913,625.5054,669.4664,229.3255,930.3093,811.094-128.8554,348.678786.392-1,176.216645.522-42.889-1,408.362291.768135.674-172.021-20.332-6.212000
Overige Niet-Contante Posten -307.084-2,599.66-1,506.433-1,490.376-78.794-316.443-1,253.849-781.73-1,513.252-1,042.061116.888-1,638.393-1,062.069-597.307-51.717-209.565349.146147.99886.986101.784133.837-3.493000
Kasstroom uit Operationele Activiteiten 9,097.634-4,489.449-3,692.199-5,857.634-7,498.6592,762.5012,704.0818,093.2443,827.884-1,755.722-4,391.3381,020.469-815.077652.38153.456-191.7851.081-189.986-146.353-42.554160.48479.575319.242-119.605-107.887
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -29.51-2.719-44.631-20.513-108.635-61.824-199.713-1.619-2.136-6.838-9.677-14.182-6.186-3.051-25.846-28.909-28.961-21.543-17.497-105.7-124.45-27.68-220.255-199.041-41.972
Netto Overnames -1442,732.2451,822.9311,456.6481,159.7737.579-1,589.807-1,321.715-103.0900-30.862-48.782254.506-64.84829.701-319.851-76.197-306.46185.722-0.546-5.284-7.081-25.963-36.375
Aankoop van Beleggingen -563.575-508.417-4,692.615-248.7530-2,531.978-53.67-782.314-0.349000-272.812-144.29344.625-4.6870.869-23.691-27.268-259.203-22.664-18.689-53.14-218.329-47.669
Verkoop/verval van Beleggingen 374.499799.5764,081.605-03,569.432000055.0230050.4351.08922.25462.27663.6181.38439.723-58.18-110.15519.521-92.733636.7513.146
Overige Investeringsactiviteiten -1,497.732-3,888.659-0-2,964.547-102.934-184.528-132.761-333.418-041.551-10.626-776.00568.49720.014-17.472791.061-509.812247.39129.5692.494-78.42340.98-40.32871.448-83.319
Kasstroom uit Investeringsactiviteiten -1,527.242-867.9731,167.289-1,777.1654,517.633-2,740.751-1,975.95-2,439.067-105.57589.736-20.303-821.049-243.097128.265-85.913849.441-795.005125.959-221.656-114.924-115.63321.702-220.615264.866-209.334
Financieringsactiviteiten:
Schuldaflossingen -4,374.894-908.436-6,355.09-12,032.4-2,198.04-4,929.499-3,140.072-417.274-1,682.888-1,526.826-5,719.533-734.6-867.855-395.274-925.761-2,066.857-1,486.598-1,084.349-1,226.287-479.13-422.0230000
Uitgifte van Gewone Aandelen 000003,856.029000000139.686501.77600000000000
Terugkoop van Gewone Aandelen 00000-0.001000000-0.146-6.684-3.2710000000000
Uitgekeerde Dividenden -654.718-594.759-1,011.23-822.155-521.979-150.968-48.2650-15.99-143.805-196.013-153.137000-63.342-78.022-60.038-41.252-42.784-20.085-20.106-25.879-146.115-35.871
Overige Financieringsactiviteiten -1,881.1023,237.13715,437.16721,360.7997,315.4577,804.942-2,643.47-62.822-49.6444,429.947-395.5093,866.8271,814.051-137.274844.1991,578.8722,531.5831,309.8591,560.519941.723404.297-100.725.067221.51115.405
Kasstroom uit Financieringsactiviteiten -6,963.3341,637.0697,863.3318,404.5494,525.5376,559.576438.841354.452-1,751.6282,759.3165,128.0112,979.091,085.736-37.456-84.833-551.328966.963165.473292.98419.81-37.811-120.806-0.81175.39579.534
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 23.38737.791-7.162-42.66155.915-678.698707.269-659.982-383.432-10.658151.29710.75158.9136.8991.59829.16627.3710.6877.102-1.427-0.4420.0441.431-0.167-2.323
Netto Kasstroomverandering 630.445-6,815.8356,466.9552,600.4251,024.7775,494.0792,389.6326,487.9534,714.681,082.672867.6683,189.2686.475750.088-15.693135.494200.408112.134-67.926260.9056.598-19.48534.74652.623-274.454
Kaspositie aan het Einde van de Periode 20,063.62632,930.96339,746.79833,279.84430,679.41924,817.16519,479.13918,143.53510,888.5895,552.2285,538.3944,816.7351,337.6341,366.849660.956701.802653.959488.588407.575496.898236.277228.607205.023170.084117.962