Shenzhen International Holdings Limited

HKEX:0152.HK

6.01 (HKD) • At close September 20, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 8,686.41310,829.8737,882.5259,073.47411,931.76413,663.9065,466.8788,253.93713,253.7217,161.1844,950.4094,866.083,723.5571,729.591,126.4021,9012,768.979882.277261.62218.624122.907218.488244.693
Kortetermijnbeleggingen 2,183.9553,223.5121,566.6014,445.6171,010.5381,424.5641,126.3612,494.9463,212.6131,288.5241,270.9341,646.9631,488.0613,435.9652,311.4751,284.4651,445.297291.1670002.7783.511
Liquide middelen en kortetermijnbeleggingen 10,870.36814,053.3859,449.12613,519.09112,942.30215,088.476,593.23910,748.88316,466.3348,449.7086,221.3436,513.0435,211.6185,165.5553,437.8773,185.4654,214.2761,173.444261.62218.624122.907221.266248.204
Nettovorderingen 4,594.2737,086.4377,138.7826,795.8978,571.9526,646.1593,145.7678,340.1811,582.3831,189.167851.6970930.0890000000000
Voorraad 4,815.5426,295.1369,562.05914,150.1719,570.2538,014.6797,542.8762,777.7621,398.527673.728446.748.6368.4130000000000
Overige vlottende activa 163.35237.205260.7131,421.5541.35240.72651.008141.723,795.9213,235.6231,346.1451,167.362-3.802349.573983.869755.92713.632-112.46258.6380.06914.259488.387199.329
Totaal vlottende activa 20,443.53330,476.99727,016.34838,979.64631,625.85929,790.03417,332.8922,008.54621,660.78212,359.0598,014.2287,689.0416,146.3186,153.4834,421.7463,941.3924,429.1431,224.111438.452561.386175.795761.463478.126
Niet-vlottende activa:
Materiële vaste activa, netto 22,885.04521,310.72423,006.05415,842.49111,876.1537,697.5986,980.2056,290.5724,730.8094,528.0984,526.0254,227.5354,206.3124,241.8712,850.8152,487.3342,353.348423.272379.177400.679441.323452.898487.592
Goodwill 543.515551.995409.152279.035262.42711.324001.8430000000000-130.23-169.621-210.989-153.625
Immateriële activa 33,512.19133,122.77136,251.01535,448.02529,654.42629,953.01628,048.91523,071.39524,809.54822,104.58124,271.42924,840.28225,049.97523,446.9823,133.95618,125.699601.36803.943805.4440000
Goodwill en immateriële activa 34,055.70633,674.76636,660.16735,727.0629,916.85329,964.3428,048.91523,071.39524,811.39122,104.58124,271.42924,840.28225,049.97523,446.9823,133.95618,125.699601.36803.943805.444-130.23-169.621-210.989-153.625
Langetermijnbeleggingen 44,600.08626,287.82619,351.11312,421.12114,118.83213,381.38513,594.1865,359.7012,837.9194,971.4544,673.6353,729.4611,907.869-701.429-413.5431,026.5511,322.8182,521.4130002,391.6732,297.434
Belastingvorderingen 638.506755.954859.8351,688.3351,247.74787.782257.075144.18989.61861.04978.47496.84272.609115.48545.92301,477.877291.1670002.778-2,297.434
Overige niet-vlottende activa 7,871.66520,988.65816,814.2548,528.452,623.2912,743.4554,772.8233,866.4914,867.3343,338.811,659.5481,800.1072,517.7513,540.0042,409.1651,333.648839.548115.6832,845.4212,604.2652,644.8087.7532,300.945
Totaal niet-vlottende activa 110,051.008103,017.92896,691.42374,207.45759,782.86954,574.5653,653.20438,732.34837,337.07135,003.99235,209.11134,694.22733,754.51630,642.91128,026.31622,973.2326,594.9514,155.4784,030.0422,874.7142,916.512,644.1132,634.912
Totaal activa 130,494.541133,494.925123,707.771113,187.10391,408.72884,364.59470,986.09460,740.89458,997.85347,363.05143,223.33942,383.26839,900.83436,796.39432,448.06226,914.62411,024.0945,379.5894,468.4943,436.13,092.3053,405.5763,113.038
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,337.9374,208.4973,872.3551,177.825497.132229.252115.351107.154140.53671.82280.1178.6742,244.67151.6432,086.1413,233.979328.926135.093142.21220.39115.64311.3457.917
Kortlopende schulden 27,042.66831,792.59214,474.77215,990.1721,414.5352,137.7294,931.8194,808.6263,876.1622,392.1912,296.8243,897.6631,412.8412,140.9543,861.2591,941.848960.485283.204262.95352.18524.43533.805387.712
Belastingschulden 2,078.714779.2511,747.5382,185.5111,659.4492,362.608769.998525.885477.299683.785173.495123.412310.837296.232172.718159.87593.0536.52419.09915.7489.989.33124.619
Uitgestelde opbrengsten 165.645,626.696303.1152,882.34,814.7665,560.4964,358.79425.3080000000006.524015.7489.989.33124.619
Overige kortlopende verplichtingen 10,462.8286,956.63410,320.61413,925.5378,393.1924,495.771,280.2027,877.9734,042.1363,049.4642,178.2442,519.539751.4242,584.811175.411159.87593.053463.07719.09966.25105.32637.43651.522
Totaal kortlopende verplichtingen 42,009.07348,584.41928,970.85633,975.83415,119.62512,423.24710,686.16612,819.0618,058.8345,513.4774,555.1786,495.8764,408.9364,777.4086,122.8115,335.7021,382.464887.898424.264154.574155.379591.917471.77
Langlopende verplichtingen:
Langetermijnschulden 28,360.73325,416.5127,303.26816,913.52225,901.45524,474.13110,893.4967,574.8939,161.03313,355.25415,024.7914,072.0215,321.11311,808.76411,031.06710,368.9021,754.04613.043347.24649.689113.931495.956482.89
Uitgestelde opbrengsten niet-vlottend 655.239650.995730.231743.887629.95578.995163.311142.286149.577115.825-14,079.558-11,643.356-13,187.545-11,635.553880.78833.60865.80595.628123.782-147.106-166.9800
Uitgestelde belastingverplichtingen niet-vlottend 2,647.3982,809.7382,622.5142,253.3911,773.6331,808.5092,211.8271,759.2751,998.8191,371.9151,431.7021,547.6731,523.9442,019.3861,684.619875.921342.5173.75571.090000
Overige niet-vlottende verplichtingen 1,846.437834.0891,028.543821.537642.793719.8679,720.78810,009.73610,930.123278.33514,383.12211,922.91513,686.0812,802.8649.087417.8861.86919.231330.266643.072663.963300
Totaal niet-vlottende verplichtingen 33,509.80729,711.33231,684.55620,732.33728,947.83127,581.50222,989.42219,486.1922,239.55215,121.32916,760.05615,899.25217,343.59214,995.46113,605.56111,696.3172,164.224801.657872.384545.655610.911825.956482.89
Totaal passiva 75,518.8878,295.75160,655.41254,708.17144,067.45640,004.74933,675.58832,305.25130,298.38620,634.80621,315.23422,395.12821,752.52819,772.86919,728.37217,032.0193,546.6881,689.5551,296.648700.229766.291,417.873954.66
Eigen vermogen:
Preferente aandelen 00000000000000000000000
Gewone aandelen 13,257.9832,387.812,266.7152,194.9922,161.8422,119.8732,028.7831,957.6891,899.0191,891.9421,657.0981,637.2974,937.124,919.8541,414.1932,941.4073,043.104000000
Ingehouden winsten 18,324.22316,334.61118,797.43216,906.43915,767.6213,871.3713,994.01811,596.7210,652.7369,387.4687,994.4837,055.46904,704.913,798.9913,343.3273,794.4831,420.77400000
Overige gereserveerde algehele resultaten -4,393.3632,575.9748,272.6828,246.2515,713.955-2,919.76-2,327.106-2,063.355-1,941.365-1,846.783-1,677.291-1,360.856-1,080.596-797.181-613.023-468.925-192.475000000
Overige totale aandeelhoudersvermogen 4,393.3639,949.46910,865.8569,369.918,972.55717,257.38812,552.4577,143.0777,549.6538,269.4686,015.4495,313.2967,357.6772,016.4442,424.975-905.888558.3082,191.8243,099.5772,664.7072,322.1741,943.7691,791.441
Totaal eigen vermogen van aandeelhouders 31,582.20631,247.86440,202.68536,717.59232,615.97430,328.87126,248.15218,634.13118,160.04317,702.09513,989.73912,645.20611,214.20110,844.0277,025.1364,909.9217,203.423,612.5983,099.5772,664.7072,322.1741,943.7691,791.441
Totaal eigen vermogen 54,975.66155,199.17463,052.35958,478.93247,341.27244,359.84537,310.50628,435.64328,699.46726,728.24521,908.10519,988.1418,148.30617,023.52512,719.699,882.6057,477.4063,690.0343,171.8462,735.8712,326.0151,987.7032,158.378
Totaal passiva en aandeelhoudersvermogen 130,494.541133,494.925123,707.771113,187.10391,408.72884,364.59470,986.09460,740.89458,997.85347,363.05143,223.33942,383.26839,900.83436,796.39432,448.06226,914.62411,024.0945,379.5894,468.4943,436.13,092.3053,405.5763,113.038