China Everbright Limited

HKEX:0165.HK

3.36 (HKD) • At close September 19, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operationele Activiteiten:
Nettowinst -1,922.639-7,443.2992,572.842,264.1752,237.1663,103.9174,148.3424,074.3825,143.9942,559.6881,346.5481,581.5592,045.9132,298.8094,842.6281,183.5645,463.1481,010.292338.365-215.192223.713-993.422371.4321,292.484433.385-389.48
Afschrijvingen & Amortisatie 5566.59767.2280.98985.19330.94830.9623.80322.28121.97320.62519.42624.14116.13212.22210.3767.0824.5965.0674.81718.18920.21311.4097.377.85.034
Uitgestelde Inkomstenbelasting 00000000000000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal 4,243.86-812.479-910.5984,027.126-1,255.712-167.2091,583.675-2,213.765-392.963431.987-421.759-399.321-1,662.357-1,205.546-1,797.0282,151.63-1,129.954-419.947-479.5720000000
Vorderingen -308.125-240.955310.219477.211-34.895-167.2091,583.675-2,213.765-392.963431.987-408.963000000000000000
Voorraden 34.179165.581-8.767118.14686.784000000000000000000000
Crediteuren -575.222242.157-157.76254.012-1,307.601000000000000000000000
Overig Werkkapitaal 5,093.028-979.262-1,054.293,177.757-608.511946.7482,302.943-1,977.4531,111.177-2,721.889-12.796000-1,797.0282,151.63-1,129.954-419.947-479.5720000000
Overige Niet-Contante Posten -100.613509.582324.911-108.293-2,338.529-2,491.44-6,568.567-3,128.787-3,827.684-5,995.872-1,007.721-1,805.929-2,676.696-2,345.56-4,842.637-1,803.925-5,292.618-1,044.137-271.927489.017-420.238973.209-234.585-1,427.614-392.137325.221
Kasstroom uit Operationele Activiteiten 2,275.608-7,679.5992,054.3736,263.997-1,271.882476.216-805.59-1,244.367945.628-2,982.224-62.307-604.265-2,268.999-1,236.165-1,784.8151,541.645-952.342-449.196-408.067278.642-178.3360148.256-127.7649.048-59.225
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -4.618-4.911-3.947-17.578-8.411-10.172-9.22-8.016-16.595-6.65-16.458-20.635-23.304-166.11-62.823-14.913-15.877-137.409-1.191-5.108-18.179-0.669-4.819-6.945-3.713-2.037
Netto Overnames 0.2910.599-479.54615.7361.383320.75110.92-1,290.362672.759485.371066.669400.6931,576.829-102.202-0.588244.655-34.206110.975865.895040-696.143-4.787-500686.772
Aankoop van Beleggingen -378.702-1,116.484-423.743-826.343-6,474.767-11,042.181-14,015.994-11,857.885-10,301.332-6,594.9920-1,988.043-1,656.591-1,748.806-923.999-577.76-77.817-460.228-120.6980000-170.01164.55413.347
Verkoop/verval van Beleggingen 2.759222.611368.0111,430.7897,367.0957,808.32812,179.0912,548.9135,493.191,898.58401,317.2051,076.7951,448.563104.9522,087.752687.085440.334245.07700001,254.704506.9311,220.092
Overige Investeringsactiviteiten 897.032-692.825184.425736.857356.5593,246.837-639.072128.167-656.8023,876.136-2,109.0381,262.515577.372-352.411726.525-95.982313.066-349.271864.13927.693441.483-437.30723.509-646.027-146.502255.525
Kasstroom uit Investeringsactiviteiten 516.762-898.185-539.225602.6041,241.859323.562-2,374.276-479.183-4,808.78-341.551-2,125.496637.711374.965758.065-257.5471,398.5091,151.112-540.781,098.302888.48423.304-397.976-677.453426.934-78.732,173.699
Financieringsactiviteiten:
Schuldaflossingen -478.955-606.487-2,859.99-2,029.5-1,336.75-13,168.048-14,698.806-16,338.964-5,833.85-3,348.233-1,833.841-1,176.47500-397.237-308.121-439.77300000-0.003000
Uitgifte van Gewone Aandelen 00361.666171.0773.573327.194263.44652.196508.645456.5971,206.12874.64208.1562,696.9185.48322.65546.75811.012.8050.8910041.965038.1110.661
Terugkoop van Gewone Aandelen -2,325.540-130.565-283.459-586.42-6.664-7.907-601.5515,325.205-352.641-4.587-37.035-29.1780-0.092-328.2250000000000
Uitgekeerde Dividenden -505.576-758.364-1,061.71-623.544-1,095.414-1,641.644-2,114.527-1,710.578-1,029.865-1,324.292-447.295-727.87-775.866-526.068-469.587-286.108000-75.048-15.634-18.759-212.182-200.283-28.2210
Overige Financieringsactiviteiten -1.056-69.3565,355.8574,029.0893,055.53915,200.74518,092.73721,117.29711,149.3878,104.931,215.8155471,616.274687.3341,096.891364.77812.895240.51639.2758.695186.8871.550890.68128.2216.441
Kasstroom uit Financieringsactiviteiten -1,024.149-1,434.2071,665.2581,263.656110.528903.9092,385.532,965.0384,846.7354,270.8142,597.774-1,319.741,019.3862,858.184235.458-535.021-380.12251.52642.08-65.462171.253-17.209-170.22690.39838.1117.102
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -182.745-555.319132.95143.73-101.641-18.14113.15829.79-37.882-38.19122.6345.32122.37978.525-4.113-5.3322.00710.35700000-0.396-0.364-0.558
Netto Kasstroomverandering 745.4051,744.206-2,143.9572,033.802401.6811,685.546-781.1781,271.278945.701908.848432.601-1,240.973-852.2692,458.609-1,811.0172,399.803-159.343-728.093732.3151,101.66416.221-827.17-699.417989.17675.8892,115.506
Kaspositie aan het Einde van de Periode 9,645.0398,899.6347,155.4289,299.3857,265.5836,863.9025,178.3565,959.5344,688.2563,742.5552,833.7072,401.1063,642.0794,494.3482,035.7393,846.7561,446.9531,606.2962,334.3891,602.074500.41484.193993.5831,693703.824628.299