Johnson Electric Holdings Limited

HKEX:0179.HK

11.5 (HKD) • At close October 30, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Operationele Activiteiten:
Nettowinst 271.145157.805146.352212.035-493.657281.329264.047237.92172.66210.894207.865218.005220.509226.407103.76437.394138.249113.00394.367141.672116.577150.018110.834145.37135.567105.62280.865
Afschrijvingen & Amortisatie 274.88274.153283.285251.031245.141204.158183.429151.325113.79992.25287.80990.87992.91686.78987.14389.19790.52988.21162.5447.51145.8639.3734.1750000
Uitgestelde Inkomstenbelasting 0-46.236208.912211.191-82.736-46.195107.84892.12662.32733.18215.675-54.241-44.76-35.774-22.434000000000000
Aandelen Gebaseerde Vergoedingen 5.6622.6186.6878.7713.38610.412.68512.3769.7347.4135.7994.6942.1121.7240.828000000000000
Verandering in Werkkapitaal 70.25943.618-215.599-219.96279.3535.795-120.533-104.502-72.061-35.537-17.533-87.206-42.424-38.98163.932106.85535.441-19.723-2.673-68.0785.074-46.778-2.380000
Vorderingen 28.6694.541-79.432-131.797102.3841.352-64.801-60.152-43.105-7.945-20.532-28.41000000000000000
Voorraden 33.06139.077-136.167-88.165-23.03-5.557-55.732-44.35-28.956-27.5922.99939.8357.267-51.713.80143.8874.13-2.3969.626-30.12715.781-34.5963.60000
Crediteuren 07.98319.605-54.26318.36600000028.41000000000000000
Overig Werkkapitaal 21.534-7.983-19.60554.263-18.366-17.561-7.1124.3988.839-0.554-14.365-98.631-49.69112.71950.13162.96831.311-17.327-12.299-37.951-10.707-12.182-5.980000
Overige Niet-Contante Posten 11.5680.534-246.048-28.683794.308-29.647-46.675102.82617.247-2.82127.296-4.7664.7960.88515.318-16.517-1.736-17.6195.0441.71516.87923.304-39.99211.13220.60725.04754.725
Kasstroom uit Operationele Activiteiten 581.883432.492183.589434.383545.792455.84400.801399.945241.379267.143307.295167.365233.149241.05248.551216.929262.483163.872159.278122.82184.39165.914102.637156.502156.174130.669135.59
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -186.154-226.562-316.44-263.573-282.082-391.444-305.824-240.242-186.239-119.875-92.171-82.634-91.252-88.56-40.452-62.847-98.545-76.683-65.095-60.654-48.119-47.157-36.431-53.615-34.685-24.217-32.514
Netto Overnames -3-21.827-28.2341.3490.945-2.372-104.777-94.591-671.184-9.488-6.071126.66928.962-3-7.773-2.4682.546-7.764-559.617-43.052-18.262-14.211-36.943-8.307-324.1081.3230.056
Aankoop van Beleggingen -63-1.26-7.036-1.41-1.08-8.36104.63294.342671.005-3.2574.61323.51668.084-0.35-4.927-0.009-4.986-3.071-18.584-0.326-2.308-0.428-1.684-4.515-41.535-1.995-1.78
Verkoop/verval van Beleggingen 0.09723.0870.030.0610.1350.1460.1450.2490.1794.3731.4583.666.9542.7141.3911.8281.182.08576.8485.8091.8242.751.7113.25895.0716.3333.129
Overige Investeringsactiviteiten -40.488-14.2380.483-1.054113.349-9.703-111.4580.4226.6138.54115.933.66-43.93417.148-2.37-3.51318.66133.15515.80214.2818.35714.5459.56918.4745.996-0.04610.113
Kasstroom uit Investeringsactiviteiten -225.405-240.8-351.197-264.627-168.733-411.733-417.282-334.162-850.631-119.706-80.85474.871-31.186-72.048-54.131-67.009-81.144-52.278-550.646-83.942-58.508-44.501-63.778-44.705-299.261-18.602-20.996
Financieringsactiviteiten:
Schuldaflossingen -87.696-113.857-56.398-54.117-314.758-220.772-32.367-54.481-32.358-10.751-18.309-91.814-159.438-260.502-535.328-70.524-89.669-322.35-20.25200-0.264-1.213-0.424-50.27800
Uitgifte van Gewone Aandelen -8.705-0.603-2.305-3.783-6.321-1.49700-22.014-50.726-2.8910-2.623159.3050089.669020.25200000000
Terugkoop van Gewone Aandelen -8.705-0.603-2.305-3.783-6.321-1.49700-27.249-105.721-4.541-19.873-31.884-10.6610-0.145-5.1030-2.36800000000
Uitgekeerde Dividenden -52.473-12.424-54.193-17.034-25.649-43.334-56.498-55.395-54.394-54.287-50.402-46.034-41.902-37.86200-61.23-61.23-73.005-63.585-63.585-53.2230-47.75-41.454-26.658-15.311
Overige Financieringsactiviteiten -5.63817.11491.24841.57232.22407.28132.29-15.066164.629243.2065.27111.79262.585-35.113399.808-10.724-9.597180.079528.93-0.146-4.75202.01849.59591.45425.658-0.671
Kasstroom uit Financieringsactiviteiten -5.87-110.373-23.953-37.145-320.829140.1843.425-124.94228.61421.721-70.872-145.929-173.262-184.833-135.52-81.393-75.93-203.501453.557-63.731-68.337-53.4870.8051.421-0.278-1-15.982
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -9.413-18.059-2.50222.487-11.847-13.24314.309-6.4770.791-39.9727.493-0.53.6265.4882.231-6.60512.0592.67900000-71.263-52.789-20.994-9.031
Netto Kasstroomverandering 341.19563.26-194.063155.09844.383171.04441.253-65.636-579.847129.186163.06295.80732.327-10.34361.13135.252117.468-89.22862.189-24.85357.54567.92639.66441.955-196.15490.07389.58
Kaspositie aan het Einde van de Periode 749.859408.664345.404539.467384.369339.986168.942127.689193.325773.172643.986480.924385.117352.79363.133302.002266.75149.282238.51222.076246.929189.384121.45881.79439.839235.938145.932