Lippo Limited

HKEX:0226.HK

0.72 (HKD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 454.717868.547957.0041,258.4731,175.2082,830.781,797.3282,136.9192,941.1134,405.574,066.9232,493.2111,636.2581,530.0141,313.1151,441.456748.483926.0481,302.8451,940.3742,006.211,583.986
Kortetermijnbeleggingen 304.193308.509561.128648.459519.483657.491,823.441,082.732822.13576.108385.591366.821247.142152.433311.784112.1592.454934.74217.019000
Liquide middelen en kortetermijnbeleggingen 758.911,177.0561,518.1321,906.9321,694.6913,488.273,620.7683,219.6513,763.2434,981.6784,452.5142,860.0321,883.41,682.4471,624.8991,553.615750.9371,860.7881,519.8641,940.3742,006.211,583.986
Nettovorderingen 65.02660.96776.552104.8320143.563,140.0472,360.166563.612-445.113263.374860.21900450.622298.952000000
Voorraad 112.416116.844117.611117.426122.08127.08425.419365.486655.3931,811.7361,653.5952,960.689003.0612.081.0920139.548105.78120.80164.611
Overige vlottende activa -936.352-1,354.867-1,712.295-2,011.764326.892408.636-6,827.84774.281,145.5141,740.11,186.3412,724.676670.973199.226649.961,270.8582,380.092952.772,007.9992,370.222,713.3712,484.442
Totaal vlottende activa 1,038.1891,411.5871,769.8622,230.1592,143.6634,023.9865,010.4166,019.5835,564.158,088.4017,555.8247,420.1012,798.7742,281.6552,728.5423,125.5053,132.1213,346.913,667.4114,416.3744,840.3824,133.039
Niet-vlottende activa:
Materiële vaste activa, netto 1,199.6251,243.6941,302.9841,315.4631,292.7481,092.221,072.969221.02296.433411.133454.231150.647271.012285.307369.073479.3574,386.185244.2784,051.922,868.5832,275.2712,345.434
Goodwill 21.03421.03421.03421.03421.03485.13113.579106.08193.634172.957183.05971.48571.48571.48571.48594.85694.85657.28572.692-32.341-31.1363.881
Immateriële activa 021.03421.03421.034096.46299.65992.684115.087325.831376.651399.3120000000000
Goodwill en immateriële activa 21.03421.03421.03421.03421.034181.592213.238198.765208.721498.788559.7171.48571.48571.48571.48594.85694.85657.28572.692-32.341-31.1363.881
Langetermijnbeleggingen 12,162.04111,893.53912,181.15111,992.29511,355.54612,387.79910,471.1479,397.6719,108.9968,025.8868,467.749,971.8598,845.0058,290.3844,262.6624,733.6685,359.9822,442.4731,269.6251,155.995958.470
Belastingvorderingen 5.2336.9374.2254.8152.8070.8458.3265.2238.0286.8126.70804,935.2714,448.3793,770.7570.1842.4540217.0194.1154.2820
Overige niet-vlottende activa 703.7511,014.9861,317.352759.8691,341.7871,011.1862,795.2412,641.7542,270.3182,240.3022,895.3065,153.4691,581.6241,042.87835.0674,112.90227.8845,151.254171.031199.442182.6341,592.467
Totaal niet-vlottende activa 14,091.68414,180.1914,826.74614,093.47614,013.92214,673.64214,560.92112,464.43311,892.49611,182.92112,383.69515,347.4615,704.39714,138.4259,309.0449,420.9679,871.3617,895.295,782.2874,195.7943,389.5274,001.782
Totaal activa 15,129.87315,591.77716,596.60816,323.63516,157.58518,697.62819,571.33718,484.01617,456.64619,271.32219,939.51922,767.56118,503.17116,420.0812,037.58612,546.47213,003.48211,242.29,449.6988,612.1688,229.9098,134.821
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 224.256220.95258.44543.7301.354464.9421,552.71,868.5281,268.6651,519.0541,737.2483,778.43700046.63846.9681,165.4140000
Kortlopende schulden 414.436867.493491.84796.596962.4971,289.332722.2661,540.467402.0951,309.8631,207.297617.583290.689588.779191.98699.232931.953454.15251.233471.654355.354508.497
Belastingschulden 147.198146.98152.1340174.359192.633231.67286.639325.89561.971780.81148.65753.96656.7692.01463.19583.05867.9672.84370.8563.72142.641
Uitgestelde opbrengsten -47.10600-796.596174.359-1,694.731000566.493796.80984.370001,420.99883.05867.960000
Overige kortlopende verplichtingen 194.873146.98161.9581,278.11921.6061,897.134246.183291.538331.36444.582332.18266.7861,719.7081,264.0981,293.337133.221,722.487305.5211,123.008925.0681,193.905961.902
Totaal kortlopende verplichtingen 786.4591,235.423912.2431,321.8191,459.8161,956.6772,521.1493,700.5332,002.123,839.9924,073.5344,747.1762,010.3971,852.8771,485.3172,300.0882,784.4661,993.0451,374.2411,396.7221,549.2591,470.399
Langlopende verplichtingen:
Langetermijnschulden 1,272.9671,096.6111,494.1881,212.9291,117.3661,438.6681,758.594477.928886.826487.22133.2372,328.3542,294.4051,471.2121,824.3911,554.551,332.3371,850.95962.187805.612700.262735.445
Uitgestelde opbrengsten niet-vlottend -246.0400-581.08301,463.341444.4022,861.315716.1492,237.2162,589.8811,360.6070000000000
Uitgestelde belastingverplichtingen niet-vlottend 26.25733.61442.04246.44244.12866.19371.9769.75267.785104.481221.427707.059793.132694.5513.628468.14507.913532.798354.896176.999160.91116.236
Overige niet-vlottende verplichtingen 380.5659.1510.698683.8117.756-1,438.709-412.586-2,840.249-690.438-2,206.492-2,560.813-1,328.16700170.23131.617002.062000
Totaal niet-vlottende verplichtingen 1,433.7491,139.3751,546.9281,362.0991,169.251,529.4931,862.38568.746980.322622.425383.7323,067.8533,087.5372,165.7122,508.2492,154.3071,840.252,383.7481,319.145982.611861.172851.681
Totaal passiva 2,220.2082,374.7982,459.1712,683.9182,629.0663,486.174,383.5294,269.2792,982.4424,462.4174,457.2667,815.0295,097.9344,018.5893,993.5664,454.3954,624.7164,376.7932,693.3862,379.3332,410.4312,322.08
Eigen vermogen:
Preferente aandelen 0000011,001.0120000000000000000
Gewone aandelen 986.598986.598986.598986.598986.598986.598986.598986.598986.598986.598986.59849.31650.04450.04350.04353.297043.3730000
Ingehouden winsten 7,302.5767,353.7817,135.1036,621.9907,107.0166,909.2166,269.5676,121.8266,108.1094,989.7354,948.5860001,632.2501,347.0040000
Overige gereserveerde algehele resultaten 8,088.633959.6291,826.0771,992.641-619.547-791.0652,440.9281,787.16-597.603-588.479-586.383-200.834-210.579-205.994-306.691-262.5390-269.8450000
Overige totale aandeelhoudersvermogen -7,302.5760009,141.133-8,093.6143.45102,632.2232,791.5963,241.2114,051.4948,051.0397,420.0294,957.73,267.2284,790.0572,619.8993,369.5423,061.2062,800.4722,640.038
Totaal eigen vermogen van aandeelhouders 9,075.2319,300.0089,947.7789,601.2299,508.18410,209.94710,340.1939,043.3259,143.0449,297.8248,631.1618,848.5627,890.5047,264.0784,701.0524,690.2364,790.0573,740.4313,369.5423,061.2062,800.4722,640.038
Totaal eigen vermogen 12,909.66513,216.97914,137.43713,639.71713,528.51915,211.45815,187.80814,214.73714,474.20414,808.90515,482.25314,952.53213,405.23712,401.4918,044.028,092.0778,378.7666,865.4076,756.3126,232.8355,819.4785,812.741
Totaal passiva en aandeelhoudersvermogen 15,129.87315,591.77716,596.60816,323.63516,157.58518,697.62819,571.33718,484.01617,456.64619,271.32219,939.51922,767.56118,503.17116,420.0812,037.58612,546.47213,003.48211,242.29,449.6988,612.1688,229.9098,134.821