Guangdong Investment Limited

HKEX:0270.HK

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Operationele Activiteiten:
Nettowinst 3,122.0694,763.5034,696.9624,509.9445,044.375,015.1195,685.3714,212.0373,905.2774,397.134,426.1174,921.6864,421.5273,760.3372,959.1992,437.2251,997.9021,506.9031,303.4951,149.6991,106.721281.108285.542-1,356.302-2,393.182-2,012.175750.286604.294437.194437.194330.462
Afschrijvingen & Amortisatie 2,485.822,065.1361,889.441,608.9031,529.231,516.641,472.2961,347.6631,115.8451,065.611,062.2611,054.6831,014.975980.398969.2271,006.925905.896927.643909.1851,092.914483.5751,042.999000000000
Uitgestelde Inkomstenbelasting 00000318.925603.587260.176-126.34162.056142.685-1,420.955-264.033-384.2-185.063-10.446000000000000000
Aandelen Gebaseerde Vergoedingen 000000.1090.6933.1929.00822.421.944-0.9312.9737.1499.8671.865000000000000000
Verandering in Werkkapitaal 3,363.601-8,292.729-12,208.505-4,408.186188.887-319.034-604.28-263.368117.332-184.456-164.62944.5298.588206.583122.54-325.412128.59316.283216.582138.185-438.116280.378000000000
Vorderingen -2,212.841-3,958.692-1,793.284-7,124.356-1,122.65-155.67-428.852-271.5138.495-196.272-143.8800000000000000000000
Voorraden 1,000.231-3,297.812-21,005.078278.24983.61-163.364-175.4288.132-21.16311.816-20.7494.576-1.568-10.350.6547.6711.6944.791-5.3320.33-196.8826.504000000000
Crediteuren 787.846-4,227.73510,822.9342,161.783635.51-120.192-68.715-44.162-239.390000000000000000000000
Overig Werkkapitaal 3,788.3653,191.51-233.077276.138592.417120.19268.71544.162239.3923.8650.28539.924300.156216.933121.886-333.083126.89911.492221.914137.855-241.236253.874000000000
Overige Niet-Contante Posten 5,237.044-1,218.905247.61536.231-88.836-204.413-1,482.258799.075281.93-116.064-629.553-49.078-679.945-108.621197.93749.295633.616974.695876.403791.037665.766143.1282,609.5722,697.5113,521.4283,492.925573.52-1.332-34.179-19.942-495.493
Kasstroom uit Operationele Activiteiten 8,812.13-2,682.995-5,374.4932,246.8926,673.6516,327.3465,071.8226,098.5995,429.3925,184.624,716.144,549.9054,794.0854,461.6464,073.73,859.4523,666.0073,425.5243,305.6653,171.8351,817.9461,747.6132,895.1141,341.2091,128.2461,480.751,323.806602.962403.015417.252-165.031
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,099.839-2,895.603-3,966.964-2,887.816-2,061.746-577.864-360.925-507.25-1,373.6-278.864-138.932-126.139-370.398-834.263-268.935-158.805-161.112-314.239-249.766-114.506-47.434-107.034-135.028-157.997-143.967-348.551-1,961.256-1,962.4-1,222.237-787.116-877.546
Netto Overnames 1,028.518-2,934.076-657.425133.619-1,513.125-2,271.51296.028-15.122-2,921.074-400.4641,094.797-397.261-219.683-801.481-15.999-13.821-81.008-128.828-435.1226.439-704.60142.946274.892-621.73521.967-459.534-1,600.825-22.46918.816-556.508-222.623
Aankoop van Beleggingen -1,805.634-801.717-1,170.895-845.969-3,402.931-2,122.342-1,893.445-2,571.542-1,765.359-3,260.254-4,589.898-823.698-1,440.328-357.156-204.246-746.985-213.541-10.301-103.968-102.79522.467107.5250-4.74918.942-131.72-848.381-137.765-53.079-73.232-479.536
Verkoop/verval van Beleggingen 0597.236430.4022,300.4079,206.362261.607688.8642,586.6641,794.1853,660.7182,648.603447.2821,449.4416.816207.179735.053213.64758.265189.3875.84811.69314.11026.56135.72740.137176.3257.5453.941304.7126.81
Overige Investeringsactiviteiten 30.017124-249.141-553.479-731.11-638.598-592.76-172.934-277.195-510.75-402.907227.692-2,026.898-350.256-1,126.023-17.715-441.51372.357-420.88-0.958673.362-409.735-40.2251,203.751-74.014119.181-42.6-63.054-135.362.606-596.802
Kasstroom uit Investeringsactiviteiten -1,846.938-5,910.16-5,614.023-1,853.2381,497.45-5,348.709-2,062.238-3,266.848-4,543.043-4,450.332-1,388.337-672.124-2,607.907-1,926.34-1,408.024-202.273-683.527-322.746-1,020.349-205.972-44.513-352.18899.639445.831-141.345-780.487-4,276.737-2,178.143-1,387.919-1,109.55-2,049.697
Financieringsactiviteiten:
Schuldaflossingen -263.529-13,877.6-15,038.8-2,608.48-1,235.51-6,134.19-1,307.75-2,585.433-3,277.456-1,122.421-238-2,500-728.511-2,408.114-2,458.903-1,395.409-3,161.848-2,977.766-1,062.127-1,065.657-2,931.048-14,826.892-1,933.816-1,218.679-1,015.67-1,506.662-2,546.482-944.709-1,492.092-386.0670
Uitgifte van Gewone Aandelen 000000061.27591.5481.69210.5912.2693.94535.08673.34563.33821.71459.694110.43942.73551.81815.61705.5200813.65558.1894.126958.10745.271
Terugkoop van Gewone Aandelen 00000002,524.1583,185.9081,120.729227.4091,353.444480.95312.627-122.99501,168.0371,27400000608.434004,567.362-12.6542,940.02200
Uitgekeerde Dividenden -4,009.646-4,004.415-3,888.042-3,801.09-3,582.726-3,268.91-2,909.33-2,255.311-1,876.515-1,497.668-1,247.633-1,121.977-1,059.4-683.533-681.852-668.357-666.534-620.242-511.507-361.51200-232.44-19.165-59.796-343.78-387.352-313.049-254.77500
Overige Financieringsactiviteiten -309.63527,417.2429,675.4934,832.827-761.7229,014.006857.849661.3856,017.0212,324.423-147.577-204.281-37.927-273.246-211.393-389.417-479.247-682.593-784.427-1,285.001611.00413,651.626678.64-43.735927.0612,545.442535.0313,375.255123.5081,005.8052,032.063
Kasstroom uit Financieringsactiviteiten -4,144.5639,535.22510,748.651-1,576.743-5,579.958-389.094-3,359.231-4,118.084954.598-293.974-1,622.619-2,470.545-1,340.943-3,017.18-3,401.798-2,389.845-3,117.878-2,946.907-2,247.622-2,669.435-2,268.226-1,159.649-1,487.616-667.625-148.4056952,982.2092,663.0321,320.7891,577.8452,077.334
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -329.193-797.059219.153534.392-194.786-222.354458.43-397.717-442.055-8.75187.701-0.315111.618102.154.799136.523120.99347.2718.350.5-4.98800.2440.7041.3410.170.0362.4574.7288.092-31.117
Netto Kasstroomverandering 2,483.694-666.873-420.226538.9082,375.224367.189108.783-1,684.051,398.892431.5631,792.8851,406.921956.853-379.724-731.3231,403.857-14.405203.14156.044296.928-499.781235.776-443.636-1,431.689197.761558.351-716.085455.737-97.691923.378-182.362
Kaspositie aan het Einde van de Periode 11,881.3339,397.63910,064.51210,484.7389,945.836,887.0146,519.8256,411.0428,095.0926,696.26,264.6374,471.7523,064.8312,107.9782,487.7023,216.1941,812.3371,826.7421,623.6011,567.5571,270.6291,770.411,600.9390.0031,431.6921,265.937707.5861,423.671967.9341,065.625986.959