Cathay Pacific Airways Limited

HKEX:0293.HK

8.14 (HKD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst 3,6135,5214,268-1,549-4,9992,038-7,565-11,783-9,8653441,3472,608-263792-2,051-9283534,0281,9722,8033472,5962444744704471,3751,3751,3751,3753,521.53,521.53,521.53,521.51,433.251,433.251,433.251,433.25-1,982.25-1,982.25-1,982.25-1,982.251,934.751,934.751,934.751,934.751,304.51,304.51,304.51,304.58678678678671,1291,1291,1291,129336.75336.75336.75336.751,000.751,000.751,000.751,000.75174.75174.75174.75174.751,272.751,272.751,272.751,272.75568.75568.75568.75568.75-126.75-126.75-126.75-126.75
Afschrijvingen & Amortisatie 5,9586,0906,3486,2416,1876,3936,4327,0217,5787,6777,3364,3794,8744,2924,5364,6833,3563,8654,5263,9524,0653,6743,4681,684.751,684.7501,684.751,5421,5421,5421,5421,587.751,587.751,587.751,587.751,4211,4211,4211,4211,298.751,298.751,298.751,298.751,2111,2111,2111,2111,073.751,073.751,073.751,073.7500000000000000000000000000000000
Uitgestelde Inkomstenbelasting 0-13,5330-13,9810-13,6780-18,7310-19,310000000000002,2480000000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 01,30006620711084502,16400000000000-1,0261,026000000000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal 0530150093604,1040-2240-3470-2,78203,8270-12,3220-15,33902,4620171.25171.250171.251,164.51,164.51,164.51,164.5641.25641.25641.25641.25-1,557.5-1,557.5-1,557.5-1,557.51,717.251,717.251,717.251,717.25663.5663.5663.5663.5401.25401.25401.25401.2500000000000000000000000000000000
Vorderingen 0-607050-15903,75101,7760-1,1740-2,270040802,35101,0080-9050000000000000000000000000000000000000000000000000000000000000
Voorraden 0170013203400930160-3130-10-14802230-780-3170-9.75-9.750-9.75-33.5-33.5-33.5-33.500003.253.253.253.25-20.5-20.5-20.5-20.5-23.25-23.25-23.25-23.25-16.75-16.75-16.75-16.7500000000000000000000000000000000
Crediteuren 00000000000000000000000000000000000000000000000000000000000000000000000000000000000
Overig Werkkapitaal 0-1110-687075502600-2,01601,1400-51103,5670-14,8960-16,26903,684018118101811,1981,1981,1981,1980000-1,560.75-1,560.75-1,560.75-1,560.751,737.751,737.751,737.751,737.75686.75686.75686.75686.7541841841841800000000000000000000000000000000
Overige Niet-Contante Posten 1,0427,96421,15920,08017,82811,76515,42213,3019,33013,18715,871-6083,882-765301-6,4311,24811,6412,28512,9801,477-1,3501,802-443-4430-443-586.5-586.5-586.5-586.5-1,350.75-1,350.75-1,350.75-1,350.75-788-788-788-788-579.75-579.75-579.75-579.75-517.25-517.25-517.25-517.25-650.25-650.25-650.25-650.25982.25982.25982.25982.251,172.251,172.251,172.251,172.258798798798791,029.51,029.51,029.51,029.5978.5978.5978.5978.5798.25798.25798.25798.251,087.51,087.51,087.51,087.51,143.251,143.251,143.251,143.25
Kasstroom uit Operationele Activiteiten 10,6137,39519,07912,2906,6427,4101,425-5,503-8,1135,8549,8826,0328,4931,5372,7861,1514,9577,2128,7834,3965,8896,3566,3201,8601,86001,8603,4953,4953,4953,4954,399.754,399.754,399.754,399.75508.75508.75508.75508.754544544544543,2923,2923,2923,2922,129.252,129.252,129.252,129.251,849.251,849.251,849.251,849.252,301.252,301.252,301.252,301.251,215.751,215.751,215.751,215.752,030.252,030.252,030.252,030.251,153.251,153.251,153.251,153.252,0712,0712,0712,0711,656.251,656.251,656.251,656.251,016.51,016.51,016.51,016.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,907-4,807-1,994-2,350-1,379-1,260-1,016-3,766-1,652-4,517-7,654-11,990-4,001-8,691-8,235-12,058-2,828-5,125-8,054-9,056-5,762-13,733-6,801-5,243.75-5,243.75-1,257-5,243.75-4,402.5-4,402.5-4,402.5-4,402.5-2,074.75-2,074.75-2,074.75-2,074.75-1,694-1,694-1,694-1,694-2,307-2,307-2,307-2,307-2,450.25-2,450.25-2,450.25-2,450.25-1,327.75-1,327.75-1,327.75-1,327.75000000000000000000000000-662.75-662.75-662.75-662.75-1,268.5-1,268.5-1,268.5-1,268.5
Netto Overnames 15118240232772409657-1,5862300000000000000000000-548.5-548.5-548.5-548.5000000000000000000000000000000000000000000000000
Aankoop van Beleggingen -1,4312,371-2,371111-2941,121-1,121-7,1660-6000000000000000000-401-401-401-401-282.5-282.5-282.5-282.50000-109.75-109.75-109.75-109.75-1,147.75-1,147.75-1,147.75-1,147.75000000000000000000000000-21.25-21.25-21.25-21.2500000000
Verkoop/verval van Beleggingen 243,90202302,58193-4,7584,7581,573223000000000000000000001.751.751.751.75476.75476.75476.75476.750000000010.2510.2510.2510.2500000000000000000000000000000000
Overige Investeringsactiviteiten -1,175-18-399-26-9-88-102,252-2,2525,0612,2982,074-7845,615-424767-2,2411,5102,5431,034-2,3704,937.754,937.752484,937.755,264.55,264.55,264.55,264.5280.75280.75280.75280.752,279.52,279.52,279.52,279.54,183.254,183.254,183.254,183.252,449.752,449.752,449.752,449.751,300.251,300.251,300.251,300.250000000000000000000021.2521.2521.2521.25982.5982.5982.5982.51,478.751,478.751,478.751,478.75
Kasstroom uit Investeringsactiviteiten -4,0821,630-4,364-2,184-1,6722,505-2,012-15,5863,153-2,338-9,660-6,929-1,703-6,617-9,019-6,443-3,252-4,358-10,295-7,546-3,219-12,699-9,171-306-306-1,009-306461461461461-2,623.25-2,623.25-2,623.25-2,623.251,062.251,062.251,062.251,062.251,766.51,766.51,766.51,766.5-1,148.25-1,148.25-1,148.25-1,148.25-17.25-17.25-17.25-17.25-1,120.25-1,120.25-1,120.25-1,120.25-1,450.75-1,450.75-1,450.75-1,450.75-1,073.75-1,073.75-1,073.75-1,073.75-1,265.5-1,265.5-1,265.5-1,265.5-1,033.25-1,033.25-1,033.25-1,033.25-615.5-615.5-615.5-615.5319.75319.75319.75319.75210.25210.25210.25210.25
Financieringsactiviteiten:
Schuldaflossingen -1,767-4,973-10,012-13,323-7,208-10,254-3,652-3,083-2,264-7,961-2,0560-8,1090-1,2910-1,1650-1,3920-5,8540-852-2,256.25-2,256.250-2,256.25-2,218.5-2,218.5-2,218.5-2,218.50000-1,090.5-1,090.5-1,090.5-1,090.5-952.5-952.5-952.5-952.5-927.5-927.5-927.5-927.5-1,446.5-1,446.5-1,446.5-1,446.500000000000000000000000000000000
Uitgifte van Gewone Aandelen 000000031,1390000000000000000000000000000000000088881313131319.519.519.519.549.7549.7549.7549.751414141400000000000000000000
Terugkoop van Gewone Aandelen 0-9,750000000000000000000000000000000000000000000000000000000000000000000000000000000000
Uitgekeerde Dividenden -3,012-445-1,524000000-708-787-393-19700-197-1,062-1,023-1,023-393-629-236-31500-172000000000000000000000000000000000000000000000000000000000
Overige Financieringsactiviteiten 0273-10,012-9,028-7,208-10,584021,0450837-13,757-1807,254-2548,803-155-555-1625,557-14510,315-1512,590.752,590.757922,590.753,162.753,162.753,162.753,162.75424.25424.25424.25424.251,090.51,090.51,090.51,090.51,5621,5621,5621,5621,480.751,480.751,480.751,480.752,181.52,181.52,181.52,181.5529.5529.5529.5529.5497.5497.5497.5497.5244.75244.75244.75244.75175.25175.25175.25175.25478.75478.75478.75478.75414.5414.5414.5414.584.7584.7584.7584.75173.5173.5173.5173.5
Kasstroom uit Financieringsactiviteiten -4,779-11,642-11,536-9,028-7,208-10,5843,65221,0452,264375-2,8443,364-8,4867,2541,0378,606-2,382-1,578-2,5775,164-6,62810,079-1,318-2,234.75-2,234.75620-2,234.75189.5189.5189.5189.51,138.251,138.251,138.251,138.25568.75568.75568.75568.75270270270270542.5542.5542.5542.5620620620620-1,673.5-1,673.5-1,673.5-1,673.5-2,087.25-2,087.25-2,087.25-2,087.25-1,332.25-1,332.25-1,332.25-1,332.25-1,358.25-1,358.25-1,358.25-1,358.25-947-947-947-947-1,040-1,040-1,040-1,040-1,203.5-1,203.5-1,203.5-1,203.5-837.75-837.75-837.75-837.75
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -25-6-2-38-3512-186-61-32-9-4210-5163-10135-148-43-71-13324-30-119.75-119.750-119.75-277.25-277.25-277.25-277.2559.559.559.559.5131.25131.25131.25131.2555.7555.7555.7555.75126.5126.5126.5126.560.2560.2560.2560.251,3471,3471,3471,347488.75488.75488.75488.751,7471,7471,7471,747798.75798.75798.75798.751,180.51,180.51,180.51,180.5-565.25-565.25-565.25-565.25-855.75-855.75-855.75-855.75-954.5-954.5-954.5-954.5
Netto Kasstroomverandering 1,727-2,6233,1771,040-2,273-6573,06442-2,7573,859-2,6312,425-1,6862,169-5,0333,213-6421,128-4,1321,943-4,0913,760-4,199796.5796.579796.5335335335335-455.5-455.5-455.5-455.5762.25762.25762.25762.2568686868251.5251.5251.5251.5375375375375402.5402.5402.5402.5-748-748-748-748556.75556.75556.75556.75205.25205.25205.25205.25353.5353.5353.5353.5-149.75-149.75-149.75-149.75-83.25-83.25-83.25-83.25-565.5-565.5-565.5-565.5
Kaspositie aan het Einde van de Periode 9,6217,89410,5177,3406,3008,5739,2306,1666,1248,8815,0227,6535,2286,9144,7459,7786,5657,2076,07910,2118,26812,3598,5993,199.53,199.51,3113,199.52,4032,4032,4032,4032,0682,0682,0682,0682,523.52,523.52,523.52,523.51,761.251,761.251,761.251,761.251,693.251,693.251,693.251,693.251,441.751,441.751,441.751,441.751,066.751,066.751,066.751,066.75664.25664.25664.25664.251,412.251,412.251,412.251,412.25855.5855.5855.5855.5650.25650.25650.25650.25296.75296.75296.75296.75446.5446.5446.5446.5529.75529.75529.75529.75