China Travel International Investment Hong Kong Limited

HKEX:0308.HK

1.46 (HKD) • At close July 4, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 418.47702.004-355.792174.016-390.792386.88687.0761,147.843352.0531,352.751,738.8841,151.8891,119.778960.524400.411188.731247.722720.912375.004612.66901.654-39.81-261.243728.787431.181250.132-317.358
Afschrijvingen & Amortisatie 524.634544.837541.585589.829592.309488.602470.15407.189417.528468.176487.395455.931466.609452.816670.278702.404451.099317.069306.397157.269141.821134.488135.0950000
Uitgestelde Inkomstenbelasting 00000-1,440.222-95.932-239.488186.010-71.166203.308-623.56400000000000000
Aandelen Gebaseerde Vergoedingen 4.30614.259000-32.326-3.74329.0558.54901.29811.97521.28200000000000000
Verandering in Werkkapitaal -257.303-68.34-160.038-3.219-150.848-506.88499.675210.433-194.52-318.24769.868-215.283-5.186438.136188.37395.127-150.549-38.78373.67-38.973-191.715-147.77819.0480000
Vorderingen 0-157.28843.187.104-730.02652.548-48.628-34.91715.037-14.78267.159-177.392000000000000000
Voorraden 0-55.595771.537-126-358.11-589.943148.303245.35-209.557-303.4652.709-37.891-22.408-4.454-0.665-0.267-2.462-0.5481.351-5.171-0.4863.267-0.5320000
Crediteuren 0142.865-873.463109.557871.14940.312-218.099-302.766264.464-353.35200000000000000000
Overig Werkkapitaal -257.3031.678-101.212-73.8866.139-9.801218.099302.766-264.464353.352-10.30449.28517.222442.59189.03895.394-148.087-38.23572.319-33.802-191.229-151.04519.580000
Overige Niet-Contante Posten 2.19-171.259-207.328-573.409-486.2081,740.241-512.492-1,024.346343.325-300.9-1,117.288-324.998-77.436-502.623-331.012-355.76141.337-242.507-7.772-249.588-394.92218.502597.671-388.519641.517894.702-427.027
Kasstroom uit Operationele Activiteiten 692.2971,021.501-181.573187.217-435.539634.552644.734770.174926.8961,201.7791,180.1571,079.514901.4831,348.853928.05630.501589.609756.691747.299481.368456.84165.402490.571340.2681,072.6981,144.834-744.385
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -862.479-1,059.576-863.835-680.576-480.322-461.426-1,470.889-607.006-922.42-477.201-1,340.245-1,234.742-623.676-635.407-462.675-587.91-433.109-322.562-563.671-1,411.427-490.705-288.751-233.304-62.788-79.752-95.57-59.326
Netto Overnames 35.564-897.929134.303231.841313.302226.21281.48459.757402.366646.8241,458.10842.1644.55139.467258.612231.301-421.958-47.337105.793.1024.064-56.874-205.6310000
Aankoop van Beleggingen -157.170-429.597-1,106.023-969.752-1,933.411-4,000.994-5,020.058-5,454.617-7,329.525-5,202.897-4,941.945-1,394.171239.674057.51-0.41424.4257.965-15.477-0.885-12.05334.3170000
Verkoop/verval van Beleggingen 203.041179.478177.644978.0271,435.7013,140.9033,719.3394,551.867,405.6125,975.4734,722.4284,393.3091,430.623335.02029.48815.7764.310.5714.1850.9512.2950.0650000
Overige Investeringsactiviteiten 299.458248.1825.310.80610.14273.91160.48348.398403.361592.804149.784285.049-384.623-608.373532.946-44.277271.736514.5634.05646.981423.143103.961254.154156.056-346.136-12.188-253.328
Kasstroom uit Investeringsactiviteiten -481.586-1,529.845-981.485-576.731298.9291,246.188-1,510.577-967.0491,834.302-591.625-212.822-1,456.169-927.296-629.619328.883-313.888-567.969173.396-415.379-1,282.636-63.432-251.422-150.39993.268-425.888-107.758-312.654
Financieringsactiviteiten:
Schuldaflossingen -73.75739.55569.253315.428575.488-285.019153.035-6.803-709.012-38.455368.07595.023-414.414524.949-188.758-154.617-154.413-137.788-1,337.3461,305.965-454.648133.439-336.034756.574-519.558290.632-45.317
Uitgifte van Gewone Aandelen 000000.42512.4584.5635.52588.69228.67900000000212.83750.05711.553.0488.294000
Terugkoop van Gewone Aandelen 00000000-260.676-314.323-68.44-33.924-45.778-8.0120000000000000
Uitgekeerde Dividenden -138.417-83.05000-61.81-462.872-272.368-355.372-672.467-505.199-282.174-283.724-170.86100-455.629-328.228-344.799-455.513-397.112-210.966-433.309-358.365-213.323-130.047-103.974
Overige Financieringsactiviteiten -61.698-78.244674.28361.718140.80729.357-193.054-98.809-59.477-148.443-165.894-109.796-83.428-79.03-62.533-71.107-72.42122.907915.201-49.671-14.5741,113.986-41.531-88.621-396.002-521.23423.491
Kasstroom uit Financieringsactiviteiten -273.865578.261765.026333.895630.688-506.534-490.433-373.417-1,379.012-1,084.996-342.779-330.871-846.257267.046-251.291-293.024-682.463-478.025-766.9441,013.618-816.2771,048.009-807.826404.005-1,128.883-360.649-125.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -109.064-25.027-253.36964.38387.391-39.059-47.215127.618-151.541-249.052-20.30323.362-2.31521.65637.01515.55926.6520000000000
Netto Kasstroomverandering -172.21844.89-664.945126.411-258.3332,114.48-1,403.491-442.6741,230.645-723.894604.253-684.164-874.3851,007.9361,042.65739.148-634.171452.062-435.024212.35-422.869961.989-467.654837.541-482.073676.427-1,182.839
Kaspositie aan het Einde van de Periode 2,288.1292,460.3472,419.5143,084.4592,958.0483,216.3811,101.9012,505.3922,948.0661,717.4212,441.3151,837.0622,521.2263,395.6112,387.6751,345.0181,305.871,940.0411,487.9791,923.0031,710.6532,133.5221,171.533837.541-482.073676.427-1,182.839