Computime Group Limited

HKEX:0320.HK

0.56 (HKD) • At close November 12, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 226.699307.77301.758582.064432.031436.488729.615771.92544.427639.654590.907516.063632.211623.341614.407569.292568.819539.206187.973
Kortetermijnbeleggingen -0.705000000.70519.1543.5500000-0.904-1.307003.9
Liquide middelen en kortetermijnbeleggingen 226.699307.77301.758582.064432.031436.488729.615771.92544.427639.654590.907516.063632.211623.341614.407569.292568.819539.206191.873
Nettovorderingen 516.346565.493499.151404.382489.785605.868483.278607.677706.453594.093560.681556.67700422.874394.93510.929424.842327.853
Voorraad 823.976969.47935.884739.223718.676670.969638.279627.068609.045635.318614.687614.368545.58517.263468.528412.608455.306386.567277.865
Overige vlottende activa 100.488139.766678.286491.119565.222658.517520.581678.125750.493637.81611.056591.432496.354554.6821.8082.6140.3234.23129.333
Totaal vlottende activa 1,667.5091,982.4991,915.9281,812.4061,715.9291,765.9741,888.4752,077.1131,903.9651,912.7821,816.651,721.8631,674.1451,695.2861,507.6171,379.4441,535.3741,384.846826.924
Niet-vlottende activa:
Materiële vaste activa, netto 454.008501.691468.157408.397340.105234.876228.301170.966159.388124.338109.719111.962113.409129.058144.105167.757187.462175.167167.831
Goodwill 111.549111.773111.5636.4236.4236.4236.4236.4236.4236.4236.4236.4236.4236.4236.4238.16438.1641.7440
Immateriële activa 302.615262.224231.123177.859170.247154.543121.161106.80199.76670.63947.68148.91847.5244.10246.61445.30231.41217.27719.004
Goodwill en immateriële activa 171.677373.997342.683214.279206.667190.963157.581143.221136.186107.05984.10185.33883.9480.52283.03483.46669.57619.02119.004
Langetermijnbeleggingen 26.28311.68312.14318.35610.0435.8715.6246.27710.40612.65311.17210.266007.05814.06001.769
Belastingvorderingen 22.33823.41114.20814.08726.06913.0526.404-6.277-10.406-12.653-11.172-10.266000.50.7003.9
Overige niet-vlottende activa 279.11347.4546.84520.09529.6945.8288.99610.3214.45315.16818.38512.84310.6773.016-0.199-0.60210.0816.3124.71
Totaal niet-vlottende activa 953.419958.232884.036675.214612.578450.59406.906324.507310.027246.565212.205210.143208.026212.596234.498265.381267.119200.5197.214
Totaal activa 2,620.9282,940.7312,799.9642,487.622,328.5072,216.5642,295.3812,401.622,213.9922,159.3472,028.8551,932.0061,882.1711,907.8821,742.1151,644.8251,802.4931,585.3461,024.138
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 745.3461,012.386807.02771.143715.432592.091499.659729.58652.034640.117525.291426.248601.127624.466448.19328.157434.978337.739347.341
Kortlopende schulden 181.11271.635332.373120.21180.634210.039250.689264.877266.928275.964320.618304.864230.659255.76159.111232.563228.098252.837220.363
Belastingschulden 2.71302.1355.1444.5896.5424.79426.8549.18716.1435.571.2214.4814.0038.6579.4298.4178.3656.363
Uitgestelde opbrengsten 40.216-271.635-332.373-120.21-180.634-210.03924.79426.8549.18716.1435.571.2214.4814.003145.293111.277158.9818.3656.363
Overige kortlopende verplichtingen -578.614-529.212-294.324-526.673-444.243-287.549-370.726-641.27-576.017-565.48-438.696-293.117-605.444-628.247-456.687-335.787-443.235-253.745-241.281
Totaal kortlopende verplichtingen 1,136.1171,495.561,321.8511,020.757991.21903.173928.8691,136.4751,013.3531,023.004943.644866.685836.431884.451752.754673.796822.217691.3686.49
Langlopende verplichtingen:
Langetermijnschulden 52.97778.09848.39239.80151.18600000000018.67228.08240.85620.57726.602
Uitgestelde opbrengsten niet-vlottend -52.977-44.258-39.833-28.643-27.18800000000000000
Uitgestelde belastingverplichtingen niet-vlottend 47.39744.25839.83328.64327.18824.46414.71813.18914.0310.1787.5656.77.3177.6299.1299.6315.0065.006
Overige niet-vlottende verplichtingen 52.97744.25839.83328.64327.1880000000000005.9785.703
Totaal niet-vlottende verplichtingen 100.374122.35688.22568.44478.37424.46414.71813.18914.0310.1787.5656.77.31726.30137.21150.48731.56137.311
Totaal passiva 1,236.4911,617.9161,410.0761,089.2011,069.584927.637943.5871,149.6641,027.3831,033.182951.209873.385843.741891.451779.055711.007872.704722.861723.801
Eigen vermogen:
Preferente aandelen 018.0341,347.8652,005.8681,802.9631,817.7110000000000000
Gewone aandelen 84.25484.25484.25483.97483.97483.97483.97483.64283.393838383838383838300
Ingehouden winsten 921.078855.878865.59828.429753.868758.041812.475749.052671.115610.918551.211532.166515.828508.08300000
Overige gereserveerde algehele resultaten -22.615-18.03438.536-607.458-544.049-529.526-506.968-450.734-454.653-430.185-401.853-384.493-355.071-318.281-288.7470000
Overige totale aandeelhoudersvermogen 398.021378.108-949.844-912.403-837.842-842.015961.556869.221885.964861.626844.479827.127793.84742.7851,167.953849.952845.898861.167300.337
Totaal eigen vermogen van aandeelhouders 1,380.7381,318.241,386.4011,398.411,258.9141,288.1851,351.0371,251.1811,185.8191,125.3591,076.8371,057.81,037.5971,015.587962.206932.952928.898861.167300.337
Totaal eigen vermogen 1,384.4371,322.8151,389.8881,398.4191,258.9231,288.9271,351.7941,251.9561,186.6091,126.1651,077.6461,058.6211,038.431,016.431963.06933.818929.789862.485300.337
Totaal passiva en aandeelhoudersvermogen 2,620.9282,940.7312,799.9642,487.622,328.5072,216.5642,295.3812,401.622,213.9922,159.3472,028.8551,932.0061,882.1711,907.8821,742.1151,644.8251,802.4931,585.3461,024.138