Texwinca Holdings Limited

HKEX:0321.HK

0.88 (HKD) • At close November 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,555.1021,584.769995.241,648.5371,088.8282,079.9822,445.0284,022.9143,005.2534,372.064,024.1085,151.3634,500.3184,232.8351,526.465800.8817.617244.829250.921681.59633.758484.781556.592
Kortetermijnbeleggingen 36.03385.3881,450.103114.755742.9168.536211.421265.531128.4716.40768.87712.63423.38417.006290.61920.98762.33525.58811.8070000
Liquide middelen en kortetermijnbeleggingen 1,591.1321,970.1572,445.3431,763.2921,831.7382,205.4642,656.4494,288.4453,133.7234,372.064,092.9855,163.9974,523.7024,249.8411,817.084821.787879.952270.417262.728681.59633.758484.781556.592
Nettovorderingen 922.777802.1941,126.4281,157.201909.596950.51,050.349788.895697.599916.595890.212000001,017.88501,294.28762.823534.8340334.921
Voorraad 1,541.2131,519.8892,484.1482,388.5332,102.442,171.7582,237.5682,050.4352,047.1911,867.4721,898.3921,991.7842,712.5412,960.3782,163.7871,656.0951,587.0751,290.341,298.0851,055.1061,041.678853.492528.013
Overige vlottende activa 219.796308.468325.044895.395817.086870.242610.325473.654758.863533.914454.7552,470.8130.680.6730.6651,432.777545.9280.6460.571.778341.211629.683134.068
Totaal vlottende activa 4,274.9184,600.7086,380.9636,204.4215,660.866,197.9646,554.6917,601.4296,637.3767,690.0417,336.3449,696.2310,723.8059,554.0445,539.4853,910.6593,968.5053,054.9942,855.6632,519.5462,551.4811,967.9561,553.594
Niet-vlottende activa:
Materiële vaste activa, netto 2,108.5171,614.0771,793.1861,705.5931,762.1321,355.841,474.9481,340.7061,479.4131,641.8591,822.0862,030.5682,238.8762,236.7692,273.5712,428.0752,490.6662,443.2142,003.2191,975.8381,412.0441,105.745880.73
Goodwill 18.5760000000000000000000000
Immateriële activa 33.29333.29333.29333.29333.29333.29333.29333.29333.29333.29333.29355.95656.44233.29333.29333.29333.29333.29333.22733.11935.99538.81441.478
Goodwill en immateriële activa 51.86933.29333.29333.29333.29333.29333.29333.29333.29333.29333.29355.95656.44233.29333.29333.29333.29333.29333.22733.11935.99538.81441.478
Langetermijnbeleggingen -13.278582.251612.965641.045739.048278.147379.545349.496598.36296.18278.93764.29778.446115.562-170.2790.284104.76495.876157.253139.548133.2750126.897
Belastingvorderingen 19.84547.95473.29339.26123.6318.09932.80928.359000316.983000165.608025.58800000
Overige niet-vlottende activa 666.28768.33984.048116.78193.369-18.099-32.809-28.359-2,111.068-1,771.334-1,934.316149.122338.754320.373579.408164.035292.869189.434216.478150.512257.89255.818190.876
Totaal niet-vlottende activa 2,833.242,345.9142,596.7852,535.9732,651.4721,667.281,887.7861,723.4952,111.0681,771.3341,934.3162,616.9262,712.5182,705.9972,716.0022,881.2952,921.5922,787.4052,410.1772,299.0171,839.2041,400.3771,239.981
Totaal activa 7,108.1586,946.6228,977.7488,740.3948,312.3328,578.9569,219.8079,975.4659,324.8089,999.1699,727.00912,313.15613,436.32312,260.0418,255.4876,791.9546,890.0975,842.3995,265.844,818.5634,390.6853,368.3332,793.575
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 573.47435.979918.557861.081709.872846.0071,038.592834.475977.7251,056.832964.2781,728.3423,134.7822,224.651,035.66958.516972.321950.9181,008.5858.823758.328680.637607.255
Kortlopende schulden 433.474549.5591,485.1021,050.1391,433.0011,491.1131,144.8312,474.369573.1271,733.5821,488.023,283.463,193.3323,024.5351,223.044398.93454.219546.981418.168420.538313.02917.90119.455
Belastingschulden 10.1943.96442.875304.338183.589192.244234.18315.07621.29735.17779.946175.044246.706306.821252.77300.084312.656202.25156.627116.57479.71952.40137.506
Uitgestelde opbrengsten 10.1943.96442.875304.33832.181-1,491.11311.814.1558.316-1,748.298-1,502.453175.512246.706306.821252.77311.315-141.56300.694-39.44949.433018.051
Overige kortlopende verplichtingen 377.178529.663500.331656.847462.719536.183531.376539.068747.571515.281477.901609.976450.495541.308405.115326.492405.233263.876262.235282.186282.743222.0210
Totaal kortlopende verplichtingen 1,414.7041,527.0933,032.6152,872.4052,853.5433,065.5473,206.7653,829.3732,284.6163,370.3043,039.0115,796.8227,025.3156,097.3142,916.5891,984.0222,144.4291,952.7221,845.531,673.2421,433.819972.96664.216
Langlopende verplichtingen:
Langetermijnschulden 811.276298.152400.412346.178426.06437.5187.580.682313.258158.328366.664225412.567563.724489.744506.914812.769557.791478401.654414.68822.01139.538
Uitgestelde opbrengsten niet-vlottend 0-00-02.236486.947-87.325146.9537.623232.4742250000-909.70200000-76.509
Uitgestelde belastingverplichtingen niet-vlottend 81.92295.815100.042107.205100.27694.355100.553168.007166.305150.705134.19120.879129.35686.31656.45826.2316.6145.563.5881.1733228.191
Overige niet-vlottende verplichtingen 7.6919.9999.1614.85300000000-16.895000008.7738.1117.9544.9410
Totaal niet-vlottende verplichtingen 900.889403.966509.614468.236528.57637.5187.580.682313.258158.328366.664345.879541.923650.04546.202533.144829.383574.654490.361410.938425.64228.95267.729
Totaal passiva 2,315.5931,931.0593,542.2293,340.6413,382.1193,201.4023,494.8184,078.0622,764.1793,679.3373,539.8656,142.7017,567.2386,747.3543,462.7912,517.1662,973.8122,527.3762,335.8912,084.181,859.4611,001.912731.945
Eigen vermogen:
Preferente aandelen 00000000000000000000000
Gewone aandelen 69.08569.08569.08569.08569.08569.08569.08569.08569.08569.08569.08568.17868.06868.04266.7366.3666.356066.31466.30566.239066.183
Ingehouden winsten 3,734.8963,773.913,975.1014,032.7433,827.6154,070.3294,159.5914,573.7454,979.5064,730.2354,661.607368.222326.725000331.75198.913145.892145.881159.047185.437158.838
Overige gereserveerde algehele resultaten 276.861475.465685.837590.825326.162530.789520.594541.644845.895579.545518.428-3,648.729-3,260.753-2,850.9730-2,375.2030000000
Overige totale aandeelhoudersvermogen 707.351707.351707.351707.351707.351707.3514,659.6881,149.5435,217.08707.351361.878604.884547.413590.2714,506.1266,309.981350.5983,049.167344.158346.3142,223.1722,130.2741,799.638
Totaal eigen vermogen van aandeelhouders 4,788.1935,025.8115,437.3745,400.0044,930.2135,377.5545,249.3185,449.6336,132.0116,086.2165,956.4715,862.3345,546.4575,232.654,572.8564,001.1383,819.3523,248.082,871.8012,630.8852,448.4582,315.7112,024.659
Totaal eigen vermogen 4,792.5655,015.5635,435.5195,399.7534,930.2135,377.5545,724.9895,897.4036,560.6296,319.8326,187.1446,170.4555,869.0855,512.6874,792.6964,137.9633,916.2853,315.0232,929.9492,734.3832,531.2242,366.4212,061.63
Totaal passiva en aandeelhoudersvermogen 7,108.1586,946.6228,977.7488,740.3948,312.3328,578.9569,219.8079,975.4659,324.8089,999.1699,727.00912,313.15613,436.32312,260.0418,255.4876,791.9546,890.0975,842.3995,265.844,818.5634,390.6853,368.3332,793.575