Tingyi (Cayman Islands) Holding Corp.

HKEX:0322.HK

10.2 (HKD) • At close December 24, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Operationele Activiteiten:
Nettowinst 3,117.4614,148.8045,808.6436,531.9125,411.5963,979.3343,392.7362,581.5943,060.884,302.2714,381.4935,167.5454,166.8044,953.0684,268.2313,085.9472,317.4561,845.91997.3112,371.102296.49752.709499.483331.597-296.835
Afschrijvingen & Amortisatie 3,448.6373,265.5773,141.6763,148.0323,257.7713,323.5073,625.3764,044.2083,576.2332,875.0892,741.2772,420.3062,0191,854.3941,375.1231,266.0461,091.7848.6330000000
Uitgestelde Inkomstenbelasting 00-2,266.464-2,021.072-2,828.343-1,720.268-1,941.247-1,557.522-1,220.488-1,734.775-1,582.807-2,425.38600-637.3250000000000
Aandelen Gebaseerde Vergoedingen 00.5225.07515.98824.50432.79944.23458.32859.00473.42672.29985.6560015.5680000000000
Verandering in Werkkapitaal -417.94-663.842-702.8771,197.6872,093.2481,319.3381,510.4672,578.566-547.15-2,472.5831,833.4292,065.296-1,217.6872,697.2881,741.745391.478473.413414.4760000000
Vorderingen 225.786235.449-440.287-13.44245.946-94.731-329.939-74.337-38.708101.731-126.553-28.4110000-99.291-53.5920000000
Voorraden 869.32-583.115-1,341.00297.399-793.335-287.12960.037-525.389187.542457.5963.123-270.53378.581-617.649-143.777-197.295-259.104-54.8550000000
Crediteuren 0-235.449440.28713.442-45.94600000000000433.688302.8780000000
Overig Werkkapitaal -1,513.046-80.727638.1251,100.2882,886.5831,606.4671,450.433,103.955-734.692-2,930.1721,770.3052,335.829-1,296.2693,314.9371,885.522588.773398.12220.0450000000
Overige Niet-Contante Posten -653.315-2,275.748-567.974-318.693-127.75833.17950.352290.563105.135-47.863-85.91-98.196-1,256.045-1,145.33470.629-626.871-321.96414.9011,508.566-1,383.8171,005.497790.408764.895579.999609.333
Kasstroom uit Operationele Activiteiten 5,494.8434,475.3135,418.0798,553.8547,831.0186,967.8896,681.9187,995.7375,033.6142,995.5657,359.787,215.223,712.0728,359.4166,833.9714,116.63,560.6063,123.922,505.877987.2851,301.9871,543.1171,264.377911.597312.498
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3,644.379-3,238.944-2,997.662-2,236.249-1,830.648-1,382.344-1,066.939-1,806.555-3,533.212-8,102.247-5,417.139-5,475.884-8,342.835-6,404.677-3,399.486-3,459.853-3,037.313-2,698.917-1,529.468-1,125.208-1,932.178-1,343.35-658.165-98.332-82.003
Netto Overnames 213.458116.89259.818176.8121,257.096389.013556.772-14.901823.844102.605-93.394-85.575556.223042.73-16.03116.23817.1230-248.82500062.5680
Aankoop van Beleggingen -2,968.911-1,456.992-3,770.087-2,238.916-1,465.033-48.735-916.983-69.348-163.6-280.994-172.941-55.97-589.992-346.667-93.543-104.885-87.741-209.5340000000
Verkoop/verval van Beleggingen 1,760.055441.953963.895172.31985.84987.96479.484124.086128.11628.689412.436395.251.2132.652-42.73154.427200.15937.7790000000
Overige Investeringsactiviteiten 915.626756.9651,500.4971,236.585548.2061,608.636515.9188.288-392.346512.723476.9111,109.619583.154231.008268.217239.549187.02575.69168.5593,094.306434.7170.68723.568-156.92478.129
Kasstroom uit Investeringsactiviteiten -3,724.151-3,380.128-4,043.539-2,889.449-1,404.5391,554.534-831.766-1,578.43-3,137.198-7,739.223-4,794.129-4,112.56-7,792.25-6,387.684-3,224.812-3,186.792-2,621.633-2,777.859-1,360.911,720.274-1,497.468-1,272.664-634.598-192.688-3.874
Financieringsactiviteiten:
Schuldaflossingen -3,955.645-907.322260.3632,295.671,426.712-3,987.095-1,112.641-649.98-1,043.675,997.7861,129.405-134.8733,858.7391,975.34-1,492.9881,236.3950.369901.025-398.427-1,902.857598.618-118.931281.48-319.13-922.559
Uitgifte van Gewone Aandelen 1.53229.15443.4084.38946.10139.7967.38713.6663.7256.59125.50124.03735.014000000000000
Terugkoop van Gewone Aandelen 00000000-14.405000000-13.552000000000
Uitgekeerde Dividenden -2,632.371-6,452.482-6,562.263-3,330.981-2,485.015-928.37-598.505-851.254-1,298.799-1,267.44-1,091.589-1,308.951-1,499.658-1,270.989-888.813-1,032.898-1,000.233-1,011.008-552.292-527.36-436.614-374.732-274.932-274.569-5.074
Overige Financieringsactiviteiten -732.4422,713.145-677.309-599.995-1,836.603-126.619-4,118.388-1,303.916-274.987-285.336-271.805-235.547-395.427-360.297-307.744-7.0080-184.5518.50900-355.684-25.107-47.43278.268
Kasstroom uit Financieringsactiviteiten -7,318.926-4,617.505-6,935.801-1,630.917-2,848.805-5,002.294-5,762.147-2,791.484-2,628.1424,501.601-208.703-1,657.5941,998.668344.054-2,689.545189.85-297.448-294.535-904.297-2,430.216162.003-849.3486.548-641.129-649.366
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -1.738-0.465-10.654-32.72212.29235.403-34.928-462.804-303.09-172.229139.82239.523238.195159.1833.701-150.162-64.6287.447-8.065-7.74-1.325-1.4983.692-0.446-0.646
Netto Kasstroomverandering -5,549.972-3,522.785-5,571.9154,000.7663,589.9663,555.53253.0773,120.94-1,034.816-414.2862,496.771,484.59-1,843.3152,474.969923.315969.496576.89758.972232.606269.603-34.801-580.393640.0277.333204.965
Kaspositie aan het Einde van de Periode 6,786.48112,336.45315,859.23821,431.15317,430.38713,840.42110,284.88910,229.3086,645.6767,338.8947,574.6335,2303,771.3275,925.1853,551.8452,626.9871,774.3451,278.1661,262.3481,055.845786.242821.0371,401.429677.844601.287