Wing Tai Properties Limited

HKEX:0369.HK

1.8 (HKD) • At close September 16, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,669.31,113.31,465.51,190.11,121.82,873.6654.21,682.82,074.21,592.61,242.21,260.9976.6897.6700.2496.21,806.4400.6137.9139.4207.690.400
Kortetermijnbeleggingen 581.21,318.8340550.8995248.38.201,742.238.951.35729.2-11,802.838.12.915.50.22.71.84.6000
Liquide middelen en kortetermijnbeleggingen 3,250.52,432.11,805.51,740.92,116.83,206.6654.21,682.82,074.21,631.51,293.51,317.91,005.8897.6738.3499.11,821.9400.8140.6141.2212.290.400
Nettovorderingen 73.65,4706,408.18,221.65,774.44165.982.626.3111.9803.75,379.85,276.14,186.23,627.73,571.2377.721.5499.9195.1305.7271.900
Voorraad 3,834.33,739.45,7024,243.84,909.74,006.43,856.23,489.71,295.61,322.21,42516.868.884.8102.287.5209.5425.1123.9133.9131.1132.1129152.3
Overige vlottende activa -7,158.4-11,641.5-13,915.6-14,206.3-12,800.9970.44,169.6741.1777.2798.81,287.5456.8151.5200.9265.289.6119.5258916.811.341.2173278.2434.4
Totaal vlottende activa 7,989.17,783.49,718.59,082.49,078.18,139.78,745.95,996.24,173.33,864.44,809.77,171.36,502.25,369.54,733.44,247.42,528.61,105.41,681.2481.5690.2667.4429.4624.7
Niet-vlottende activa:
Materiële vaste activa, netto 64.863.265.982.374.720,533.519,395.822,027.121,504.720,644.519,070.7100.2180.9148.8192.7181.54,932.51,992.81,688.31,201.31,121.5779.5194.2218
Goodwill 000000000000000000000000
Immateriële activa 000000000003.23.23.338.341.85,772.4776.3780.400000
Goodwill en immateriële activa 18,862.719,936.421,46320,013.719,979.723,338.620,223.422,702.622,104.721,709.303.23.23.338.341.85,772.4776.3780.400000
Langetermijnbeleggingen 6,299.23,186.62,772.22,283.52,618.82,826841683.6606.51,069.31,043.8730845.813,045.2610.8907.91,163.3803.5615.2856.6892.4000
Belastingvorderingen 9.1817.631.334.620.913.48.16.54.5013.59.416.210.29.76.10.22.700000
Overige niet-vlottende activa 763.2132189.5266.8366.5-23,359.5-20,236.8-22,710.7-22,111.2-21,713.81,780.917,343.714,295.3283.111,392.710,399.7432.886.20.53.47.4933.61,655.91,703.9
Totaal niet-vlottende activa 25,99923,326.224,508.222,677.623,074.323,359.520,236.822,710.722,111.221,713.821,895.418,190.615,334.613,496.612,244.711,540.612,307.13,6593,087.12,061.32,021.31,713.11,850.11,921.9
Totaal activa 33,988.135,499.238,738.537,245.836,322.835,427.735,496.130,776.128,220.927,527.826,705.125,361.921,836.818,866.116,978.115,78814,835.74,764.44,768.32,542.82,711.52,380.52,279.52,546.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 28.216.69.78.846.6116.821.38.28.25.735.346.6907.972.4102.3106.11,006.2454.6422233.2241.6282.423.515.9
Kortlopende schulden 2,808.22,550.53,458.1725.9146.61,295.31,401.5477.1439.663.81,779.21,584.81,704.61,165.5540.6489.6926.412.1314.862.199.261.100
Belastingschulden 122.6169.67911.923.23.743.330.648.646.2015690.755.326.859.91.72.92.73.65.43.31.54.8
Uitgestelde opbrengsten 3.1201.32,3413,817.71,603.7-1,295.3-1,401.5-477.1-439.6-63.8000714.50002.92.7003.300
Overige kortlopende verplichtingen 797.2836.5997.5873.5859.62,358.62,400.31,151.3934.7527.6721.31,404.2136.8209.61,002.9755.31.748.7911.83.65.410.8334.2573.2
Totaal kortlopende verplichtingen 3,636.73,604.96,806.35,425.92,656.52,475.42,421.61,159.5942.9533.32,535.83,035.62,749.32,1621,645.81,3511,934.3518.31,651.3298.9346.2357.6357.7589.1
Langlopende verplichtingen:
Langetermijnschulden 5,491.75,668.54,859.65,1676,048.53,739.24,782.64,915.63,566.23,951.63,001.33,510.73,484.13,045.84,324.84,475.23,283.41,187.41,057.3791.3742.1691.8593.5677.8
Uitgestelde opbrengsten niet-vlottend 3.1201.32,3413,817.71,603.73,403.94,459.74,589.43,275.43,680.4070.2-1,025.171.6-4,940-5,055.300000000
Uitgestelde belastingverplichtingen niet-vlottend 240.3378.9385.1366.6357.6335.3322.9326.2290.8271.20295.8153.5122.21,258.11,175.81,125130.775.625.918.70.60.60.6
Overige niet-vlottende verplichtingen -1,478.3-2,071.6-4,239.5-5,697.6-3,475-3,739.2-4,782.6-4,915.6-3,566.2-3,951.6272.874.21,092.3193.14,995.35,161.10000288.9000
Totaal niet-vlottende verplichtingen 4,256.84,177.13,346.23,653.74,534.83,739.24,782.64,915.63,566.23,951.63,274.13,950.93,704.83,432.75,638.25,756.84,408.41,318.11,132.9817.21,049.7692.4594.1678.4
Totaal passiva 9,384.99,663.312,086.111,118.19,2136,705.87,686.26,4644,873.64,847.65,809.96,986.56,454.15,594.77,2847,107.86,342.71,836.42,784.21,116.11,395.91,050951.81,267.5
Eigen vermogen:
Preferente aandelen 0000036.2000000000000000000
Gewone aandelen 678.6678677.4677.3676.3674.6673.1671.7670.6669.3667.6666.1663.2661.5659.6494.500000000
Ingehouden winsten 19,671.920,928.721,834.921,346.322,378.922,492.121,564.219,523.818,578.817,660.815,897.90000000000000
Overige gereserveerde algehele resultaten 25,252.9-12.153.115.2-33.6-36.2301.659.652.6314.1303.6-113-169.6-161.6-171.2000000000
Overige totale aandeelhoudersvermogen -21,163.34,090.24,087.54,086.84,080.65,548.55,265.54,053.54,044.34,034.84,024.617,820.312,454.110,428.27,639.26,7247,099.82,712.81,856.61,364.91,258.51,272.41,260.91,203.5
Totaal eigen vermogen van aandeelhouders 24,440.125,684.826,652.926,125.627,102.228,715.227,804.424,308.623,346.322,67920,893.718,373.412,947.710,928.18,127.67,218.57,099.82,712.81,856.61,364.91,258.51,272.41,260.91,203.5
Totaal eigen vermogen 24,603.225,835.926,652.426,127.727,109.828,721.927,809.924,312.123,347.322,680.220,895.218,375.415,382.713,271.49,694.18,680.28,4932,9281,984.11,426.71,315.61,330.51,327.71,279.1
Totaal passiva en aandeelhoudersvermogen 33,988.135,499.238,738.537,245.836,322.835,427.735,496.130,776.128,220.927,527.826,705.125,361.921,836.818,866.116,978.115,78814,835.74,764.44,768.32,542.82,711.52,380.52,279.52,546.6