Ingdan, Inc.

HKEX:0400.HK

1.09 (HKD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 437.777676.419137.295403.7119.865926.9972,048.4311,825.5431,024.2691,222.7281.54252.4
Kortetermijnbeleggingen 060250275.6631.943483.86111115.36682.523
Liquide middelen en kortetermijnbeleggingen 437.777676.419137.295428.7119.8651,202.662,050.3742,309.4041,035.2691,233.7281.542134.923
Nettovorderingen 1,701.976960.0552,134.8561,404.321,244.7431,295.7171,501.2642,028.1671,396.132737.807751.527248.488
Voorraad 4,506.0584,080.5432,227.666513.294319.974860.361504.4031,394.835609.172501.34243.8107.225
Overige vlottende activa 942.597706.251779.507681.9831,476.3532,828.2252,763.1464,542.6212,953.9221,710.766995.388109.061
Totaal vlottende activa 7,588.4086,423.2685,279.3243,003.2973,160.9354,891.2465,317.9238,246.864,598.3633,445.8061,520.73599.697
Niet-vlottende activa:
Materiële vaste activa, netto 137.27137.85550.01556.04932.3119.49711.81914.1895.6531.6351.2167.097
Goodwill 607.007607.007607.007452.467452.467451.492170.857201.659184.26154.136154.1362.166
Immateriële activa 445.1541,027.026976.8541,147.5311,084.03451.2461.12851.28663.50823.70331.2912.337
Goodwill en immateriële activa 1,052.1611,634.0331,583.8611,599.9981,536.497902.738171.985252.945247.768177.839185.4274.503
Langetermijnbeleggingen 911.435662.428600.285504.312546.182-105.17637.337-359.989103.33000
Belastingvorderingen 0-662.428-600.2850-546.18200483.86111000
Overige niet-vlottende activa 507.0151,610.083869.524328.509702.029275.6631.9432.2470.6714.8030.663-11.6
Totaal niet-vlottende activa 2,607.8823,281.9712,503.42,488.8682,270.8371,082.722223.084393.253368.421194.277187.30611.6
Totaal activa 10,196.299,705.2397,782.7245,492.1655,431.7725,973.9685,541.0078,640.1134,966.7843,640.0831,708.036611.618
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,244.1833,353.6411,990.006560.711794.576524.722190.121967.407707.414532.371412.52758.382
Kortlopende schulden 1,616.57900.671422.397154.898192.1661,125.861,084.0853,797.3822,125.8761,411.424929.3880
Belastingschulden 1.24933.86647.09216.23216.397014.91681.77643.33421.79210.020
Uitgestelde opbrengsten -19.19300000000000
Overige kortlopende verplichtingen 182.883366.722218.034120.48480.11540.18626.987180.43121.18167.41931.691504.301
Totaal kortlopende verplichtingen 5,024.4434,621.0342,630.437836.0931,066.8571,690.7621,901.1934,945.2192,954.4712,011.2141,373.606562.683
Langlopende verplichtingen:
Langetermijnschulden 12.5517.97626.14334.13113.2970000000
Uitgestelde opbrengsten niet-vlottend -33.87802.82111.413-51.6090000000
Uitgestelde belastingverplichtingen niet-vlottend 33.87841.5349.18145.04251.60958.4570.578.95910.7623.9125.1640
Overige niet-vlottende verplichtingen 644.577571.347531.995341.951.6090000000
Totaal niet-vlottende verplichtingen 657.127630.853610.14432.48664.90658.4570.578.95910.7623.9125.1640
Totaal passiva 5,681.575,251.8873,240.5771,268.5791,131.7631,749.2191,901.7634,954.1782,965.2332,015.1261,378.77563.069
Eigen vermogen:
Preferente aandelen 0536.631134.71235.42600000000
Gewone aandelen 0.0010.0010.0010.0010.0010.0010.0010.0010.0010.0010.0010
Ingehouden winsten 2,709.3392,512.532,198.1161,889.9141,766.7141,660.2471,367.0681,127.51648.711305.836111.71829.619
Overige gereserveerde algehele resultaten 3,993.792-536.631-134.712-35.426264.875-6.065-4.438-3.752-1.964-0.796-0.5060
Overige totale aandeelhoudersvermogen -2,709.3391,516.1451,956.5212,050.1882,083.2942,420.2452,247.2382,476.7351,274.4521,298.109213.81518.93
Totaal eigen vermogen van aandeelhouders 3,993.7934,028.6764,154.6383,940.1034,114.8844,074.4283,609.8693,600.4941,921.21,603.15325.02848.549
Totaal eigen vermogen 4,514.724,453.3524,542.1474,223.5864,300.0094,224.7493,639.2443,685.9352,001.5511,624.957329.26648.549
Totaal passiva en aandeelhoudersvermogen 10,196.299,705.2397,782.7245,492.1655,431.7725,973.9685,541.0078,640.1134,966.7843,640.0831,708.036611.618