Lai Sun Development Company Limited

HKEX:0488.HK

0.67 (HKD) • At close November 14, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operationele Activiteiten:
Nettowinst -2,965.96-1,966.921-2,088.09-2,934.8134,842.9444,335.2022,093.5721,148.392,018.2621,478.732,564.1142,356.8382,610.532,352.817-179.6291,013.3331,546.84549.102-571.196-39.313-461.04-1,941.508-1,196.182-2,757.982-6,832.423309.382
Afschrijvingen & Amortisatie 824.319908.6521,110.5791,132.005397.21584.18276.99162.11948.61334.48729.07624.51824.49726.80727.03539.30460.19563.89463.89835.01730.11900000
Uitgestelde Inkomstenbelasting 0-5,128.53370.785-1,888.948457.9030524.2-319.673-129.9270-75.319-2,090.50900000000000000
Aandelen Gebaseerde Vergoedingen 01.8691.6813.9222.32200.1880.4610.528050.819.00800000000000000
Verandering in Werkkapitaal 804.071-3,637.3331,837.8037.625-460.225-404.134-524.388319.212129.399581.12524.509120.412326.12530.31531.15742.676-0.475-0.259-0.3-0.4882.36200000
Vorderingen 28.78-70.173-69.564-30.75-71.711-33.744-395.0952.897-56.005-32.187-33.054000000000000000
Voorraden 424.022-2,610.3691,569.036518.77-388.514-370.39-129.293316.315185.404613.31257.5630.573-1.0980.27-0.6211.369-0.475-0.259-0.3-0.4882.36200000
Crediteuren 139.803-628.818794.152-109.036106.383-1,033.875-392.103-34.867000000000000000000
Overig Werkkapitaal 211.466-327.973-455.821-371.359-106.3831,033.875392.10334.867-111.797-529.838-206.209119.839327.22330.04531.77841.3070000000000
Overige Niet-Contante Posten 958.495,516.111281.4793,408.195-6,957.337-3,286.22-1,261.162-1,552.405-1,799.897-1,648.253-2,622.297-126.224-2,402.823-2,213.171289.13-892.949-1,415.307-433.52649.7498.275393.9431,814.1851,109.322,518.5965,851.858-451.215
Kasstroom uit Operationele Activiteiten -379.08-4,306.1551,214.237-272.014-1,717.178729.03385.201-22.223396.905446.08946.212294.043558.329196.768167.693202.364191.253179.217142.14293.491-34.616-127.323-86.862-239.386-980.565-141.833
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -190.402-268.86-459.146-644.486-1,649.006-1,232.901-1,020.217-554.368-1,631.723-245.166-265.708-23.44-443.076-699.737-321.686-340.328-93.639-96.069-10.916-30.213-38.709-26.005-122.544-93.219-278.523-2,071.305
Netto Overnames -175.333110.364228.182-200.9671,360.829134.2182.833.6450-22.803-9.361-525.614-95.507-52.444-17.494-542.481.461060.58159.697-383.507403.639-405.5727.057406.857-4,781.184
Aankoop van Beleggingen -661.4-1,353.047-2,046.917-1,359.336-2,310.194-1,147.211-575.283-365.717-14.837-13.764-53.747-79.914-14.835-208.222-282.759-105.0493.2090-1.171002.648-6.848-162.762-31.059-366.136
Verkoop/verval van Beleggingen 309.156744.044270.426591.4952,186.325584.817646.8522.155012.74132.76654.882183.924347.0178.26105.5692.8980.7110.04009.95733.11338.67241.579148.954
Overige Investeringsactiviteiten -0.731-260.225131.761-411.511,855.08784.705-472.15.441-893.642-1,218.136-1,183.193-58.4996.703-14.875-41.1031,201.126243.427340.891157.6221,421.542123.839-17.39437.5093,826.964785.8511,097.736
Kasstroom uit Investeringsactiviteiten -718.71-767.499-1,875.694-2,024.8041,443.041-1,576.372-1,417.948-878.844-2,540.202-1,487.128-1,479.243-632.585-362.791-628.261-654.782318.838157.356245.533206.1551,551.026-298.377372.849-64.3423,616.711,124.705-5,971.935
Financieringsactiviteiten:
Schuldaflossingen -1,703.7531,140.3344,219.9262,882.156-67.9962,310.8951,467.2941,429.6131,659.29-422.1633,016.21401.407-287.279556.738272.2-230.431-199.083-144.352367.636-1,165.099474.764-415.833200.368-1,788.121-621.5812,901.957
Uitgifte van Gewone Aandelen 776.6051,377.647185.7555.57500.2822.705912.683014.9560531.07707.46860509.76000000000
Terugkoop van Gewone Aandelen 000000000000-7.6440000000000000
Uitgekeerde Dividenden 000-26.363-60.498-47.826-47.689-48.228-44.55700000-21.67100000-0.35400000
Overige Financieringsactiviteiten -311.882-368.205266.383-37.807203.385-121.115-82.124-98.669-69.809-4.71-23.207-30.918-22.958-27.199-5.224-1.791-96.022-325.326-799.983-59.859-267.693-57.971-40.831-51.323654.1832,407.588
Kasstroom uit Financieringsactiviteiten -1,239.032,149.7764,672.0642,823.56174.8912,142.2361,340.1862,195.3991,544.924-411.9172,993.003901.566-317.881537.007251.305-232.222214.655-469.678-432.347-1,224.958205.477-485.334122.973-1,839.44432.6025,309.545
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -103.304-82.914109.632-44.983-76.372-0.5441.945-7.688-5.0670.803-1.446-0.7240.370.005-0.3051.2820.0980.2010.055-0.040.0590.3870.311-1,802.587-9.057-2.369
Netto Kasstroomverandering -1,377.485-3,096.5364,211.1141,696.022-275.6181,294.35309.3841,286.644-603.44-1,452.1531,558.526562.3-121.973105.519-236.089290.262563.362-44.727-83.995419.519-127.457-239.421-27.92-264.707167.685-806.592
Kaspositie aan het Einde van de Periode 4,505.0867,139.23310,235.7696,024.6553,682.7983,958.4162,664.0662,354.6821,068.0381,671.4783,123.6311,565.1051,002.8051,124.7781,019.2591,255.348965.086401.724446.451530.446110.927238.384477.805505.725770.432602.747