Gemdale Properties and Investment Corporation Limited

HKEX:0535.HK

0.325 (HKD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,454.3026,045.1148,738.6777,128.4554,951.8253,170.2335,081.5942,700.2821,576.331,509.4061,418.5941,258.945739.535661.097715.604525.602570.56232.394295.184271.571289.137347.54
Kortetermijnbeleggingen 08.04233.20523.30322.82367.687314.1711,492.6861,548.587572.537121.195000013.04314.31315.65417.2760130.7490
Liquide middelen en kortetermijnbeleggingen 2,454.3026,053.1568,771.8827,151.7584,974.6483,237.925,395.7654,192.9683,124.9172,081.9431,539.7891,258.945739.535661.097715.604525.602570.56232.394295.184271.571289.137347.54
Nettovorderingen 65.71140.25636.02273.40732.79918.06117.47211.59.25316.2067.2710000000000-0
Voorraad 25,931.07818,510.74215,602.4128,889.4117,433.25816,345.34414,957.90311,987.0711,508.0378,440.9936,841.0912,016.6360000000000.195
Overige vlottende activa 17,870.29915,401.79612,790.60210,078.7689,115.0729,959.7277,652.5954,251.0913,996.557281.909657.159574.4191,605.4111,476.2832,376.1811,998.3152,002.6082,289.6921,929.191785.8171,001.6591,075.954
Totaal vlottende activa 46,321.3940,005.9537,200.91826,193.34331,555.77729,561.05228,023.73520,442.62918,638.76410,821.0519,038.0393,8502,842.9762,206.9363,167.0662,592.7462,573.1682,522.0862,224.3751,057.3881,290.7961,423.689
Niet-vlottende activa:
Materiële vaste activa, netto 140.93100.81182.971182.689133.094126.96363.37270.16535.39621.80312.1321.4151.4911.7992.744933.337957.128766.788587.177609.834360.734829.459
Goodwill 0000000000000000000000
Immateriële activa 06.93615.16423.39231.6239.84848.07638.95100.5000000370.110.99974.85942.327-1.101-1.653119.116
Goodwill en immateriële activa -23,681.826.93615.16423.39231.6239.84848.07638.95100.566.22800000370.110.99974.85942.327-1.101-1.653119.116
Langetermijnbeleggingen 23,681.8227,084.34424,111.13621,299.86215,627.73410,586.1246,565.2744,265.662723.31884.99-31.9790000000017.66400
Belastingvorderingen 1,424.9881,153.658989.486922.755839.782965.358554.852386.655136.86440.56530.9160.4166.224013.45920.83121.8616.7231.5383.7152.9780
Overige niet-vlottende activa 43,211.099-1,153.658-989.486-922.755-839.782-965.358-554.852-386.655-136.864-106.7933,182.1671,751.7341,206.1391,379.4051,321.74813.04314.31315.65417.276582.169130.749232.358
Totaal niet-vlottende activa 44,777.01727,192.09124,209.27121,505.94315,792.44810,752.9356,676.7224,374.777859.214106.7933,193.2361,753.5651,213.8531,381.2041,337.9521,337.321994.301864.025648.3181,212.282492.8081,180.933
Totaal activa 91,098.40785,986.70577,078.63564,407.1463,169.64751,987.75743,668.75232,167.32825,100.92514,899.65112,231.2765,603.5654,056.833,588.1414,505.0183,930.0673,567.4693,386.1112,872.6932,269.671,783.6042,604.622
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5,830.5284,479.7054,567.4283,341.4232,863.7722,010.9541,537.3721,783.7442,050.2971,036.119283.59923.04731.2573.0847.00113.744243.49200000
Kortlopende schulden 1,289.2493,302.8774,988.8882,134.4253,526.4262,706.4976,481.6710,109.0694,147.4321,058.8413,126.467993.453399.574817.07421.607172.382910.699233.434329.427426.384505.566236.674
Belastingschulden 2,064.342,580.8382,328.5642,607.6253,626.7733,393.0541,849.8662,056.15749.44144.8221.35956.50765.8949.2632.1746.28564.3692.7090000
Uitgestelde opbrengsten 0-3,302.877-4,988.888-2,134.425-3,526.426-2,706.497-6,481.67-10,109.069-4,147.432-1,058.841000082.592064.36900000
Overige kortlopende verplichtingen 32,725.92230,296.27527,270.93520,918.25333,076.83331,711.12425,060.80417,905.57312,531.8575,988.4382,667.975930.864336.433304.6271,116.509646.91787.971237.212145.511353.821429.356502.173
Totaal kortlopende verplichtingen 39,845.69934,775.9831,838.36324,259.67635,940.60533,722.07826,598.17619,689.31714,582.1547,024.5576,078.0411,947.364767.2641,124.7811,627.709833.0431,306.531470.646474.939780.205934.922738.847
Langlopende verplichtingen:
Langetermijnschulden 11,103.36521,160.5818,050.93216,304.1776,801.2283,354.8093,062.921114.98901,111.0250213.266673.265295.057904.3691,155.4238.242961.636799.7140.54283.526174.161
Uitgestelde opbrengsten niet-vlottend 019,020.44716,372.10814,911.9685,426.5612,314.3242,102.894-610.6360472.98600-426.370-583.46000-636.716000
Uitgestelde belastingverplichtingen niet-vlottend 2,466.6552,140.1331,678.8241,392.2091,374.6671,040.485960.027725.625668.745638.039601.632332.724183.936139.701107.698108.411158.472169.803166.443000
Overige niet-vlottende verplichtingen 11,334.286-21,160.58-18,050.932-16,304.177-6,801.228-3,354.809-3,062.921-114.9890-1,111.02500426.37-0583.46000636.716489.5700
Totaal niet-vlottende verplichtingen 24,904.30621,160.5818,050.93216,304.1776,801.2283,354.8093,062.921114.989668.7451,111.025601.632545.99857.201434.7581,012.0671,263.811396.7141,131.439966.143630.11283.526174.161
Totaal passiva 64,750.00559,012.8552,489.02743,308.08845,272.20138,117.37230,621.12420,529.93115,250.8998,773.6216,679.6742,493.3541,624.4651,559.5392,639.7762,096.8541,703.2451,602.0851,441.0821,410.317934.922738.847
Eigen vermogen:
Preferente aandelen 0870.857376.45481.032679.528668.542593.899604.017520.888476.322000000000000
Gewone aandelen 1,505.1641,504.8131,502.931,495.9081,441.2851,439.2111,438.1531,432.1931,432.193899.882710.541737.333563.198589.381602.8610000000
Ingehouden winsten 17,867.91617,678.51716,542.5913,860.6410,208.7197,006.1626,020.6824,817.6153,495.882,439.6782,151.910516.673000000000
Overige gereserveerde algehele resultaten -972.742-870.857-376.45-481.032-679.528-668.542-593.899-604.017-520.888-476.322-9.574-10.718-10.596-10.68400000000
Overige totale aandeelhoudersvermogen 4,084.1793,211.6473,693.6033,531.6343,397.2373,389.7883,455.993,401.8113,751.5241,550.81,735.3481,713.681834.7431,144.358985.7331,582.8281,611.6171,492.7331,147.344767.87747.471,644.302
Totaal eigen vermogen van aandeelhouders 22,484.51722,394.97721,739.12318,888.18215,047.24111,835.16110,914.8259,651.6198,679.5974,890.364,588.2252,440.2961,904.0181,723.0551,588.5951,582.8281,611.6171,492.7331,147.344767.87747.471,644.302
Totaal eigen vermogen 26,348.40226,973.85524,589.60821,099.05217,897.44613,870.38513,047.62811,637.3979,850.0266,126.035,551.6023,110.2112,432.3652,028.6021,865.2421,833.2131,864.2251,784.0251,431.611859.353848.6821,865.775
Totaal passiva en aandeelhoudersvermogen 91,098.40786,034.49277,078.63564,407.1463,169.64751,987.75743,668.75232,167.32825,100.92514,899.65112,231.2765,603.5654,056.833,588.1414,505.0183,930.0673,567.4693,386.1112,872.6932,269.671,783.6042,604.622