Ajisen (China) Holdings Limited

HKEX:0538.HK

0.84 (HKD) • At close November 13, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,607.6351,465.1111,527.5381,738.381,705.3991,356.4071,534.1031,313.3041,335.0621,545.0461,442.3511,328.6081,527.2861,679.8731,498.2521,217.5191,682.765107.47373.121
Kortetermijnbeleggingen 25.031000000000108.33117.0334.4814.71960.031-122.646-5.47300
Liquide middelen en kortetermijnbeleggingen 1,632.6661,465.1111,527.5381,738.381,705.3991,356.4071,534.1031,313.3041,335.0621,545.0461,442.3511,328.6081,527.2861,679.8731,558.2831,217.5191,682.765107.47373.121
Nettovorderingen 49.48631.87330.89240.26632.05231.08637.24618.87820.06518.51715.12200086.66783.88491.34400
Voorraad 76.24799.306120.387137.202126.69179.2670.39782.35695.11188.05791.35470.73479.52370.19449.07445.76224.66221.37615.041
Overige vlottende activa 143.53126.052130.296118.354218.107397.641101.00583.799382.26197.23173.78796.017124.762127.5483.5965.51238.42353.17380.358
Totaal vlottende activa 1,901.9291,722.3421,809.1132,034.2022,082.2491,864.3941,742.7511,498.3371,832.4991,748.8511,622.6141,495.3581,731.5711,877.6151,697.6191,576.2731,837.194247.595215.503
Niet-vlottende activa:
Materiële vaste activa, netto 739.148850.8271,125.0271,148.3951,288.616882.455874.763849.173920.5731,027.8111,031.601872.243870.163658.38661.963465.22297.252166.695123.566
Goodwill 1.3551.3421.2641.2891.3447.1296.8017.27731.11129.70128.99429.90136.25131.64732.69532.69837.13537.1350
Immateriële activa 1.5061.3130.1280.5196.0025.6085.355.7255.3625.1194.99794.1612.787000000
Goodwill en immateriële activa 2.8612.6551.3921.8087.34612.73712.15113.00236.47334.8233.991124.06149.03831.64732.69532.69837.13537.1350
Langetermijnbeleggingen 176.797178.185244.118302.485408.991471.657403.431,419.385506.53610.82716.532000-59.558124.5037.4831.5360
Belastingvorderingen 33.78747.60437.2127.5689.0691.6951.4841.7121.6081.7392.7722.4412.4542.5342.8593.2453.3151.341.224
Overige niet-vlottende activa 1,106.989-47.604-37.21-27.568-9.069-1.695-1.484-1.712-1.608-1.739-2.772410.678448.254391.141717.37366.29249.6636.3616.472
Totaal niet-vlottende activa 2,059.5821,031.6671,370.5371,452.6881,704.9531,366.8491,290.3442,281.561,463.5821,073.4591,082.1241,409.4241,369.9091,083.707755.333691.958394.848213.067131.262
Totaal activa 3,961.5113,868.5844,301.2174,610.3944,927.2764,137.9473,673.4224,415.5253,896.4383,327.6063,156.432,904.7823,101.482,961.3222,452.9522,268.2312,232.042460.662346.765
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 95.64893.081117.518119.833131.93894.66895.82294.051101.778111.52101.485113.266131.738309.088212.51198.584163.308133.48388.474
Kortlopende schulden 173.478242.274271.66394.235390.386169.598269.532237.552500.55150.718101.72348.312237.53121.39103.3180.57248.6241.209
Belastingschulden 31.60824.38826.45248.66868.44773.52472.80772.01171.10669.5166.64872.42850.79460.18244.80932.15147.4826.2316.495
Uitgestelde opbrengsten 0.35-242.274-271.66-394.235-390.386-169.598-269.532-237.552-500.312-50.718-49.508-00000026.2316.495
Overige kortlopende verplichtingen 166.118176.478159.508176.839226.422203.881165.302206.965192.186206.142165.145188.57237.70222.74624.78624.2050.21711.22110.39
Totaal kortlopende verplichtingen 467.202536.221575.138739.575817.193541.671603.463610.579865.621437.889435.001422.575657.764513.406282.105258.257195.077219.557216.568
Langlopende verplichtingen:
Langetermijnschulden 266.311260.859409.712424.56463.51349.91350.58657.38856.73456.94758.326000055.757072.92714.736
Uitgestelde opbrengsten niet-vlottend 0-107.944-130.881-116.763-127.834-57.959-22.838-71.1171.85113.46119.88700000000
Uitgestelde belastingverplichtingen niet-vlottend 0143.118166.198156.338175.355107.87273.424128.50554.88343.49938.39316.69618.09121.2713.4616.4224.3760.1780.313
Overige niet-vlottende verplichtingen 170.072-368.803-374.395-384.985-415.99200000.013-0.04600000000
Totaal niet-vlottende verplichtingen 436.38335.17435.31739.57547.52149.91350.58657.38856.73456.9658.27916.69618.09121.2713.46162.1794.37673.10515.049
Totaal passiva 903.585947.2721,187.0681,381.541,518.837832.203727.473796.472977.264538.358531.643439.271675.855534.676295.566320.437199.453292.662231.617
Eigen vermogen:
Preferente aandelen 0231.285279.472239.338218.044279.107301.187273.394355.5110000000000
Gewone aandelen 108.404108.404108.404108.404108.404108.404108.404108.404108.40487.30385.08286.49186.84391.23994.02494.011104.500
Ingehouden winsten 1,410.5111,386.3491,528.4461,476.8911,551.5171,513.9961,037.5651,625.5811,112.061968.842878.056734.6140000000
Overige gereserveerde algehele resultaten 0-231.285-279.472-239.338-218.044-279.107-301.187-273.394-355.51195.98389.277-611.299-487.407-385.436-283.53-187.966-102.94200
Overige totale aandeelhoudersvermogen 1,481.4761,771.5321,863.9751,333.1352,048.1392,042.372,026.4862,017.1141,998.6961,546.7051,678.0212,184.9272,765.4822,279.3112,022.911,826.6472,041.196161.972101.841
Totaal eigen vermogen van aandeelhouders 3,000.3912,874.7153,060.1053,157.7683,329.0743,230.492,731.9793,347.7882,752.1512,698.8322,549.6562,394.7332,364.9172,370.552,116.9341,920.6582,011.214161.98101.841
Totaal eigen vermogen 3,057.9262,921.3123,114.1493,228.8543,408.4393,305.7442,945.9493,619.0532,919.1742,789.2482,624.7872,465.5112,425.6252,426.6472,157.3861,947.7942,032.589168115.148
Totaal passiva en aandeelhoudersvermogen 3,961.5113,868.5844,301.2174,610.3944,927.2764,137.9473,673.4224,415.5253,894.5773,326.8653,158.9422,904.7823,101.482,961.3222,452.9522,268.2312,232.042460.662346.765