Fufeng Group Limited

HKEX:0546.HK

4.41 (HKD) • At close November 12, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,832.1367,008.1163,542.4571,231.2021,880.7712,690.284515.4441,422.1471,019.069961.547805.999481.126583.917767.951342.682224.706305.9373.632
Kortetermijnbeleggingen 102.1574.67943.07734.57138.7192.32146.55363.04174.42318.6960.19230.164147.22526.3142.8600
Liquide middelen en kortetermijnbeleggingen 2,832.1367,082.7953,585.5341,265.7731,919.4812,782.605561.9971,485.1881,093.492980.237866.189483.126614.081915.176368.992267.566305.9373.632
Nettovorderingen 2,128.881,716.2791,778.5591,321.8171,617.3371,131.3911,051.369787.179817.9071,012.061,813.5320000545.70100
Voorraad 6,123.2165,846.3734,592.9663,781.2283,627.1473,457.2023,297.9752,481.9112,440.792,264.7351,588.3611,415.2251,179.863710.695551.028356.288326.351148.077
Overige vlottende activa 4,504.841,207.0021,244.1992,225.171828.651,621.412195.557184.856277.028102.25180.5392,406.921,738.737816.773687.7825.308506.073348.776
Totaal vlottende activa 19,715.26315,852.44911,201.2588,593.9897,992.6158,992.615,106.8984,939.1344,629.2174,359.2824,448.6214,305.2713,532.6812,442.6441,607.8021,174.8631,138.354570.485
Niet-vlottende activa:
Materiële vaste activa, netto 11,645.47110,288.21110,079.62810,515.59311,235.85910,309.9779,234.0617,858.7757,566.7787,470.0827,575.9757,258.8516,032.3454,087.6752,507.8971,954.8451,737.0911,353.258
Goodwill 000000000000000000
Immateriële activa 943.56445.44648.32350.75140.66330.74517.7919.1081.0512.5540.051366.818000000
Goodwill en immateriële activa 943.56445.44648.32350.75140.66330.74517.7919.1081.0512.5540.051366.818000000
Langetermijnbeleggingen 1010.19414.0920.81828.18736.35431.39650.7477,424.7577,358.9817,487.7940000000
Belastingvorderingen 8.60241.926107.578123.353146.638184.076182.447184.396143.072113.65588.23240.01229.07920.7595.1620.4236.390.601
Overige niet-vlottende activa 237.987-41.926-107.578-123.353-146.638-184.076-182.447-184.396-7,567.829-7,472.636-7,576.0260265.217169.187140.16132.33400
Totaal niet-vlottende activa 12,845.62410,343.85110,142.04110,587.16211,304.70910,377.0769,283.2487,918.637,567.8297,472.6367,576.0267,665.6816,326.6414,277.6212,653.2192,087.6021,743.4811,353.859
Totaal activa 32,560.88726,388.62421,510.80619,355.69319,458.61120,332.3215,966.53414,456.10213,850.17813,694.27712,619.16811,970.9529,859.3226,720.2654,261.0213,262.4652,881.8351,924.344
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,411.311,464.5991,545.9331,249.0391,403.8891,576.6981,535.2661,469.6521,243.171,481.9571,256.6561,417.5792,630.6371,839.0221,140.475887.533770.81610.573
Kortlopende schulden 9,577.9925,459.4651,723.0283,009.191936.1131,587.8791,410.9391,176.7931,893.5261,307.9251,215.8272,407.68704555418276318414.63
Belastingschulden 230.484264.909158.40984.51101.593268.653111.62494.49468.37750.55951.88447.08553.72730.67713.73400.8754.244
Uitgestelde opbrengsten -0.492-5,459.465-1,723.028-3,009.191-936.113-1,587.879-1,410.939-1,176.793-1,893.526-1,307.925-1,215.8271,923.126000000
Overige kortlopende verplichtingen 1,413.9566,193.8882,123.393,682.6511,901.9352,586.0352,025.4221,959.1042,727.2441,052.6661,545.592-1,454.327-2,630.637-1,839.022-1,140.475-880.841-765.325-605.375
Totaal kortlopende verplichtingen 14,044.569,387.9955,373.6656,265.2394,811.3066,008.0845,207.5784,992.9025,281.9614,067.1394,110.7885,758.7223,388.3642,424.6991,572.2091,170.2251,095.171,034.645
Langlopende verplichtingen:
Langetermijnschulden 147.073658.1182,574.738530.8882,512.5282,487.389560.2651,923.1851,992.2213,702.4823,309.1872,044.962,844.147981.458180312312335
Uitgestelde opbrengsten niet-vlottend 893.009756.723776.426818.45710.281785.971721.936707.501752.287536.55360.121352.436199.942141.8190.8827.79824.95127.599
Uitgestelde belastingverplichtingen niet-vlottend 91.6591.6516.6526.6540.6516.6516.6516.6516.6519.0420.28619.82620.16627.03324.22110.9280.8980.707
Overige niet-vlottende verplichtingen 60.381-848.373-793.076-845.1-750.931-802.621-738.586-724.151-768.937-555.59-380.4070000000
Totaal niet-vlottende verplichtingen 1,192.113658.1182,574.738530.8882,512.5282,487.389560.2651,923.1851,992.2213,702.4823,309.1872,417.2223,064.2551,150.301295.101350.726337.849363.306
Totaal passiva 15,236.67310,8958,833.0527,666.2878,082.1429,327.9766,506.4297,640.2388,043.1198,325.2117,800.3828,175.9446,452.6193,5751,867.311,520.9511,433.0191,397.951
Eigen vermogen:
Preferente aandelen 0345.518350.855347.868339.356342.278348.807296.411301.812292.936264.5440000000
Gewone aandelen 243.51243.46243.261243.261243.261244.436244.436207.222207.222205.243203.644175.921174.097174.097169.034169.034169.034123.372
Ingehouden winsten 15,580.49815,329.39712,525.91411,447.57610,808.939,671.7077,827.756,442.4145,346.4924,817.7734,242.7383,319.5973,025.1532,501.4891,610.317742.24464.193426.173
Overige gereserveerde algehele resultaten 1,276.731-345.518-350.855-347.868-339.356-342.278-348.807-296.411-301.812-292.936-264.544-1,657.967-1,129.705-760.794-527.227-338.535-255.32-137.029
Overige totale aandeelhoudersvermogen 223.475-79.233-91.421-1.431324.2781,088.2011,387.919166.228253.345346.05372.4041,957.4571,337.1581,230.4731,141.5871,168.7751,070.909113.877
Totaal eigen vermogen van aandeelhouders 17,324.21415,493.62412,677.75411,689.40611,376.46911,004.3449,460.1056,815.8645,807.0595,369.0664,818.7863,795.0083,406.7033,145.2652,393.7111,741.5141,448.816526.393
Totaal eigen vermogen 17,324.21415,493.62412,677.75411,689.40611,376.46911,004.3449,460.1056,815.8645,807.0595,369.0664,818.7863,795.0083,406.7033,145.2652,393.7111,741.5141,448.816526.393
Totaal passiva en aandeelhoudersvermogen 32,560.88726,388.62421,510.80619,355.69319,458.61120,332.3215,966.53414,456.10213,850.17813,694.27712,619.16811,970.9529,859.3226,720.2654,261.0213,262.4652,881.8351,924.344