Shanghai Industrial Urban Development Group Limited

HKEX:0563.HK

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Operationele Activiteiten:
Nettowinst 1,855.255406.823572.328521.765600.292573.074536.109521.888517.385161.181143.471421.612166.442-707.13-2,034.50102,375.514841.33108.98338.687-14.665-27.843-341.661-16.351-59.822
Afschrijvingen & Amortisatie 145.98173.492195.358176.073179.063126.873107.58996.742114.29284.27771.80179.47357.75344.92930.401010.7923.271.2950.9513.60626.12636.3557.3951.102
Uitgestelde Inkomstenbelasting 00000000000-963.405-468.983-356.8061,415.3240-216.912-431.597-178.366000000
Aandelen Gebaseerde Vergoedingen 000000000008.67440.99869.36613.076092.94297.844.287000000
Verandering in Werkkapitaal 1,090.679-5,179.489-2,685.5273,733.952-42.213-713.866-877.242772.267-4,163.158141.5871,106.111,414.073-4,825.172-517.1481,106.4880193.712-1,095.263148.55-35.62-39.698-2.333-8.3891.6019.146
Vorderingen -71.892-434.19-71.003-253.512-207.6666.615-424.349-1,554.018-4.312277.161-569.69800000000000000
Voorraden -900.101713.189-1,076.061-854.877-70.35-720.481-452.8932,326.285-4,158.846-135.5741,669.8452,023.612-5,606.663-184.726-2,615.5220-970.1090000-6-0.19700
Crediteuren 699.71256.085130.053668.183654.386-102.932-39.713590.4351,563.3810000000000000000
Overig Werkkapitaal 1,362.96-5,514.573-1,668.5164,174.158-418.583102.93239.713-590.435-1,563.381-20.1655.963-609.539781.491-332.4223,722.0101,163.82100003.667-8.19200
Overige Niet-Contante Posten 198.504-1,532.573-420.7-2,194.463-519.365310.138-567.843,233.8113,637.073-3,488.166-342.331526.25929.625329.393-145.1560-1,794.077-511.109-13.604-145.7060.645-13.709281.989-35.62436.176
Kasstroom uit Operationele Activiteiten 3,290.418-6,131.747-2,338.5412,237.327217.777296.219-801.3844,624.708105.592-3,101.121979.0511,486.686-4,999.337-1,137.396385.632661.971661.971-1,095.52971.142158.312-50.112-17.759-31.706-42.979-13.398
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -231.33-123.95-112.454-525.727-755.401-61.891-271.666-8.303-49.373-12.328-29.811-115.359-146.678-133.559-222.815-21.2710-35.935-3.601-0.879-0.474-1.477-6.646-6.986-0.664
Netto Overnames 0-117.634,501.134722.67533.189251.476117.1631,977.9921,862.605-2,019.1220648.179257.3851,355.121,791.022-5,296.9188.595-1,394.215-273.091-64.36979.813.447-155.7-288.5635.578
Aankoop van Beleggingen 0-678.853-1,128.533-2,583.968-644.861-954.891-180.179-418.525-13.872-28.3160245.632-84.3530-412.626213.3870-70.556-28.0780-44.716-0.011-16.744-73.576-1.679
Verkoop/verval van Beleggingen 15.61388.73219.374966.89714.06612.1255.67627.391437.0352,047.43803.659447.5130174.19694.9180282.281021.1380026.0412.8181.381
Overige Investeringsactiviteiten -476.09488.7329.8128.991-19.839361.527691.703-3,015.9771,951.869357.3361,624.738-136.046-161.502493.605137.406827.714-4,584.13433.1312.1120.5670.054-21.6540.1810.947-1.118
Kasstroom uit Investeringsactiviteiten -691.811-831.7013,289.333-1,411.132-1,372.846-391.654362.697-1,437.4224,188.264-1,702.431,594.927646.065312.3651,715.1661,467.183-4,395.539-4,395.539-1,185.294-302.658-43.54334.664-9.695-152.868-365.363.498
Financieringsactiviteiten:
Schuldaflossingen 763.469143.863,545.662153.7781,669.065-853.332951.713-923.1212,626.0845,061.601-854.18970.6251,484.6025,079.064-1,055.815-862.5121,464.7911,760.11148.222-43.377023.585-0.197-0.652-0.305
Uitgifte van Gewone Aandelen 00000-5.0300000001,586.165016.816.8778.816423.707029.038036.321483.4070.199
Terugkoop van Gewone Aandelen -1.321-6.90800-4.9046,842.611-0.4810-0.310000000000000000
Uitgekeerde Dividenden -142.232-214.017-204.504-197.233-195.188-195.187-157.112-133.264-52.374000-35.216-0.050-105.5580-119.268-68.774000000
Overige Financieringsactiviteiten -1,651.611-1,728.722103.694-889.254-133.806-2,557.999-715.84286.509-1,625.84378.745-1,300.117-218.502-425.357-4,849.475-1,752.413-1,888.3215,313.9421,110.311-26.953-4.385-2.6672.369011.240
Kasstroom uit Financieringsactiviteiten -1,031.695-1,805.7873,444.852-932.7091,335.167-3,606.51878.278-969.876947.565,440.346-2,154.297-402.7151,048.111102.819-2,808.2286,498.8056,498.8053,446.955476.202-57.36126.37125.95436.124493.995-0.106
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -58.603-869.874170.404545.395-196.144-518.808669.726-770.264-294.391-40.456158.6228.92196.71738.2610107.999107.9998.9051.330.070.070-0.009-0.1430.27
Netto Kasstroomverandering 1,508.309-9,651.6854,545.113-8.467405.252-4,220.761530.2541,447.1464,947.025596.339578.3011,758.956-3,442.144718.85-955.4132,873.2362,873.2361,175.037246.01657.47810.993-1.5-143.429110.992-9.736
Kaspositie aan het Einde van de Periode 5,985.9114,501.48314,153.1689,608.0559,616.5229,127.82813,348.58912,818.33511,371.1896,424.1645,827.8255,249.5243,490.5682,381.5421,662.6924,363.9374,363.9371,490.701315.66469.64812.171.1772.677146.10635.114