China Oriental Group Company Limited

HKEX:0581.HK

1.06 (HKD) • At close September 20, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Operationele Activiteiten:
Nettowinst -314.571807.5072,493.4941,586.1733,210.3094,781.6784,839.08722.127-766.50366.715101.609326.0561,931.8121,613.4811,313.734113.6011,193.7371,022.35847.1151,205.121,102.648
Afschrijvingen & Amortisatie 1,392.6931,276.2561,129.7821,155.4341,196.0991,154.1031,062.2031,079.1071,094.3151,090.9971,046.322947.945896.321894.651847.507570.93600000
Uitgestelde Inkomstenbelasting 000000000718.421-864.836-925.89-693.769-418.027118.148000000
Aandelen Gebaseerde Vergoedingen 2.246000000006.73732.58872.22553.26267.55210.753000000
Verandering in Werkkapitaal -427.493-263.005-1,879.073-3,009.235-3,292.6251,241.48-655.693-1,650.2441,525.805-725.158832.248-1,051.858-2,344.075-4,014.485-2,140.685-189.39700000
Vorderingen -811.973-82.578-1,438.431-2,227.854-2,407.811968.34-1,788.655-866.653982.442-774.11,822.5980000000000
Voorraden 174.022-180.427-440.642-781.381-884.814273.141,132.962-783.591543.36348.942-990.351,512.628-679.563-1,734.424-985.073224.04900000
Crediteuren 0-1,567.892234.022797.864610.0720000000000000000
Overig Werkkapitaal 99.4931,567.892-234.022-797.864-610.072-38.362480.099166.595-497.895215.392-233.838-2,564.486-1,664.512-2,280.061-1,155.612-413.44600000
Overige Niet-Contante Posten 163.844-2,121.867-908.303150.784-1,157.736922.999-754.4011,346.4862,985.668144.96-876.06376.74893.902138.606102.093-347.226-119.495-782.695-521.492-854.38-812.401
Kasstroom uit Operationele Activiteiten 246.621-301.109835.9-116.844-43.9538,100.264,491.1891,497.4764,839.285584.2511,136.707-254.774-62.547-1,718.222251.55147.9141,074.242239.655325.623350.74290.247
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,519.952-2,119.978-1,410.743-1,032.607-638.737-336.413-518.054-210.283-120.269-370.229-567.154-474.265-984.655-194.285-930.85-953.649-833.047-586.511-875.295-401.286-429.461
Netto Overnames 288.451,239.9082,125.662-670.03943.851-52.804-101.9-230.298-9.581343.46250-53.64322.2941.792000-0.040-0.850
Aankoop van Beleggingen -1,204.78-2,528.914-6,622.784-13,965.997-697.12-6,019.245-2,326.761-724.216-110.009-392.628-520-45-64.6740000000
Verkoop/verval van Beleggingen 902.9963,5472,965.38313,598.4493,791.98186.85453.16854.11977.59849.16650.41900.1314.5086.4000000
Overige Investeringsactiviteiten 38.033-64.838114.613-2,040.227-2,752.827-772.229249.07457.867-89.663103.992116.48-30.846-168.585-202.582249.652-556.7924.7448.06954.735-48.30.821
Kasstroom uit Investeringsactiviteiten -674.00473.178-2,827.869-4,110.421-252.852-7,093.837-2,644.473-1,052.811-251.924-609.699-402.255-558.754-1,175.815-455.241-674.798-1,510.441-828.303-578.482-820.56-450.436-428.64
Financieringsactiviteiten:
Schuldaflossingen -1,888.028-29,219.77-25,472.79-16,633.193-13,717.602-5,772.825-4,769.055-5,931.352-13,554.916-8,347.868-6,932.874-6,923.61-6,301.335-4,232.744-2,787.041-626.617-690.23-1,680.99-1,959.522-1,022.876-586.891
Uitgifte van Gewone Aandelen 00000412.334674.6240001.1250.85300.64203.95637.033002,350.2220
Terugkoop van Gewone Aandelen 000005,360.4914,094.43100007,550.81708,368.65101,778.836690.23001,719.8760
Uitgekeerde Dividenden -114.761-534.903-643.649-547.716-1,117.032-1,637.296-881.4250000-0.013-552.444-268.2710-331.45-293.099-165.751-146.266-407.394-480
Overige Financieringsactiviteiten 179.58927,321.38329,124.74820,132.05916,507.755311.5654,333.2024,404.19510,425.8228,252.8646,296.975100.4076,868.89711.813,125.859585.022841,913.5822,137.397-1,472.0841,239.767
Kasstroom uit Financieringsactiviteiten 1,935.701-2,342.293,161.3093,015.252,066.921-957.122-337.054-1,527.157-3,129.094-95.004-634.774728.45415.1183,880.088338.8181,409.74527.93466.84131.6091,167.744172.876
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -14.98568.139-28.51267.02115.629.532-33.46535.14430.2171.383-10.551-1.003-34.919-127.41-0.365-7.983-19.187-2.979-44.858-2.7380
Netto Kasstroomverandering 1,493.333-2,502.0821,140.828-1,144.9941,785.71678.8331,476.197-1,047.3481,488.484-119.06989.127-86.077-1,258.1631,579.215-84.79539.235254.686-274.965-508.1861,065.3134.483
Kaspositie aan het Einde van de Periode 3,618.032,124.6974,626.7793,485.9514,630.9452,845.2292,766.3961,290.1992,337.547849.063968.132879.005965.0822,223.245644.031728.826689.591434.905709.871,218.056152.746