Kin Yat Holdings Limited

HKEX:0638.HK

0.71 (HKD) • At close August 9, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 119.391203.372256.934390.018244.681222.153199.855275.842204.948151.762173.797210.039159.589127.724245.801129.03257.49948.88651.42639.54237.43526.106
Kortetermijnbeleggingen 145.24937.41427.86325.32223.17427.89442.89926.68617.21322.36394.45598.90300050.1314.78400001.55
Liquide middelen en kortetermijnbeleggingen 264.64240.786284.797415.34267.855250.047242.754302.528222.161174.125268.252308.942159.589127.724245.801179.16362.28348.88651.42639.54237.43527.656
Nettovorderingen 248.356259.332341.586045.201335.923375.523188.391105.8388.732170.794164.616345.596287.773168.732140.107199.214120.95169.323118.63973.94586.321
Voorraad 426.613482.091842.738822.593722.8911,101.228724.857528.348489.615423.253356.773261.554338.18357.577155.519154.842266.145186.304149.939163.45137.314142.557
Overige vlottende activa 163.912371.725550.031636.269512.595160.789274.934199.971159.497147.54889.58137.60991.57586.803114.2190.35339.266101.78686.88913.02525.15259.307
Totaal vlottende activa 1,102.941,094.6021,677.5661,874.2021,548.5421,847.9871,623.2241,225.984977.103833.658885.399872.721934.94859.877684.271474.465566.908457.927357.577334.656273.846315.841
Niet-vlottende activa:
Materiële vaste activa, netto 647.349793.327995.7981,074.302993.2281,123.724866.668681.05692.536790.132819.106734.03703.032618.61518.097567.965517.391382.498324.272334.553345.014303.058
Goodwill 04.6510.8577.8737.87318.5867.8724.654.654.654.654.654.654.654.654.654.654.654.654.656.9769.302
Immateriële activa 16.98317.68622.09322.40622.16940.6324.77223.47825.23131.17560.11157.26726.366000000000
Goodwill en immateriële activa 16.98322.33632.9530.27930.04259.21632.64428.12829.88135.82564.76161.91731.0164.654.654.654.654.654.654.656.9769.302
Langetermijnbeleggingen 43.477-27.40812.68412.28317.1912.065-36.71642.17366.006117.47900000-57.159-14.388000013.644
Belastingvorderingen 2.2154.1455.7458.20220.88625.9233.69536.69440.91832.89911.184000057.1594.78400001.55
Overige niet-vlottende activa 11.374209.211193.34211.565264.473320.559344.22139.79434.30932.565177.28561.91134.61594.08249.69536.99222.4457.4219.13912.99431.1247.872
Totaal niet-vlottende activa 721.3981,001.6111,240.5171,336.6311,325.8191,541.4841,240.511927.839863.651,008.91,072.336857.858768.663717.342572.442609.607534.882394.569338.061352.197383.114335.426
Totaal activa 1,824.3382,096.2132,918.0833,210.8332,874.3613,389.4712,863.7352,153.8231,840.7531,842.5581,957.7351,730.5791,703.6031,577.2191,256.7131,084.0721,101.79852.496695.638686.853656.96651.267
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 184.059202.402313.403562.903624.1311,000.597953.372632.276509.234204.902210.093151.041335.764332.405226.9174.142240.599155.8580.22591.2993.08795.867
Kortlopende schulden 388.793274.661423.326469.552415.093810.106237.14274.31188.507146.176188.38158.649153.478171.419014.58336.53322.8429.43422.76731.7045.963
Belastingschulden 66.04283.62296.0284.35262.56263.28673.71970.26360.33993.65463.73143.11822.09523.29416.1698.37716.2357.9088.3578.6687.61112.028
Uitgestelde opbrengsten 156.598-274.661-423.326-685.968-679.197-1,070.653070.26360.33993.65463.731234.06922.095008.37700007.6110
Overige kortlopende verplichtingen 283.054276.012319.093339.509163.6881,236.8340-35.693-22.283188.515185.496-37.094-4.645033.54264.8640000-20.9440
Totaal kortlopende verplichtingen 921.948836.6971,151.8421,456.3161,265.4742,040.171,264.2311,011.419796.136726.901711.431549.783528.787527.118276.621170.343293.367186.698.016122.725119.069113.858
Langlopende verplichtingen:
Langetermijnschulden 10.18688.677118.741193.766265.7160294.7565-157.018060109.519154.038038.81972.361000000
Uitgestelde opbrengsten niet-vlottend 19.97736.76717.51524.15883.37182.09109.208140.55157.01800-22.0040000000000
Uitgestelde belastingverplichtingen niet-vlottend 21.73129.38740.07537.09733.71857.28537.50230.54330.22328.73127.33722.00419.53514.33413.69212.69817.59915.90112.67213.31213.84116.724
Overige niet-vlottende verplichtingen 6.8750000000157.018131.16544.30422.004000000015.8330.914-10.34
Totaal niet-vlottende verplichtingen 38.792154.831176.331255.021382.805139.375441.46236.093187.241159.896131.641131.523173.57314.33452.51185.05917.59915.90112.67229.14514.7556.384
Totaal passiva 960.74991.5281,328.1731,711.3371,648.2792,179.5451,705.6911,247.512983.377886.797843.072681.306702.36541.452329.132255.402310.966202.501110.688151.87133.824120.242
Eigen vermogen:
Preferente aandelen 01,074.8871,369.0561,312.1982,224.8162,159.628048.82658.7258.29530.91125.8760000000000
Gewone aandelen 43.89643.89643.89643.89643.89643.89643.84642.83641.91641.87541.87541.87541.87541.87541.78540.882000000
Ingehouden winsten 675.335868.8261,162.9951,106.1371,001.413806.775738.287622.476532.507619.13751.347743.735000549.48622.48520.39616.19310.124.04820.241
Overige gereserveerde algehele resultaten -25.80729.798220.854187.298-998.896-954.116-912.259-905.224-902.382-827.98-714.902-623.192-573.55-508.821-433.422-375.001000000
Overige totale aandeelhoudersvermogen 162.165191.963383.019162.165-2,062.651-850.6711,286.9041,146.2231,185.3351,122.7361,036.343886.8551,548.0761,511.3561,323.982593.931748.164610.833551.301511.094506.669500.444
Totaal eigen vermogen van aandeelhouders 855.5891,104.6851,589.911,499.4961,225.921,205.5121,156.778955.137916.0961,014.0561,145.5741,075.1491,016.4011,044.41932.345809.298770.649631.229567.494521.214510.717520.685
Totaal eigen vermogen 855.5891,104.6851,589.911,499.4961,226.0821,209.9261,158.044906.311857.376955.7611,114.6631,049.2731,001.2431,035.767927.581828.67790.824649.995584.95534.983523.136531.025
Totaal passiva en aandeelhoudersvermogen 1,824.3382,096.2132,918.0833,210.8332,874.3613,389.4712,863.7352,153.8231,840.7531,842.5581,957.7351,730.5791,703.6031,577.2191,256.7131,084.0721,101.79852.496695.638686.853656.96651.267