CHTC Fong's International Company Limited

HKEX:0641.HK

0.27 (HKD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 203.602401.334288.519342.177331.82586.799573.198790.259443.115495.565469.67412.87278.164394.829328.364309.785583.06580.464312.704254.176217.209216.051
Kortetermijnbeleggingen 0000000000029.195-100.232-19.015-20.978-33.36800.0270000
Liquide middelen en kortetermijnbeleggingen 203.602401.334288.519342.177331.82586.799573.198790.259443.115495.565469.67412.87278.164394.829328.364309.785583.06580.491312.704254.176217.209216.051
Nettovorderingen 329.37271.131419.343393.552441.077392.848496.016338.865445.205447.252409.83566.365418.581343.208289.256341.763505.138417.146234.7420129.078139.274
Voorraad 414.613497.228623.68606.555765.848764.423750.83572.992648.523772.741786.294760.437777.064828.129742.916864.689951.869778.372367.973393.439265.383178.035
Overige vlottende activa 272.60876.9788.155187.19774.591240.078176.872108.50891.224135.01132.3533.5418.4986.86210.78435.76652.029118.72616.204202.7920.985.641
Totaal vlottende activa 1,220.1931,246.6631,419.6971,529.4811,613.3361,984.1481,996.9161,810.6241,628.0671,850.5681,798.1471,743.2131,482.3071,573.0281,371.321,552.0032,092.0961,894.735931.622850.407612.65539.002
Niet-vlottende activa:
Materiële vaste activa, netto 1,389.3941,648.3591,895.7772,005.4981,868.7481,478.057956.735660.497532.587564.553630.701605.093346.129362.799399.441418.062399.222297.96255.889283.176257.222243.008
Goodwill 464.797533.515533.515533.515533.515533.515538.05533.515533.515533.515533.515533.515000000002.9745.949
Immateriële activa 92.459625.996626.27626.543753.386244.004261.59101.65195.77896.53198.972261.0157.67210.59513.43916.35519.27121.93424.82627.71800.174
Goodwill en immateriële activa 557.2561,159.5111,159.7851,160.0581,286.901777.519799.64635.166629.293630.046632.487794.537.67210.59513.43916.35519.27121.93424.82627.7182.9746.123
Langetermijnbeleggingen 50.328202.598286.559187.702198.433186.714216.05174.64187.211,178.13138.1137.969256.353166.25133.3140.79889.27581.28593.893000
Belastingvorderingen 9.79610.89612.57441.27239.77928.10120.48210.66515.22216.46820.25120.22214.13312.92911.1474.7457.8445.5254.2683.7472.9455.791
Overige niet-vlottende activa 222.054-303.629-278.612-318.323-325.173-28.101-20.482-10.665-15.222-1,194.599-20.25129.1956.77223.00962.64852.92863.48454.09711.66589.28787.54267.499
Totaal niet-vlottende activa 2,228.8282,717.7353,076.0833,076.2073,068.6882,442.291,972.4251,470.3031,349.091,194.5991,301.3011,457.009631.059575.582619.975632.888579.096460.801390.541403.928350.683322.422
Totaal activa 3,449.0213,964.3984,495.784,605.6884,682.0244,778.3234,271.113,522.4223,238.8793,323.4733,396.2633,200.2222,113.3662,148.611,991.2952,184.8912,671.1922,355.5361,322.1631,254.335963.333861.424
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 246.702284.618372.69152.48143.532230.772255.915142.057122.378130.367165.365119.704322.919406.946471.371336.728419.431352.112219.452255.152188.779201.591
Kortlopende schulden 1,256.2241,453.1991,107.251,717.3322,070.581,894.5221,060.8871,009.638992.8131,139.4081,040.1891,185.845756.41646.259206.888240.01956.72554.61387.016182.36940.4966.971
Belastingschulden 90.794113.469126.99310.60217.23319.9331.75825.20222.54828.31137.31917.37812.7325.8696.9471.4332.4190.6917.7259.6364.5890
Uitgestelde opbrengsten 155.22199.03300.795234.851181.395180.152-1,060.887-1,009.638-992.813-1,139.408-1,040.189396.225000087.2780.9358.8419.6364.5890
Overige kortlopende verplichtingen 504.217538.067762.04549.164396.866426.4351,812.6651,694.5771,499.6461,754.6221,831.781177.45927.7244.50118.84214.525-37.36414.965132.29913.4846.33.766
Totaal kortlopende verplichtingen 2,162.3632,474.9142,542.7752,653.8272,792.3732,731.8812,068.581,836.6341,622.0241,884.9891,997.1461,879.2331,107.0491,097.706697.101591.2631,426.07422.625447.607460.642240.158272.328
Langlopende verplichtingen:
Langetermijnschulden 74.37813.23922.08929.98833.8710100801000134.741169.35500469.158656.6620889.547001.5184.57
Uitgestelde opbrengsten niet-vlottend 53.36558.9569.26170.38978.83982.00740.11525.7575.2815.077117.84800000000000
Uitgestelde belastingverplichtingen niet-vlottend 36.74332.24335.682103.30989.54159.09754.8223.70120.36318.78516.89313.2749.36810.29002.8011.1901.0472.1020.745
Overige niet-vlottende verplichtingen -41.765-0-69.261-70.389-78.839341.751-94.935-49.458-25.644124.21-134.74104.25419.3329.02436.86281.2124.508306.4670-1.611-3.554
Totaal niet-vlottende verplichtingen 122.721104.43257.771133.297123.412482.85510080100148.072134.741182.62913.62229.62498.182693.52484.011915.245306.4671.0472.0091.762
Totaal passiva 2,285.0842,579.3462,600.5462,787.1242,915.7853,214.7362,619.5192,188.3281,866.4492,033.0612,148.782,061.8621,120.6711,127.3261,195.2831,284.7871,510.0811,337.87447.607461.689242.167274.089
Eigen vermogen:
Preferente aandelen 0000038.092021.19200000000000000
Gewone aandelen 55.01155.01155.01155.01155.01155.01155.01155.14555.14555.14555.14555.14555.14555.14555.14555.145000000
Ingehouden winsten 1,120.3141,359.5981,571.8931,493.4771,508.7631,364.2941,328.0051,117.2981,062.05922.847845.955776.6190000000000
Overige gereserveerde algehele resultaten -168.856-132.79554.43148.209-48.778-38.09269.809-21.19267.1129.241162.815-560.947-535.075-461.888-390.54-333.251000000
Overige totale aandeelhoudersvermogen 177.704177.704177.704177.704177.704139.612177.704161.651188.135182.843182.843867.5431,472.6251,428.0271,131.4071,178.211,159.8211,016.376873.266790.898719.555583.78
Totaal eigen vermogen van aandeelhouders 1,184.1731,459.5181,859.0391,774.4011,692.71,558.9171,630.5291,334.0941,372.431,290.0761,246.7581,138.36992.6951,021.284796.012900.1041,159.8211,016.376873.266790.898719.555583.78
Totaal eigen vermogen 1,110.5721,385.0521,825.9731,748.1751,687.41,563.5871,651.5911,334.0941,372.431,290.4121,247.4831,138.36992.6951,021.284796.012900.1041,161.1111,017.666874.557792.646721.167587.334
Totaal passiva en aandeelhoudersvermogen 3,449.0213,964.3984,495.784,605.6884,682.0244,778.3234,271.113,522.4223,238.8793,323.4733,396.2633,200.2222,113.3662,148.611,991.2952,184.8912,671.1922,355.5361,322.1631,254.335963.333861.424