China High Speed Transmission Equipment Group Co., Ltd.

HKEX:0658.HK

1.05 (HKD) • At close November 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,627.8914,383.5173,284.1662,184.3342,520.4152,062.6244,030.4092,745.0232,121.8731,649.7052,435.3712,404.5022,174.5922,270.566471.193681.6431,516.146
Kortetermijnbeleggingen 1,814.6883,531.6593,262.3553,422.3633,034.9642,531.727108513.5381,970.99943.900-640.7350-270.82620.543
Liquide middelen en kortetermijnbeleggingen 7,485.8418,097.2116,958.0996,121.8235,808.5116,587.9454,138.4093,258.5614,092.8632,593.6052,435.3712,404.5022,174.5922,270.566471.193702.1431,559.146
Nettovorderingen 8,489.2487,090.5814,433.8273,100.1182,378.1014,445.5236,515.2596,964.9446,951.6426,514.6465,221.6354,730.45503,847.089151.90400
Voorraad 6,544.8516,928.6015,206.9193,703.962,568.5692,313.0012,415.7772,311.5742,075.2392,275.182,389.8061,780.5041,799.0181,257.6631,312.811,335.674646.107
Overige vlottende activa 6,636.9188,735.8484,223.954,412.3075,157.9724,648.464,944.4314,846.8394,191.5316,275.9113,586.5996,628.1676,279.5034,760.7263,101.4512,823.339829.61
Totaal vlottende activa 29,156.85830,852.24120,822.79517,338.20815,913.15317,994.92918,013.87617,381.91817,311.27517,659.34213,633.41110,813.17310,253.1138,142.1575,037.3584,861.1563,034.863
Niet-vlottende activa:
Materiële vaste activa, netto 9,707.6157,800.2965,192.9864,479.2484,632.5973,815.2834,414.5365,111.2015,520.0575,931.4716,626.8337,512.6335,588.894,869.7643,844.6862,361.941,405.364
Goodwill 26.41426.41426.41426.41426.4140.2722.9912.9912.9912.9912.99117.71517.71517.71512.09100
Immateriële activa 05.89678.595652.82658.94214.8258.62525.97328.23639.01539.207277.806271.303196.57107.60561.20554.848
Goodwill en immateriële activa 26.41426.41426.41426.41426.4140.27211.61628.96431.22742.00642.198295.521289.018214.285119.69661.20554.848
Langetermijnbeleggingen 83.4362,220.7182,604.533,166.7962,884.832,967.2733,870.252,020.531450.042356.603810.28601,842.030874.382567.497-20.761
Belastingvorderingen 1,403.288728.894378.938258.122298.766271.427241.182190.897232.385117.2068.52527.93336.7327.0957.1848.283
Overige niet-vlottende activa 2,726.072-728.894-378.938-258.122-298.766-271.427-241.182-190.897-232.385-117.21,857.9581,192.3824001,668.579331.702618.874302.983
Totaal niet-vlottende activa 12,543.53710,047.4287,823.937,672.4587,543.8416,782.8288,296.4027,160.6966,001.3266,330.089,337.2759,069.0618,147.8716,789.3585,197.5613,616.71,750.717
Totaal activa 41,700.39541,634.45329,640.47425,851.09924,858.84826,748.53927,438.17526,295.625,292.08125,299.50422,970.68619,882.23418,400.98414,931.51510,234.9198,477.8564,785.58
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 7,346.36610,064.8816,597.8046,364.5545,935.4676,243.8046,637.0456,570.744,773.4433,209.1762,894.8551,983.4421,742.7542,554.2381,566.0582,048.941,156.074
Kortlopende schulden 5,036.6214,657.4123,998.0992,378.974,738.2754,960.3875,030.6085,280.8545,776.758,138.2827,242.0317,449.1194,991.3821,208.6511,556.2731,292.166420.818
Belastingschulden 181.935303.977256.378268.694142.09968.103192.424306.129380.03384.730133.62287.361175.259141.68953.64815.557
Uitgestelde opbrengsten 0-4,657.412-3,998.099-2,378.97-4,738.275-4,960.387-5,030.608-5,273.847-5,776.75-8,138.28201,119.99699.4440142.2200
Overige kortlopende verplichtingen 9,038.7418,295.0533,869.3223,532.7911,738.9961,909.4021,581.1651,337.7282,284.5051,754.181,371.7151,078.6131,176.4521,287.73824.09900
Totaal kortlopende verplichtingen 21,603.66323,321.32314,721.60312,545.00912,554.83713,181.69613,441.24213,495.45113,214.73113,186.36811,508.60110,644.7967,997.9495,225.8863,288.1193,394.7541,592.449
Langlopende verplichtingen:
Langetermijnschulden 4,457.9643,185.17200499.1732,123.5612,756.2931,227.9661,954.6423,122.1212,606.3921,288.2382,627.0752,043.051,012.041999.89673.04
Uitgestelde opbrengsten niet-vlottend 0303.077200.477177.551180.27354.28385.65893.7496.65181.8240179.89990.85962.07266.70731.83-3.322
Uitgestelde belastingverplichtingen niet-vlottend 0115.582101.575132.851198.003162.198178.981238.09551.31939.089018.24263.06686.16648.75123.93712.224
Overige niet-vlottende verplichtingen 1,726.54401,150.836682.8820-216.48100-308.972-550.94493.9926.496001,368.949292.7940
Totaal niet-vlottende verplichtingen 6,184.5083,185.1721,150.836682.882499.1732,412.572,756.2931,227.9661,948.1262,967.5622,700.3841,492.8752,7812,191.2882,496.4481,348.45785.264
Totaal passiva 27,788.17128,039.88315,872.43913,227.89113,529.4515,883.27516,462.17415,055.25215,317.34316,429.40214,208.98512,137.67110,778.9497,417.1745,784.5674,743.2111,677.713
Eigen vermogen:
Preferente aandelen 02,656.98000000000000000
Gewone aandelen 119.218119.218119.218119.218119.218119.218119.218119.218119.218119.218119.218102.543102.543103.34594.63394.6290
Ingehouden winsten 9,317.7969,230.5679,170.1157,796.1956,667.6786,135.9655,911.1295,459.434,350.4353,317.3383,108.916000000
Overige gereserveerde algehele resultaten 0-2,656.98326.716516.775337.808339.316438.179706.377201.657164.023197.951-1,858.333-1,395.798-923.491-601.733-410.620
Overige totale aandeelhoudersvermogen 836.2965,234.0623,783.1463,783.1464,082.3394,197.3334,436.4364,768.8485,087.7925,087.7925,087.7929,295.2288,765.8368,212.8764,928.0374,047.0773,104.545
Totaal eigen vermogen van aandeelhouders 10,273.3110,475.95113,399.19512,215.33411,207.04310,791.83210,904.96211,053.8739,759.1028,688.3718,513.8777,539.4387,472.5817,392.734,420.9373,731.0863,104.545
Totaal eigen vermogen 13,912.22413,594.5713,768.03512,623.20811,329.39810,865.26410,976.00111,240.3489,974.7388,870.1028,761.7017,744.5637,622.0357,514.3414,450.3523,734.6453,107.867
Totaal passiva en aandeelhoudersvermogen 41,700.39541,634.45329,640.47425,851.09924,858.84826,748.53927,438.17526,295.625,292.08125,299.50422,970.68619,882.23418,400.98414,931.51510,234.9198,477.8564,785.58