Techtronic Industries Company Limited

HKEX:0669.HK

108.7 (HKD) • At close September 17, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operationele Activiteiten:
Nettowinst 1,055.6161,077.151,099.003800.76614.9552.463470.425408.982354.427300.33250.284222.246160.17495.90455.37919.56916.693137.834131.38120.66186.80852.41230.6224.4320.17518.206
Afschrijvingen & Amortisatie 598.432388.786309.157253.231223.108138.445121.661109.08199.2489.44382.919130.588119.757113.745103.99193.30688.60269.7167.26546.39243.36435.5350000
Uitgestelde Inkomstenbelasting -82.244192.912,399.4411,216.844527.92374.274359.446241.795266.374228.646317.357-32.392-46.957-69.786-55.209-18.3620000000000
Aandelen Gebaseerde Vergoedingen 46.94547.34633.57317.7786.7924.9784.1939.4483.5461.7180.3660.5781.0532.2091.3932.7690000000000
Verandering in Werkkapitaal 406.173-240.256-2,433.014-1,234.622-534.712-379.252-365.866-251.243-269.92-230.364-317.72342.952-36.776-131.256-73.92547.73-36.976-180.595-63.64882.0161.21820.8070000
Vorderingen -128.372120.979-700.343-116.782-150.991-30.601-207.471-106.469-88.303-50.008-101.958000000000000000
Voorraden 946.369-361.235-1,732.671-1,117.84-383.721-348.651-158.395-144.774-181.617-180.356-215.765-3.092-67.715-44.396-37.032117.753-155.585.233-46.605-34.146-58.612-87.1990000
Crediteuren 00000000000000000000000000
Overig Werkkapitaal -540.196-22.65-79.519-29.38821.691-15.20632.74228.274-5.349-0.24733.32346.04430.939-86.86-36.893-70.022118.604-185.829-17.043116.156119.83108.0070000
Overige Niet-Contante Posten 78.953-232.833-1,509.105105.074-113.735102.732365.661307.306147.936162.631448.21636.99858.03873.53766.5455.444-14.441-18.102-22.7185.3311.55-1.994110.9627.44812.79626.446
Kasstroom uit Operationele Activiteiten 2,103.8751,233.103-100.9451,159.065724.273793.64598.301583.574335.229323.758464.062400.97255.28984.35298.169200.45753.8788.846112.278254.393192.94106.761141.58231.87832.97144.653
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -874.161-580.99-746.538-458.928-456.608-259.114-203.63-186.604-159.774-144.013-104.615-186.909-160.698-146.269-141.19-147.034-139.279-91.891-101.393-65.936-31.548-31.974-24.249-16.776-14.482-17.595
Netto Overnames -4.524-37.06000-50.81700-71.002-48.151-21.82320-13.8791.219-0.744-119.8290-616.5720-105.469-4.249-16.873000
Aankoop van Beleggingen -276.215-4.8-1.737-1.227-0.301-8.536-32.927000-100-0.068-0.7280-0.109-3.5690000-0.926-3.75-2.017-1.544
Verkoop/verval van Beleggingen 1.37641.860002.66700.928000.2530053.384-50.3720-26.421000000.199000
Overige Investeringsactiviteiten 374.742-338.24-276.649-120.111-111.577-107.98-110.06-100.728-90.125-58.12-68.9314.49521.751-48.55155.50723.34642.0318.7274.006-1.38114.34310.49-23.023-87.3190.411-3.863
Kasstroom uit Investeringsactiviteiten -778.782-919.23-1,024.924-580.266-568.486-423.78-346.617-286.404-320.901-250.284-196.115-170.414-138.947-155.381-135.563-124.431-243.608-86.733-713.959-67.317-122.674-25.732-64.87-107.845-16.087-23.001
Financieringsactiviteiten:
Schuldaflossingen -6,798.749-5,092.624-5,442.84-3,930.933-3,414.384-2,559.416-2,279.263-1,822.24-2,237.461-2,487.607-930.612-736.67-571.826-452.151-406.551-269.59-181.684-14.41-534.692-57.099-263.722-9.697-23.062-9.756-4.76-1.437
Uitgifte van Gewone Aandelen 0.551.0578.2088.5945.9380.8683.7871.7042.5582.1583.6857.7230.42110.19878.103018.9582.879249.24418.187.97850.94400.3480.380.119
Terugkoop van Gewone Aandelen -4.4085,091.5675,434.6323,922.339-12.644-38.608-5.388-5.4252,234.903-2.486-7.158-5.653-3.817588.065488.10-4.511000-0-00-0-00
Uitgekeerde Dividenden -436.859-460.421-394.115-261.637-223.594-183.422-136.285-102.121-82.525-61.858-48.884-34.023-23.254-17.026-11.963-8.717-36.869-41.002-32.423-23.037-14.587-11.161-7.699-6.833-6.325-6.309
Overige Financieringsactiviteiten 5,437.825-252.3181,866.222-236.4563,807.4492,674.612,200.161,685.162,410.2682,485.955793.789704.947427.70234.03513.35286.308347.91292.583714.989248.153293.96340.48513.633112.46414.40715.353
Kasstroom uit Financieringsactiviteiten -1,801.641-712.7391,472.107-498.093162.765-105.968-216.989-242.92292.84-63.838-189.18-63.676-170.774163.121161.041-191.999143.80640.051397.119186.19723.63170.572-17.12896.2243.7027.727
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.858-46.605-5.71341.349-10.611-23.52725.735-21.934-24.173-12.120.9324.0033.5670.1952.56719.747-27.829-8.08610.219-3.851-4.999-1.82-19.845-0.1190.539-0.22
Netto Kasstroomverandering -475.69-445.471340.525122.055307.941240.36560.4332.31482.995-2.48479.699170.883-50.86592.286126.213-96.226-73.752-45.923-194.343369.42388.897167.41639.738-0.71511.57118.004
Kaspositie aan het Einde van de Periode 953.241,428.931,874.4011,533.8761,411.8211,103.88863.515803.085770.771687.776690.26610.561439.678491.633400.767274.733368.682443.654490.871683.978314.8224.8557.43417.69818.4686.923