Skyworth Group Limited

HKEX:0751.HK

3.15 (HKD) • At close November 5, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 2,323961.71,969.3151,618.118835.99637.51727.1541,758.9822,626.6983,342.9751,359.5991,542.4531,280.351,260.5391,366.436552.901541.564145.299263.574000
Afschrijvingen & Amortisatie 603877.973748.436723.659725.196525.187357.971352.86535.346354.631316.707241.859192.54224.433198.978164.018146.88134.426125.068110.37199.79382.693
Uitgestelde Inkomstenbelasting -41-2,123.294-4,454.844-1,513.4310.0728,550.223-184.992000000-192.371-81.88-104.936146.88-31.63-27.908000
Aandelen Gebaseerde Vergoedingen 986545653.71863.75134.43644.32986.72352.83428.79236.83950.36935.43713.20716.75516.2212.8528.941000
Verandering in Werkkapitaal -8703,270.013-1,422.1491,429.3381,040.791-8,589.688-1,544-1,314.804-1,691.9271,216.7922,025.803-2,084.634-601.18198.278-3,276.9810.582-418.113-410.197-543.685566.712-344.471-703.579
Vorderingen -1,515.9862,145.51-178.371-104.5032,277.429-7,829.230-622-526-1,231451-2,653-481000000000
Voorraden 17-3,129.305-2,718.956-1,896.794-2,341.22-784.744642.266-1,631.314-993.976-309.802602.222-1,989.332-370.457649.675-1,770.555540.555-300.969171.986-70.286-364.012-148.772-375.891
Crediteuren 1,515.986681.447-56.6451,991.185-3,208.98400000000000000000
Overig Werkkapitaal -8873,572.3621,531.8231,439.4511,104.58124.286-2,186.266596-1,7593,3101,6982170-451.398-1,506.425-529.973-117.144-582.183-473.399930.724-195.699-327.688
Overige Niet-Contante Posten 3632,835.0974,559.3131,136.054-1,650.7173,603.449-39.241-89.545-330.213-195.32739.18817.61971.492-148.497-51.065-34.391228.881-42.502-42.378231.354321.774266.695
Kasstroom uit Operationele Activiteiten 2,4765,886.4891,404.0713,449.7391,004.979-3,759.791-463.681398.076989.8063,041.1793,604.537-419.65974.0731,570.189-1,749.425709.864515.432-160.125-168.48908.43877.096-354.19
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,816-2,863.006-2,527.327-1,867.578-1,133.679-1,531.542-1,390.241-3,012.612-1,385.896-929.405-1,550.743-889.754-584.931-400.774-298.468-277.773-197.342-331.123-432.054-144.331-265.56-188.024
Netto Overnames -192110.473386.8731,086.61115.668-72.567-46.448-567.414-261.83611.20723.193-11.2120-16.87566.033-1.764129.7590-4.134-4.245-9.926-3.971
Aankoop van Beleggingen -901-1,800.135-3,448.109-1,775.436-2,441.3220-287.498-1,716.426-4,220.228-2,395.959-762.175-156.167-103.175-153.56-47.544-37.918-4.506-9.884-12.403-3.184-21.869-157.244
Verkoop/verval van Beleggingen 1,2461,388.4773,387.848951.768339.04101,324.5733,926.681,915.405850.95421.594180.19301,549.0961.7611,492.03822.52804.13453.06316.137262.638
Overige Investeringsactiviteiten 1,311-1,578.0261,020.8141,340.566-650.215406.5-341.954199.481-95.8951,042.278-603.822325.149-312.77643.874-1,906.142-20.282-1,713-13.8381,062.563-1,084.6079.28553.225
Kasstroom uit Investeringsactiviteiten -352-4,742.217-1,179.902-264.068-1,768.225-1,197.608-739.166-129.441-3,532.283272.978-2,818.369-490.926-916.3931,021.762-2,250.3931,154.301-1,785.088-354.845618.106-1,183.304-271.934-33.376
Financieringsactiviteiten:
Schuldaflossingen -14,609-90.705-3,443.29-2,353.01-3,169.376-4,756.861-5,341.536-8,479.288-3,302.968-5,654.079-12,562.695-6,692.774-6,325.384-10,487.615-245.641-2,210.72-0.901-1.977-1.034-3.184-1.384-6.64
Uitgifte van Gewone Aandelen 050.00479.544-74.7680019370.92758.3711.601010.41118.68514.343223.631127.8641.8022.9658.26912.73528.85622.081
Terugkoop van Gewone Aandelen -699-650.049-235.016-1,086.611008,692.209-7-184-760005,875.7652,252.153-8.8181,602.164122.565160.211-23.34800
Uitgekeerde Dividenden -296-683-84-96-179.061-365.809-144.149-336.902-325.21-402.662-391.085-141.752-161.669-137.529-110.054-110.227-35.143-74.132-151.942-55.185-118.192-77.851
Overige Financieringsactiviteiten -538-147.68685.568-88.768-630.07-5,353.3889,971.13472.7-124.247-59.239132.761-5.606-281.9048,217.1274,836.231376.5371,729.22556.484-474.432789.577-0.179-0.56
Kasstroom uit Financieringsactiviteiten -2,213-1,451.2723,272.1481,069.7562,360.245-962.3374,678.449-347.5414,066.795-3,069.998-231.932993.865-423.263-2,393.6744,704.166-1,953.2291,694.978483.341-619.139743.943-90.9-62.971
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 149372772.743-121.43335.548-173.77-130.918-4.80323.19326.42873.11682.6865.28385.53682.00196.86640.311-2.1230.6650
Netto Kasstroomverandering 60-1,653.3493,915.2954,842.216-3,747.3274,789.8663,811.15-252.6761,393.401239.356577.43109.718-292.466280.963709.631-3.527507.32265.236-129.203466.954-285.073-450.536
Kaspositie aan het Einde van de Periode 9,11413,929.83215,583.18111,667.8865,378.5399,125.8667,283.5493,844.2283,853.3242,575.2762,417.6871,842.7751,758.0442,129.5851,929.0341,221.3191,251.634816.441785.552939.214473.033757.515