Beijing Jingkelong Company Limited

HKEX:0814.HK

0.325 (HKD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 839.268890.6191,125.8141,189.823949.4211,146.911,068.203844.84718.324536.839601.589461.11580.655574.532413.811543.028501.94841.691220.741
Kortetermijnbeleggingen 00000025.8507013565250-201.3050000
Liquide middelen en kortetermijnbeleggingen 839.268890.6191,125.8141,189.823949.4211,146.911,094.003894.84788.324671.839666.589486.11580.655574.532413.811593.028501.94841.691220.741
Nettovorderingen 984.081,015.119937.765974.7861,197.3821,490.8231,360.9711,692.791,824.2681,674.1351,658.16502,020.0191,677.7231,578.9561,192.786793.006473.078455.108
Voorraad 1,614.9811,596.8281,618.5271,503.3381,564.4351,668.9241,789.721,724.1951,573.5471,483.8861,481.251,535.9461,416.806997.356785.251710.08599.55499.644382.164
Overige vlottende activa 1,383.151,361.7591,164.8771,169.8311,452.1411,084.531,021.961,699.3991,699.415936.463861.987036.351121.966151.999130.387317.024180.021194.421
Totaal vlottende activa 4,947.954,864.3244,846.9834,837.7795,163.385,391.1875,266.6556,011.2255,885.5544,766.3244,667.9924,137.2584,053.8313,371.5772,930.0172,626.2812,211.521,994.4341,252.434
Niet-vlottende activa:
Materiële vaste activa, netto 1,482.0251,643.1981,902.8961,983.0822,184.2912,255.4171,152.6271,184.9781,245.3891,276.0391,373.3951,897.0491,828.5421,839.8321,666.6081,528.4791,305.0741,028.121813.455
Goodwill 86.67486.67486.67486.67486.67486.67486.67486.67486.67486.67486.67486.67486.67490.20400000
Immateriële activa 261.539274.404265.128280.151289.748305.637318.17196.657193.285196.847197.5298.15911.46711.0557.338.58384.42674.53875.026
Goodwill en immateriële activa 348.212361.077351.802366.825376.422392.311404.844283.331279.959283.52284.174384.83398.141101.2597.338.58384.42674.53875.026
Langetermijnbeleggingen 99.537115.027104.782131.50942.27314.58411.39829.75328.7894.5783.86-16.6680250.15300000
Belastingvorderingen 20.52228.87223.23820.8810.52420.22622.81322.81331.51628.05220.47916.54318.7212.17200000
Overige niet-vlottende activa 233.798-28.872-23.238-20.88-10.524-20.226-22.813-22.813-31.516-28.052-20.47995.494328.267-50164.889150.85174.18120.8211.268
Totaal niet-vlottende activa 2,184.0942,119.3022,359.482,481.4162,602.9862,662.3111,568.8691,498.0621,554.1371,564.1381,661.4292,377.2512,273.672,153.4161,838.8271,687.9131,463.6811,123.48889.749
Totaal activa 7,132.0457,487.097,842.0928,010.4528,501.5588,815.1887,700.2528,382.4488,370.777,241.5037,150.0586,514.5096,327.5015,524.9934,768.8444,314.1943,675.2013,117.9142,142.183
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 528.6651,703.7821,207.6691,170.4021,340.1651,632.6981,335.4561,822.8871,825.5671,226.9311,195.6351,075.5881,323.5271,065.5121,031.207798.9761,145.267746.69653.91
Kortlopende schulden 3,607.4563,060.0693,016.192,942.2183,161.3963,688.9142,981.053,417.9983,370.6572,248.5792,117.6342,537.3572,210.7191,683.7331,575.981,378.513577.462726.396640.604
Belastingschulden 48.0848.90578.05791.915101.92190.1665.9794.97578.47568.39425.8674.54613.57817.19850.00572.5160.00644.126.553
Uitgestelde opbrengsten -157.491-3,060.069-3,016.19-2,942.218-3,161.396-3,688.914-2,981.05-3,417.998-3,370.657-2,248.579-2,117.63400000000
Overige kortlopende verplichtingen 847.3873,140.033,216.0513,310.9993,553.1873,982.0214,150.9653,640.6563,632.4573,034.8812,869.269674.904676.098616.231595.545570.556430.273268.038236.735
Totaal kortlopende verplichtingen 4,826.0174,843.8134,423.724,481.4014,893.3525,614.7185,486.4215,463.5435,458.0254,261.8124,064.9044,287.8494,210.3443,365.4763,202.7322,748.0452,153.0021,741.1241,531.249
Langlopende verplichtingen:
Langetermijnschulden 445.146670.593403.546402.932402.327977.9420747.573746.158839.82977.5542000430656100.375280158.75
Uitgestelde opbrengsten niet-vlottend 15.43821.8326.7234.03935.9534.333.35130.42735.86323.5174.0391.8662.1312.3982.6652.9323.1993.4663.733
Uitgestelde belastingverplichtingen niet-vlottend 12.57616.46624.07730.4278.1431.4143.6122.0721.9874.7159.72711.06111.47612.28611.67111.60112.33318.67915.747
Overige niet-vlottende verplichtingen 010.019-50.797-64.467-44.093-947.56225.242-32.499-37.85-28.232-13.76713.685211.43310.0758.97000
Totaal niet-vlottende verplichtingen 473.16718.907403.546402.932402.32766.09462.205747.573746.158839.82977.554226.612225.04454.75929.23677.533115.907302.145178.23
Totaal passiva 5,299.1775,562.5335,775.3195,859.9326,317.26,638.1895,548.6266,264.176,261.2575,146.4385,073.7074,514.4614,435.3843,820.2353,231.9682,825.5782,268.9092,043.2691,709.479
Eigen vermogen:
Preferente aandelen 169.064.6134.6134.43804.6664.773000000000000
Gewone aandelen 412.22412.22412.22412.22412.22412.22412.22412.22412.22412.22412.22412.22412.22412.22412.22412.22000
Ingehouden winsten 299.762539.439656.121719.816710.991691.033652.451618.96612.885629.243629.135456.48482.38682.44474.286.56672.13957.69356.367
Overige gereserveerde algehele resultaten 605.177-4.613-4.613-4.4380.309-4.666-4.7732.3831.8092.6193.82700000000
Overige totale aandeelhoudersvermogen 0605.177605.177605.353605.043605.125605.018609.791609.598609.598609.598775.344725.265997.895902.038826.2331,170.856927.28302.417
Totaal eigen vermogen van aandeelhouders 1,486.221,556.8361,673.5181,737.3881,728.5631,708.3781,669.6891,643.3541,636.5121,653.681,654.781,644.0441,619.8711,492.5591,388.4581,325.0191,242.995984.973358.784
Totaal eigen vermogen 1,832.8681,924.5572,066.7742,150.522,184.3582,1772,151.6262,118.2782,109.5142,095.0652,076.3512,000.0481,892.1171,704.7581,536.8761,488.6161,406.2921,074.645432.704
Totaal passiva en aandeelhoudersvermogen 7,132.0457,493.6147,842.0928,010.4528,501.5587,687.87,700.2528,382.4488,370.777,241.5037,150.0586,514.5096,327.5015,524.9934,768.8444,314.1943,675.2013,117.9142,142.183