Jinmao Property Services Co., Limited

HKEX:0816.HK

2.67 (HKD) • At close November 14, 2024
Overzicht | Financiële gegevens

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

2023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22022 Q12021 Q42021 Q32021 Q22021 Q12020 Q4
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,252.0381,252.0381,075.5041,075.5041,018.9581,018.9581,043.7541,043.754553.619274.169-209.257200.634270.818
Kortetermijnbeleggingen 103.286103.2860024.18724.1870011.6880418.5148.6238.04
Liquide middelen en kortetermijnbeleggingen 1,355.3241,355.3241,075.5041,075.5041,018.9581,043.1451,043.7541,043.754553.619274.169209.257209.257270.818
Nettovorderingen 900.304900.3041,030.2691,030.269778.562778.562673.002673.002414.47700323.139203.713
Voorraad 4.2554.2554.8324.8324.3914.3914.5174.5174.5235.04405.3075.199
Overige vlottende activa 1,741.886738.2961,851.47821.2011,418.951616.2021,114.403441.401690.561968.5770703.202636.156
Totaal vlottende activa 2,998.1792,998.1792,931.8062,931.8062,442.32,442.32,162.6742,162.6741,248.7031,247.79209.2571,240.9051,123.926
Niet-vlottende activa:
Materiële vaste activa, netto 251.993251.993115.348211.564118.837213.04484.65393.59687.17763.227060.15749.585
Goodwill 249.122249.122249.122249.122249.122249.122249.122249.12200000
Immateriële activa 101.746101.74688.25688.25691.71391.71392.59192.5916.3926.10806.4267.084
Goodwill en immateriële activa 350.868350.868337.378337.378340.835340.835341.713341.7136.3926.10806.4267.084
Langetermijnbeleggingen 128.206096.216094.2070009.3799.45900947.582
Belastingvorderingen -128.20609.27406.11104.84504.7084.085002.457
Overige niet-vlottende activa -115.45612.751.23310.5071.2387.34911.7827.6842.6933.374-209.257937.3164.601
Totaal niet-vlottende activa 615.611615.611559.449559.449561.228561.228442.993442.993110.34986.253-209.2571,003.8991,011.309
Totaal activa 3,613.793,613.793,491.2553,491.2553,003.5283,003.5282,605.6672,605.6671,359.0521,334.04302,244.8042,135.235
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 602.85602.85594.803594.803456.084456.084327.387327.387170.944150.7370149.183112.036
Kortlopende schulden 22.325019.567015.664010.76508.97210.7130146149.572
Belastingschulden 122.144025.993091.756030.338051.1842.8610046.018
Uitgestelde opbrengsten 0000000000000
Overige kortlopende verplichtingen 1,161.5071,305.9761,373.6241,419.184969.0881,076.5081,029.2931,070.396896.946843.170813.966703.749
Totaal kortlopende verplichtingen 1,908.8261,908.8262,013.9872,013.9871,532.5921,532.5921,397.7831,397.7831,128.0421,047.48101,109.1491,011.375
Langlopende verplichtingen:
Langetermijnschulden 113.319113.31982.08182.08184.87584.87523.1123.1125.34215.7390944.915949.216
Uitgestelde opbrengsten niet-vlottend 00-25.220-25.8350-23.7790-1.6870000
Uitgestelde belastingverplichtingen niet-vlottend 23.628025.22025.835023.77901.6871.672001.853
Overige niet-vlottende verplichtingen 023.628025.22025.835023.7790123.6570125.334125.51
Totaal niet-vlottende verplichtingen 136.947136.947107.301107.301110.71110.7146.88946.88927.029141.06801,070.2491,074.726
Totaal passiva 2,045.7732,045.7732,121.2882,121.2881,643.3021,643.3021,444.6721,444.6721,155.0711,188.54902,179.3982,086.101
Eigen vermogen:
Preferente aandelen 18.74900016.75200000000
Gewone aandelen 839.529839.529839.529839.529839.529839.529839.529839.52966.94766.947000
Ingehouden winsten 721.014721.014529.528529.528474.812520.396353.547353.547184.3940020.698.047
Overige gereserveerde algehele resultaten -18.749-18.749-18.834-18.834-16.752-16.752-45.087-45.087-55.944065.03944.34941.087
Overige totale aandeelhoudersvermogen -18.749-000-16.7520-0-0-55.94472.7980.36700
Totaal eigen vermogen van aandeelhouders 1,541.7941,541.7941,350.2231,350.2231,343.1731,343.1731,147.9891,147.989195.397139.74565.40665.03949.134
Totaal eigen vermogen 1,568.0171,568.0171,369.9671,369.9671,360.2261,360.2261,160.9951,160.995203.981145.49465.40665.40649.134
Totaal passiva en aandeelhoudersvermogen 3,613.793,613.793,491.2553,491.2553,003.5283,003.5282,605.6672,605.6671,359.0521,334.04365.4062,244.8042,135.235