China Jinmao Holdings Group Limited

HKEX:0817.HK

1.26 (HKD) • At close November 5, 2024
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst 1,010.044-7,329.524432.88-586.7832,570.866388.944,301.004111.2413,769.7452,776.0833,705.6681,917.363,293.5281,478.2562,499.4561,240.4741,295.0411,759.9351,227.3921,315.1092,930.0281,555.7751,769.598825.781679.931679.931679.931679.931474.338474.338474.338474.338365.097365.097365.097365.097258.502258.502258.502258.502198.319198.319198.319198.319506.519506.519506.519506.51951.96251.96251.96251.962
Afschrijvingen & Amortisatie 428.014591.058417.866241.274399.445307.12318.643346.012282.106278.81270.062186.264183.162174.657185.736167.356167.676137.314155.674129.49120.245103.861107.75954.55646.45846.45846.45846.45845.38445.38445.38445.38446.94146.94146.94146.94148.85548.85548.85548.85536.38736.38736.38736.3875.2895.2895.2895.2896.2256.2256.2256.225
Uitgestelde Inkomstenbelasting 00-2,377.706-20,380.4678,651.376-3,451.81118,055.347-15,017.04724,202.45914,511.1212,095.2988,943.32912,625.46611,637.2866,781.1515,960.7595,508.4677,378.345719.6112,391.5568,441.0515,415.96311,372.1100000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 4.8282.603-4.2933.626-51.93422.94623.18142.41645.3746.72537.29110.27211.63912.11112.5796.9612.1813.6454.1486.747.2817.0867.1873.5460.3810.3810.3810.3810.290.290.290.290.2520.2520.2520.2520.3270.3270.3270.3270.2230.2230.2230.22300000000
Verandering in Werkkapitaal 790.777-4,586.684,372.9421,438.978-3,723.113-18,314.8816,935.614-2,144.80124,766.536-9,621.77713,884.915-9,753.12,548.398-11,881.095-14,978.507354.792-6,540.074-2,176.3921,795.009-7,197.311-7,813.08-847.467-9,657.689-1,999.372-865.44-865.44-865.44-865.44-1,991.529-1,991.529-1,991.529-1,991.529-287.093-287.093-287.093-287.093-1,267.782-1,267.782-1,267.782-1,267.782-297.666-297.666-297.666-297.666-29.873-29.873-29.873-29.873-280.139-280.139-280.139-280.139
Vorderingen -821.031471.377-50.51-195.1051,245.223-220.456-2,032.3241,298.074-815.625-269.504-505.8231,111.789-1,109.1451,973.6393,551.83-4,074.219175.981-1,905.552,095.691-442.091913.31413.184-2,161.38600000000000000000000000000000
Voorraden -8,473.3215,471.252,432.50920,571.946-9,844.6653,649.321-16,046.20413,676.557-23,432.204-14,288.342-1,626.766-10,065.39-11,527.96-13,623.036-10,345.56-1,893.501-5,686.629-5,476.439-2,819.45-1,956.205-9,361.641-5,836.233-9,217.911-3,734.111-1,278.165-1,278.165-1,278.165-1,278.165-3,140.89-3,140.89-3,140.89-3,140.890.0330.0330.0330.0330.2680.2680.2680.268-2.579-2.579-2.579-2.579-0.111-0.111-0.111-0.1110.060.060.060.06
Crediteuren 000000000000000000000365.431-1,734.73800000000000000000000000000000
Overig Werkkapitaal 10,085.128-20,529.3071,990.943-18,937.8634,876.329-21,743.74625,014.142-17,119.43249,014.3654,936.06916,017.504-799.49915,185.503-231.698-8,184.7776,322.512-1,029.4265,205.5972,518.768-4,799.015635.2524,575.5821,721.6081,734.738412.725412.725412.725412.7251,149.3611,149.3611,149.3611,149.361-287.127-287.127-287.127-287.127-1,268.05-1,268.05-1,268.05-1,268.05-295.087-295.087-295.087-295.087-29.762-29.762-29.762-29.762-280.199-280.199-280.199-280.199
Overige Niet-Contante Posten -5,916.89611,842.355-2,648.4754,084.971-2,596.88911,624.054-1,168.5297,226.759-3,106.2286,922.721,096.4286,316.414-2,702.077-2,856.832660.5711,650.412515.7467,661.304-2,235.2635,013.216-1,406.793320.0422,660.626139.375313.781313.781313.781313.781-89.734-89.734-89.734-89.73472.48672.48672.48672.486117.15117.15117.15117.15-8.574-8.574-8.574-8.574-441.575-441.575-441.575-441.575-45.562-45.562-45.562-45.562
Kasstroom uit Operationele Activiteiten -3,683.233519.8122,570.925,182.066-3,401.625-5,971.82110,409.9135,581.62725,757.529402.56118,994.364-1,322.793,334.65-13,072.903-11,620.1653,419.995-4,559.437,385.806946.959-732.755-6,162.3191,139.297-5,112.519-976.115175.11175.11175.11175.11-1,561.252-1,561.252-1,561.252-1,561.252197.683197.683197.683197.683-842.949-842.949-842.949-842.949-71.311-71.311-71.311-71.31140.35940.35940.35940.359-267.513-267.513-267.513-267.513
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -208.963-445.825-341.971-263.9-476.352-652.704-253.907-682.563-180.179-163.037-228.207-242.695-180.313-203.378-172.381-127.83-395.545-627.584-281.645-1,009.106-169.877-379.91-254.496-5.346-4.125-4.125-4.125-4.125-44.803-44.803-44.803-44.803-28.708-28.708-28.708-28.708-40.441-40.441-40.441-40.441-442.275-442.275-442.275-442.275-3.549-3.549-3.549-3.549-1.321-1.321-1.321-1.321
Netto Overnames -379.8693.841851.586-4,375.439-1,562.902-112.0181,834.699-379.398-1,125.035535.04-326.494-26.0950141.2260000000-8.895-140.8020-101.29-101.29-101.29-101.29252.495252.495252.495252.495102.783102.783102.783102.7830000-664.035-664.035-664.035-664.03500000000
Aankoop van Beleggingen 000000000000000000000-17.153-5.346-5.346-61.157-61.157-61.157-61.157-71.248-71.248-71.248-71.248-6.768-6.768-6.768-6.7680000-10.626-10.626-10.626-10.62600000000
Verkoop/verval van Beleggingen 00000000000000000000026.04886.41886.4185.7635.7635.7635.7630.3920.3920.3920.3922.0082.0082.0082.008000018.24818.24818.24818.248000069.77769.77769.77769.777
Overige Investeringsactiviteiten -3,602.3881,991.579-414.0625,169.4915,364.6416,804.544-19,417.13812,697.728-10,633.883-4,159.539-15,123.576-13,351.844-5,787.708-6,660.152-8,624.14-3,517.3183,727.091-5,979.57-3,203.223-889.974-6,167.336-773.382769.669-75.72559.5259.5259.5259.52115.659115.659115.659115.65933.46833.46833.46833.468-945.804-945.804-945.804-945.804434.653434.653434.653434.653-688.714-688.714-688.714-688.714-68.456-68.456-68.456-68.456
Kasstroom uit Investeringsactiviteiten -4,191.221,549.59595.553530.1523,325.3876,039.822-17,836.34611,635.767-11,939.097-3,787.536-15,678.277-13,620.634-5,968.021-6,722.304-8,796.521-3,645.1483,331.546-6,607.154-3,484.868-1,899.08-6,337.213-1,153.292374.37241.018-101.29-101.29-101.29-101.29252.495252.495252.495252.495102.783102.783102.783102.783-986.245-986.245-986.245-986.245-664.035-664.035-664.035-664.035-692.263-692.263-692.263-692.26313.67613.67613.67613.676
Financieringsactiviteiten:
Schuldaflossingen -6,893.4920-556.0180-2,777.880-444.530-9,699.5560-3,545.5130-10,331.7190-15,444.1960-3,163.5720-1,503.1840-11,687.374-3,979.423-995.514-4,168.537-2,872.415-2,872.415-2,872.415-2,872.415-4,924.455-4,924.455-4,924.455-4,924.455-3,146.69-3,146.69-3,146.69-3,146.69-3,624.215-3,624.215-3,624.215-3,624.215-3,847.545-3,847.545-3,847.545-3,847.545-1,230.263-1,230.263-1,230.263-1,230.263-371.725-371.725-371.725-371.725
Uitgifte van Gewone Aandelen 0000000000000019,897.901011,815.6300004,021.08600000000000000273.706273.706273.706273.70685.71985.71985.71985.7191,784.3911,784.3911,784.3911,784.39158.65658.65658.65658.656
Terugkoop van Gewone Aandelen 000000-134.8040000-32.956-55.0550-3,036.9820-1,439.925-208.9350-166.6910-41.663000000000000000000000000000000
Uitgekeerde Dividenden 0-249.1290-405.4440-2,729.1940-2,546.1080-2,351.7990-2,902.0730-1,586.142-93.752-835.497-133.506-1,119.314-126.94-569.175-127.343-748.561-125.28-125.28-73.768-73.768-73.768-73.768-46.342-46.342-46.342-46.342-48.798-48.798-48.798-48.798-38.3-38.3-38.3-38.3-21.639-21.639-21.639-21.63900000000
Overige Financieringsactiviteiten 3,810.557-3,929.511-6,172.129-1,130.067-890.122-1,627.0492,339.2128,475.701-5,014.642245.685-5,730.45711,480.912613.66922,692.0988,218.556,732.485963.589-425.6733,158.5582,979.475-271.4124,722.206964.4274,293.8162,946.1832,946.1832,946.1832,946.1834,970.7964,970.7964,970.7964,970.7963,195.4883,195.4883,195.4883,195.4883,388.8083,388.8083,388.8083,388.8083,783.4653,783.4653,783.4653,783.465-554.128-554.128-554.128-554.128-49.928-49.928-49.928-49.928
Kasstroom uit Financieringsactiviteiten 10,704.049-4,178.64-6,728.147-1,535.5111,887.758-4,356.2432,648.9385,929.593-14,714.198-2,106.114-2,184.9448,545.88310,890.33321,105.95620,532.0125,896.9882,553.73-1,753.9224,534.8022,243.60911,288.6193,973.6451,959.941-3,026.375-2,907.733-2,907.733-2,907.733-2,907.733-4,962.793-4,962.793-4,962.793-4,962.793-2,038.106-2,038.106-2,038.106-2,038.106-3,358.329-3,358.329-3,358.329-3,358.329-3,763.959-3,763.959-3,763.959-3,763.959426.564426.564426.564426.564-362.998-362.998-362.998-362.998
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1.161110.251-108.6225.25425.126-22.323-16.883-51.74910.326.1590.88347.50610.72-28.82-36.28444.1826.68653.6081.72860.337-93.261103.36136.738-92.284-7.539-7.539-7.539-7.5396,461.6816,461.6816,461.6816,461.6813,372.7343,372.7343,372.7343,372.7344,852.1754,852.1754,852.1754,852.1753,931.5943,931.5943,931.5943,931.5941,609.2441,609.2441,609.2441,609.244651.589651.589651.589651.589
Netto Kasstroomverandering 2,830.757-1,998.982-4,170.2944,201.9611,836.646-4,310.565-4,794.37823,095.238-885.446-5,484.931,132.026-6,350.0358,267.6821,281.92979.0425,716.0171,332.532-921.6611,998.62-327.89-1,304.174-4,864.1234,888.236364.95897.49197.49197.49197.491190.13190.13190.13190.131,635.0941,635.0941,635.0941,635.094-335.348-335.348-335.348-335.348-567.711-567.711-567.711-567.7111,383.9041,383.9041,383.9041,383.90434.75434.75434.75434.754
Kaspositie aan het Einde van de Periode 33,750.72530,919.96832,918.9537,089.24432,887.28334,350.63738,661.20240,155.5817,060.34217,945.78823,430.71821,324.227,674.23519,406.55318,124.62418,045.58212,329.56511,038.26911,959.939,99410,321.8892,489.7947,353.9172,830.6392,540.7372,540.7372,540.7372,540.7372,455.7932,455.7932,455.7932,455.7932,385.7492,385.7492,385.7492,385.749775.516775.516775.516775.5161,110.9341,110.9341,110.9341,110.9341,474.1631,474.1631,474.1631,474.16396.60996.60996.60996.609