Ko Yo Chemical (Group) Limited

HKEX:0827.HK

0.046 (HKD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 62.928224.058393.25914.53910.114.54516.31224.47759.782498.099116.683350.752132.09471.966144.49844.90219.20112.83947.75813.92634.5177.01
Kortetermijnbeleggingen 00200000000000083.32559.336000000
Liquide middelen en kortetermijnbeleggingen 62.928224.058413.25914.53910.114.54516.31224.47759.782498.099116.683350.752132.09471.966227.823104.23819.20112.83947.75813.92634.5177.01
Nettovorderingen 4.43816.0636.97810.2171.8671.05414.36636.39213.44220.0118.492316.228353.978148.913078.266.87464.37853.32946.80246.68956.9
Voorraad 216.104323.569173.705112.374158.542151.242188.205198.169205.835283.738260.47858.63143.2265.827100.26398.25864.1376.80474.3451.03724.67917.319
Overige vlottende activa 1,049.703470.897432.618140.27650.85658.033138.188406.2631,072.7971,090.342,067.5761,228.847795.366391.56140.6074.20546.21520.80177.853.9413.0329.5
Totaal vlottende activa 1,420.8651,034.5841,056.56277.406221.375214.874357.071665.3011,351.8561,892.1882,453.2291,954.4581,324.658678.266468.693284.901196.42174.822253.227165.705118.91790.729
Niet-vlottende activa:
Materiële vaste activa, netto 4,513.3863,841.0452,296.3372,448.5992,620.9962,786.3693,363.6523,609.9563,836.1173,326.5892,902.9272,422.011,521.151,318.2141,069.949759.835450.701304.351189.528207.835160.17161.913
Goodwill 26.19926.1990007.7017.7017.7017.9088.98.98.908.98.98.98.900-12.366-12.866-13.366
Immateriële activa 281.60847.397102.3320.1080.378112.425115.378118.33152.10753.56655.02556.484401.145422.41190.12842.28443.31544.34645.124000
Goodwill en immateriële activa 307.80773.596102.3320.1080.378120.126123.079126.03260.01562.46663.92565.384401.145431.31199.02851.18452.21544.34645.124-12.366-12.866-13.366
Langetermijnbeleggingen 03,898.852,155.3472,383.4232,539.0552,804.5313,387.283,655.2753,822.5253,350.1862,956.64400000000000
Belastingvorderingen 16.41115.79138.65865.28482.319101.96499.45180.71373.60738.86910.2082.1112.1637.5832.5862.0712.4090.7710000
Overige niet-vlottende activa 7.861-3,914.641-2,296.337-2,448.707-2,621.374-2,906.495-3,486.731-3,735.988-3,896.132-3,389.055-2,966.852000332.613331.547331.09901000
Totaal niet-vlottende activa 4,845.4653,914.6412,296.3372,448.7072,621.3742,906.4953,486.7313,735.9883,896.1323,389.0552,966.8522,489.5051,924.4581,757.1081,504.1761,144.637836.424349.468235.652195.469147.304148.547
Totaal activa 6,266.335,845.5224,037.7082,847.2472,982.7623,282.8713,954.8714,494.1295,334.2315,333.2575,443.9434,443.9633,249.1162,435.3741,972.8691,429.5381,032.844524.29488.879361.174266.221239.276
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 31.71739.91227.67121.81114.7418.9861.006154.249171.903108.15630.77833.084307.123176.981220.02173.05981.39790.9190000
Kortlopende schulden 2,732.0111,825.3281,785.1921,888.2451,461.431,686.8431,648.8141,536.6531,869.9052,005.6132,791.0852,063.0591,542.175899.516380.171213.601159.5134.276144.8795.4367.4339.43
Belastingschulden 4.95912.71217.68937.7926.13927.615.3392.4081.5272.3861.1542.47500000.0651.660000
Uitgestelde opbrengsten 0-1,825.328-1,785.192-1,888.245-1,461.43-1,686.843-1,648.814-1,536.653-1,869.905-2,005.613-2,791.08500000000000
Overige kortlopende verplichtingen 1,516.8613,313.2412,332.7872,439.7882,008.0882,136.5542,325.3242,197.8662,588.0442,587.8873,210.404290.39600000.0651.66124.7969.22938.22440.52
Totaal kortlopende verplichtingen 4,280.5893,353.1532,360.4582,461.5992,022.8282,155.5342,386.332,352.1152,759.9472,696.0433,241.1822,386.5391,849.2981,076.497600.191386.66240.962226.855269.66164.659105.65479.95
Langlopende verplichtingen:
Langetermijnschulden 958.4671,305.531771.869287.932651.899466.774562.152683.578759.795796.4511,040.218808.324284.655332.918331.575104.07117.56808.837.229.884.6
Uitgestelde opbrengsten niet-vlottend -115.4591,189.788691.002211.142577.2440.6221.2761.932.5843.2383.8924.5467.4768.3297.4045.534000000
Uitgestelde belastingverplichtingen niet-vlottend 115.459115.74380.86776.7974.65574.7371.61669.61571.56380.86786.35286.35282.55580.86780.86780.86780.86700.1620.2660.3870.356
Overige niet-vlottende verplichtingen 115.459-1,305.531-771.869-287.932-651.899-75.352-72.892-71.545-74.147-84.105-90.24436.535.07241.78641.02906.0084.5737.337.3887.4499.803
Totaal niet-vlottende verplichtingen 1,073.9261,305.531771.869287.932651.899466.774562.152683.578759.795796.4511,040.218935.752379.758463.9460.875190.471204.4434.57316.29244.85437.63694.759
Totaal passiva 5,354.5154,785.3963,214.122,828.732,749.3822,697.663,021.3743,107.2383,593.8893,576.5994,371.6443,322.2912,229.0561,540.3971,061.066577.131445.405231.428285.952209.513143.29174.709
Eigen vermogen:
Preferente aandelen 00000000003.43900000000000
Gewone aandelen 520.569520.569491.449474.879474.879368.394368.394367.531342.822302.96138.618138.618138.618136.1136.082124.642000000
Ingehouden winsten -2,015.998-1,808.264-2,009.827-2,389.062-2,147.283-1,421.675-1,073.466-619.127-211.973-106.327383.72394.69300003.92200000
Overige gereserveerde algehele resultaten 825.669824.265811.673411.994385.055227.622227.622229.737263.656342.429-3.439-189.009-116.523-133.145-99.818-82.522000000
Overige totale aandeelhoudersvermogen 1,581.3711,522.4691,528.7761,519.1721,519.1721,409.0651,409.0651,406.7741,343.031,214.162546.694773.77997.965892.022875.539810.287583.517292.862202.927151.094122.33164.567
Totaal eigen vermogen van aandeelhouders 911.6111,059.039822.07116.983231.823583.406931.6151,384.9151,737.5351,753.2241,069.0321,118.0721,020.06894.977911.803852.407587.439292.862202.927151.094122.33164.567
Totaal eigen vermogen 911.8151,060.126823.58818.517233.38585.211933.4971,386.8911,740.3421,756.6581,072.2991,121.6721,020.06894.977911.803852.407587.439292.862202.927151.661122.93164.567
Totaal passiva en aandeelhoudersvermogen 6,266.335,845.5224,037.7082,847.2472,982.7623,282.8713,954.8714,494.1295,334.2315,333.2575,443.9434,443.9633,249.1162,435.3741,972.8691,429.5381,032.844524.29488.879361.174266.221239.276