Mingfa Group (International) Company Limited

HKEX:0846.HK

0.157 (HKD) • At close November 11, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,779.22,875.4123,665.9163,567.0023,488.0595,263.382,849.2262,290.1381,915.148732.142971.184680.079898.0272,071.2162,968.761160.233
Kortetermijnbeleggingen 00000000256.721170-7,904.412-6,859.391-4,023.58160.156-1,967.023
Liquide middelen en kortetermijnbeleggingen 1,779.22,875.4123,665.9163,567.0023,488.0595,263.382,849.2262,290.1382,171.868849.142971.184680.079898.0272,071.2163,028.917160.233
Nettovorderingen 000000396.691373.675602.43574.998727.8640-385.034000
Voorraad 18,839.92840,150.95343,535.48146,530.50945,580.7627,236.68323,949.70821,118.29916,795.13912,488.82110,436.5863,935.7934.45110.5129.5548.075
Overige vlottende activa 28,639.69526,086.88925,731.57322,363.56323,300.67635,122.56132,709.91830,217.7223,187.9318,718.76216,438.46914,712.34310,482.9529,218.8395,992.9856,666.732
Totaal vlottende activa 49,258.82349,230.59653,744.26156,418.15255,634.16457,308.4149,886.63644,024.24435,684.90825,449.60121,549.43419,328.21514,853.57311,930.9079,288.6127,055.13
Niet-vlottende activa:
Materiële vaste activa, netto 2,896.6243,168.4652,995.6242,910.1253,310.6471,606.7431,638.6061,784.2491,381.4261,475.0411,521.738519.046324.71266.325178.718202.658
Goodwill 7.1697.1697.1697.1697.1697.1697.1697.1697.1697.1727.1777.1840000
Immateriële activa 282.554271.945666.201585.547884.3641,507.5982,691.4893,038.2482,984.8844,080.486155.8293,644.46829.75337.8738.39640.551
Goodwill en immateriële activa 289.723279.114673.37592.716891.5331,514.7672,698.6583,045.4172,992.0534,087.658163.0063,651.65229.75337.8738.39640.551
Langetermijnbeleggingen 4,387.9453,927.8934,020.0894,036.3613,960.9923,537.7383,413.3183,297.62,742.8641,440.653495.338,293.627,122.7964,469.89984.6952,111.911
Belastingvorderingen 0334.561414.182596.79578.935606.273529.045304.823418.335366.238414.044427.308380.754328.585141.139125.144
Overige niet-vlottende activa 13,834.639-334.561-414.182-596.79-578.935-606.273-529.045-304.823-418.335-366.238-414.04494.254,151.2011,176.6313,164.294590.094
Totaal niet-vlottende activa 21,408.9317,375.4727,689.0837,539.2028,163.1726,659.2487,750.5828,127.2667,116.3437,003.3522,180.07412,985.87612,009.2146,279.313,607.2423,070.358
Totaal activa 70,667.75471,186.82273,745.71976,106.15975,725.4275,373.28567,192.83160,904.50851,886.87340,570.68835,371.47132,314.09126,862.78718,210.21712,895.85410,125.488
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 16,490.65714,630.6813,213.44912,249.57711,642.9299,946.8537,814.637,350.7495,941.2255,024.7874,071.3324,907.9653,684.6933,193.63,489.0575,309.009
Kortlopende schulden 459.765176.043692.1573,487.2636,548.7748,729.8210,254.1399,148.6549,659.4428,217.8926,609.735,647.2751,865.238916.253371.5850
Belastingschulden 4,446.8913,895.8483,916.0183,219.4152,655.8322,147.5441,777.0951,264.252,756.8122,361.8932,231.8151,969.9051,695.011,717.9641,558.783942.593
Uitgestelde opbrengsten 0-176.043-692.157-3,487.263-6,548.774-8,729.82-10,254.139-9,148.654-9,659.442-8,217.892-6,609.73001,939.62800
Overige kortlopende verplichtingen 24,622.44126,594.32929,969.61434,323.82633,707.64933,512.19526,304.02222,960.07112,133.5286,199.9695,719.354,987.2075,377.4242,271.978110.5611,078.175
Totaal kortlopende verplichtingen 46,019.75445,296.947,791.23853,280.08154,555.18454,336.41246,149.88640,723.72430,491.00721,804.54118,632.22717,512.35212,622.3658,099.7955,529.9867,329.777
Langlopende verplichtingen:
Langetermijnschulden 2,063.1192,475.3122,789.6541,549.045622.6972,109.6783,011.1063,490.1875,638.5073,984.3462,031.6711,540.564,597.1893,607.5872,140.7594.99
Uitgestelde opbrengsten niet-vlottend 0-239.817202.215-862.882-1,844.6261,429.4861,641.3261,611.6591,450.5531,459.9791,515.4791,666.4230000
Uitgestelde belastingverplichtingen niet-vlottend 02,708.7492,576.1492,393.1292,405.0322,209.8961,974.2431,816.1891,729.231,612.631,949.3361,753.8111,304.391768.435401.585335.153
Overige niet-vlottende verplichtingen 3,569.444-6.38-11.29-18.798-2,467.32300000000107.06127.7061.978
Totaal niet-vlottende verplichtingen 5,632.5632,468.9322,778.3641,530.247560.4062,109.6783,011.1063,490.1875,638.5073,984.3462,031.6714,960.7946,970.5934,483.0822,669.991932.121
Totaal passiva 51,652.31751,571.0254,286.85558,592.90959,040.95460,085.47252,776.56147,641.75939,309.29728,861.49624,128.71322,473.14619,592.95812,582.8778,199.9778,261.898
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 536.281536.281536.281536.281536.281536.281536.281536.281536.281536.281536.281536.281533.843528.54528.540.001
Ingehouden winsten 15,936.19316,403.3216,355.35914,472.70213,341.60712,389.83311,900.64910,876.4299,706.9949,327.9528,224.9116,688.8950000
Overige gereserveerde algehele resultaten 415.252411.998415.71415.271415.248401.783401.033398.541599.793587.871861.629-133.875-97.671-99.28-73.251-53.902
Overige totale aandeelhoudersvermogen 631.266631.266631.266631.2661,172.0231,158.5581,157.8081,155.3161,356.5681,344.6461,618.4041,643.6111,547.735,108.2134,177.3161,851.024
Totaal eigen vermogen van aandeelhouders 17,518.99217,982.86517,938.61616,055.5214,924.40213,959.16313,469.22912,442.51711,474.33411,083.3710,254.0878,868.7877,005.7235,537.4734,632.6051,797.123
Totaal eigen vermogen 19,015.43719,615.80219,458.86417,513.2516,684.46615,287.81314,416.2713,262.74912,577.57611,709.19211,242.7589,840.9457,269.8295,627.344,695.8771,863.59
Totaal passiva en aandeelhoudersvermogen 70,667.75471,186.82273,745.71976,106.15975,725.4275,373.28567,192.83160,904.50851,886.87340,570.68835,371.47132,314.09126,862.78718,210.21712,895.85410,125.488