China Taiping Insurance Holdings Company Limited

HKEX:0966.HK

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 51,093.20342,265.76639,945.90531,306.3927,817.65627,527.8239,265.25738,544.48447,619.45233,972.41727,611.98617,317.6335,255.92716,449.82712,590.04615,620.79,867.0296,081.012,751.3052,224.5911,641.4651,111.621,314.913439.553273.52
Kortetermijnbeleggingen 51,284.052266,191.393253,857.581235,053.003130,171.151126,228.611123,257.79668,171.34747,666.6203,736.8953,554.032187.67711,495.4146,534.6770000000000
Liquide middelen en kortetermijnbeleggingen 680,652.409308,457.159293,803.486266,359.393157,988.80727,527.8239,265.257106,715.83147,619.45233,972.41727,611.98617,317.6335,443.60427,945.24119,124.72315,620.79,867.0296,081.012,751.3052,224.5911,641.4651,111.621,314.913439.553273.52
Nettovorderingen -680,777.78-568,873.17-594,272.042-551,148.088-428,576.099-191,490.768-204,585.629000000000000000000
Voorraad 125.371171.607244.476319.056324.63406.94643.941279.17300000000000000000
Overige vlottende activa 161,496.352568,873.17594,272.042551,148.088428,576.099191,490.768204,585.629-30,019.13857,765.64235,281.716-793.236-3,350.72307,283.772681.4393.281,687.6583.5815.5856.378556.5560000
Totaal vlottende activa 161,496.352308,628.766294,047.962266,678.449158,313.43727,934.7639,909.19876,975.866105,385.09469,254.13330,555.64517,520.93935,443.60435,229.01319,806.16215,623.9811,554.6876,084.5912,756.892,230.9692,198.0211,111.621,314.913439.553273.52
Niet-vlottende activa:
Materiële vaste activa, netto 41,516.7541,291.04741,225.02531,996.23128,307.39820,078.81311,894.8428,321.11110,813.11510,984.1496,853.0124,196.7494,048.363,280.8572,936.4423,199.7461,313.1471,140.767659.507500.599306.872279.569190.486188.132192.769
Goodwill 353.658719.253723.948722.365719.11731.297768.597762.041668.517668.517770.353303.647303.647303.647303.647364.845228.185228.185228.185478.185505.952533.719183.37700
Immateriële activa 261.408261.408261.408261.408261.9763,702.5591,897.867883.3571,227.8651,633.659738.087428.686264.791261.408261.4080000000000
Goodwill en immateriële activa 615.066980.661985.356983.773981.0864,433.8562,666.4641,645.3981,896.3822,302.1761,508.44732.333568.438565.055565.055364.845228.185228.185228.185478.185505.952533.719183.37700
Langetermijnbeleggingen 162,031.12925,437.928861,476.208705,151.787495,435.5472,595.958420,910.924223,255.311274,552.599246,130.269196,241.034161,329.208132,271.087104,180.59374,225.11656,998.24840,776.315350.678315.298351.595127.678188.253217.55900
Belastingvorderingen 11,549.79212,401.0445,502.792,239.9191,641.8532,932.1031,186.933687.189365.493253.613261.97140.721145.524141.60996.2122.3532.6482.6973.29872.6243.524-188.253-217.55900
Overige niet-vlottende activa 1,120,993.349-980,110.68-909,189.379-740,371.71-526,365.837-500,040.73-436,659.163194,520.88495,018.671114,624.64579,596.07559,018.561-137,033.40911,086.5413,902.0464,606.2171,742.56732,246.74923,370.60313,219.8887,542.1964,296.4922,154.261,473.702-192.769
Totaal niet-vlottende activa 1,336,706.077980,110.68909,189.379740,371.71526,365.837500,040.73436,659.163428,429.893382,646.26374,294.852284,460.531225,417.572137,033.409119,254.65491,724.86965,191.40944,062.86233,969.07624,576.89114,622.8918,486.2225,109.7812,528.1231,661.833192.769
Totaal activa 1,498,202.4291,409,365.5661,378,641.9741,169,007.966919,420.179752,101.333666,473.693505,405.759488,031.354443,548.985315,016.176242,938.511191,372.348154,483.667111,531.03180,815.38955,617.54940,053.66727,333.78116,853.8610,684.2436,221.4013,843.0352,101.3861,871.803
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,196,541.12813,067.32413,334.08112,974.4813,099.2729,182.9197,123.3165,304.90335,768.19343,452.163688.332914.9842,855.0561,501.4472,473.7610000000000
Kortlopende schulden 75,921.34630,067.30248,350.57429,568.9733,020.35742,742.50644,413.75935,778.41621,371.1531,920.8563000006,606.088000000000.0080
Belastingschulden 1,059.0681,369.5561,471.9831,307.3921,029.1663,244.1753,773.2572,488.1092,418.2491,331.978475.545302.043296.282476.005254.16659.24685.99956.14137.4710.34416.90013.22410.95
Uitgestelde opbrengsten 1,059.068000000-24,941.802-42,592.948-33,650.3428,909.67700000000000000
Overige kortlopende verplichtingen 29,131.347-43,134.626-61,684.655-42,543.45-46,119.629-51,925.425-51,537.07529,465.08648,609.20849,940.3945,225.1237,773.632-2,855.0563,407.653254.16601,132.38800000013.2240
Totaal kortlopende verplichtingen 1,302,652.88943,134.62661,684.65542,543.4546,119.62951,925.42551,537.07545,606.60363,155.60661,663.07115,123.1328,688.6162,855.0564,909.19,334.01559.2461,132.38856.14137.4710.34416.90013.2310
Langlopende verplichtingen:
Langetermijnschulden 69,941.89659,237.06746,822.98431,701.34629,847.25813,423.5347,732.99911,763.2210,807.63819,566.88721,721.21313,334.73611,077.49711,344.9895,726.4055,376.522,960.4232,845.2322,789.4711,480.4591,846.643365.771126.85344.029113.363
Uitgestelde opbrengsten niet-vlottend -1,230,987.38700035,230.69528,478.27623,560.81221,115.28310,916.8024,638.7843,282.9222,428.199-5,925.276106,550.06568,915.843-6,018.38-3,909.454-3,511.787-2,870.025-1,480.84-1,847.103-376.525-220.207-1,088.5170
Uitgestelde belastingverplichtingen niet-vlottend 1,964.2991,879.531,818.0845,532.6023,680.3861,995.1212,729.3421,576.0764,195.5754,398.9531,927.387904.957557.8911,491.4671,415.377641.86949.031666.55580.5540.3810.4610.75349.4120.3163.46
Overige niet-vlottende verplichtingen 1,238,026.602-17,981.971-48,641.068-37,233.948-68,758.3398,028.49417,513.922358,341.913327,157.1301,942.774249,110.685196,589.586-2,855.05611,706.17310,801.5629,498.0833,390.8561,404.322916.087780.847322.7733,486.13220.2071,088.5170
Totaal niet-vlottende verplichtingen 78,945.4143,134.62648,641.06837,233.94868,758.33951,925.42551,537.075392,796.492353,077.115330,547.398276,042.207213,257.4782,855.056131,092.69486,859.1879,498.0833,390.8561,404.322916.087780.847322.7733,486.13176.26544.345116.823
Totaal passiva 1,381,598.2991,310,679.3861,265,186.0141,052,394.907825,363.215671,705.552584,752.995438,403.095416,232.721392,210.469291,165.339221,946.094174,498.301136,001.79496,193.20273,576.14247,521.86734,471.02623,910.53613,430.5537,682.873,486.131,324.5271,146.0931,327.956
Eigen vermogen:
Preferente aandelen 0000000000000000000000000
Gewone aandelen 40,771.40840,771.40840,771.40840,771.40840,771.40840,771.40840,771.40840,771.40840,771.40827,291.10485.29485.29485.26485.18185.10371.08670.76470.31366.82466.58566.40766.26763.61944.687601
Ingehouden winsten 77,497.86250,780.62349,637.26443,561.1739,397.36830,946.51124,678.59121,155.08516,042.10214,975.63511,011.12400000000000000
Overige gereserveerde algehele resultaten -39,281.16-16,046.045-2,341.846,314.874-3,861.172-10,695.229-3,458.854-2,662.802-2,442.986-2,243.82-1,814.775-1,406.52-1,240.3430-739.766-430.164000000000
Overige totale aandeelhoudersvermogen 00-0004,707.2194,449.281-3,094.6295,357.481677.33110,565.59215,157.99512,589.77512,627.20610,951.3744,955.6975,614.8624,108.0062,440.3342,575.8752,612.1932,489.8472,234.682910.606-57.153
Totaal eigen vermogen van aandeelhouders 78,988.1175,505.98688,066.83290,647.45276,307.60465,729.90966,440.42656,169.06259,728.00540,700.2519,847.23513,836.76911,434.69612,712.38710,296.7114,596.6195,685.6264,178.3192,507.1582,642.462,678.62,556.1142,298.301955.293543.847
Totaal eigen vermogen 116,604.1398,686.18113,455.96116,613.05994,056.96480,395.78181,720.69867,002.66471,798.63351,338.51623,850.83720,992.41716,874.04718,481.87315,337.8297,239.2478,095.6825,582.6413,423.2453,423.3073,001.3732,735.2712,518.508955.293543.847
Totaal passiva en aandeelhoudersvermogen 1,498,202.4291,409,365.5661,378,641.9741,169,007.966919,420.179752,101.333666,473.693505,405.759488,031.354443,548.985315,016.176242,938.511191,372.348154,483.667111,531.03180,815.38955,617.54940,053.66727,333.78116,853.8610,684.2436,221.4013,843.0352,101.3861,871.803