Seazen Group Limited

HKEX:1030.HK

1.54 (HKD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 13,225.0322,435.39946,604.69858,965.90859,691.68541,213.88120,542.67611,905.3396,478.8614,817.9077,411.7134,852.134,221.558
Kortetermijnbeleggingen 588.7221,153.3721,210.0591,450.384373.394220.0010000000
Liquide middelen en kortetermijnbeleggingen 13,813.75224,133.9748,843.72261,285.58460,798.94941,433.88220,542.67611,905.3396,478.8614,817.9077,411.7134,852.134,221.558
Nettovorderingen 50,928.94361,516.85677,126.0370,308.84670,759.43158,906.517120.67741.66530.80142.6812,112.8312,814.3552,076.142
Voorraad 142,531.41204,412.729250,383.115270,616.6231,283.88145,596.5776,396.63639,505.46232,739.89829,862.46828,728.96424,493.75224,227.066
Overige vlottende activa 11,978.17616,850.86417,563.92120,479.989,157.76421,433.33847,864.77529,394.77214,579.1379,055.8044,171.6784,313.8472,689.155
Totaal vlottende activa 218,981.577306,369.22392,887.823421,821.718371,266.154267,370.307144,924.76480,847.23853,828.69743,778.8642,425.18636,474.08433,213.921
Niet-vlottende activa:
Materiële vaste activa, netto 3,873.9910,050.7849,401.4228,233.7015,517.9593,014.912,919.7032,443.0012,261.413741.152116.009117.074117.016
Goodwill 0.7770.77710.2610.2610.2610.260.777000000
Immateriële activa 1,332.29366.147428.221412.761474.954967.058489.095467.259467.899415.233377.084374.515372.589
Goodwill en immateriële activa 1,333.067366.924438.481423.021485.214977.318489.872467.259467.899415.233377.084374.515372.589
Langetermijnbeleggingen 25,203.60726,370.89527,781.50423,945.17820,638.66921,240.12815,019.0285,304.8262,657.6041,294.757274.65500
Belastingvorderingen 6,607.5767,640.636,277.1874,767.1633,900.9163,031.4481,658.73808.66579.813499.1750361.193362.64
Overige niet-vlottende activa 121,088.739-7,640.63-6,277.187-4,767.163-3,900.916-3,031.448-1,658.73-808.66-579.813-499.1754,005.2763,516.6772,834.2
Totaal niet-vlottende activa 158,106.97936,788.60337,621.40732,601.926,641.84225,232.35618,428.6038,215.0865,386.9162,451.1424,773.0244,369.4593,686.445
Totaal activa 377,088.556463,473.896540,108.9544,488.072468,242.359336,855.538189,398.346104,879.45670,818.89353,641.72147,198.2140,843.54336,900.366
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 48,461.35950,576.64560,330.42358,384.74541,053.08144,108.54622,593.68814,139.69312,243.5410,023.6088,936.0678,861.5175,989.946
Kortlopende schulden 24,831.19935,029.47638,256.07531,324.75140,993.84924,987.7915,273.14210,175.7143,975.5753,376.1892,730.0815,130.4364,217.363
Belastingschulden 19,673.95625,399.96431,289.49734,508.62815,248.9299,476.0387,163.7372,886.3241,971.811,805.61801,479.9681,364.472
Uitgestelde opbrengsten 162,549.38-35,029.476-38,256.075-31,324.751-40,993.849-24,987.79-15,273.142-10,175.714-3,975.575-3,376.189000
Overige kortlopende verplichtingen 2,831.358267,696.316309,061.905324,849.833317,831.203186,645.665106,308.55157,376.51929,352.44620,025.37912,786.10613,544.02114,498.671
Totaal kortlopende verplichtingen 238,673.296318,272.961369,392.328383,234.578358,884.284230,754.211128,902.23971,516.21241,595.98630,048.98724,452.25427,535.97424,705.98
Langlopende verplichtingen:
Langetermijnschulden 39,717.6643,874.40566,046.95973,417.09446,997.93956,515.37334,108.0717,036.15315,004.88910,555.45211,715.0754,509.676,649.2
Uitgestelde opbrengsten niet-vlottend -8,188.25936,161.92559,419.75467,713.6942,511.88652,794.70732,352.57715,921.13714,250.2199,869.192000
Uitgestelde belastingverplichtingen niet-vlottend 8,188.2597,712.486,627.2055,703.4044,486.0533,720.6661,755.4931,115.016754.67686.260402.872343.237
Overige niet-vlottende verplichtingen 8,188.259-43,874.405-66,046.959-73,417.094-46,997.939-56,515.373-34,108.07-17,036.153-15,004.889-10,555.452432.92200
Totaal niet-vlottende verplichtingen 47,905.91943,874.40566,046.95973,417.09446,997.93956,515.37334,108.0717,036.15315,004.88910,555.45212,147.9974,912.5426,992.437
Totaal passiva 286,579.215370,459.555442,689.564463,018.1410,426.558291,134.755164,765.80289,704.05157,355.54541,290.69936,600.25132,448.51631,698.417
Eigen vermogen:
Preferente aandelen 0738.43739.048354.42628.247391.5220000000
Gewone aandelen 5.8225.8225.0815.0814.8074.8134.6094.6094.6094.6174.6174.6173.466
Ingehouden winsten 43,404.43742,525.14142,244.45433,869.38125,616.16119,085.22812,177.1718,383.1736,999.225,968.334,942.6093,961.3473,030.528
Overige gereserveerde algehele resultaten -499.35-738.437-39.048-354.42-628.247-391.52252.58617.72854.1275.19395.182-57.641-38.497
Overige totale aandeelhoudersvermogen 2,961.0862,222.649-90.1981,893.808-628.24762.05546.64829.541,112.441,395.841,679.241,842.78184.319
Totaal eigen vermogen van aandeelhouders 45,871.99544,753.61242,159.33735,768.2724,992.72119,152.09112,781.0069,235.058,170.3697,643.986,721.6485,751.1033,179.816
Totaal eigen vermogen 90,509.34193,014.34197,419.33681,469.97257,815.80145,720.78324,632.54415,175.40513,463.34812,351.02210,597.9598,395.0275,201.949
Totaal passiva en aandeelhoudersvermogen 377,088.556463,473.896540,108.9544,488.072468,242.359336,855.538189,398.346104,879.45670,818.89353,641.72147,198.2140,843.54336,900.366