MMG Limited

HKEX:1208.HK

2.36 (HKD) • At close September 20, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 47.8372.21,255.3192.7217.5601.9936.1552.7598.3251.2137.4102.11,096.5398.2221.027240.993369.376343.095120.9522.68218.14512.283
Kortetermijnbeleggingen 00000000.214.525.999.2141.31.7183.5172.547196.7672.2464.1440.775000
Liquide middelen en kortetermijnbeleggingen 47.8372.21,255.3192.7217.5601.9936.1552.9613.2278247.9243.41,098.2581.7221.027240.993369.376343.095121.72422.68218.14512.283
Nettovorderingen 354.8212.763.9369.2240.6285.5236.3406.638.1153.5141.10125.70178.31700035.3300-0
Voorraad 389.5872.6602.9416.5382.2203.9296.1345.7281.7285.1298300278.4363.8126.28589.535115.03876.973121.68628.89521.97626.685
Overige vlottende activa 203.8202.4237.3179.3222.3181.5227.6726.5701.7493.7157.9366.195363.928.21177.231260.16147.637102.82839.43131.02226.366
Totaal vlottende activa 1,395.11,659.92,159.41,157.71,062.61,272.81,696.12,031.51,634.31,209.4833.6909.51,597.31,309.4553.839507.759744.573567.705381.56891.00871.14365.334
Niet-vlottende activa:
Materiële vaste activa, netto 9,535.29,620.69,867.710,198.710,534.810,897.711,982.112,084.311,87311,100.83,323.13,344.21,754.91,671.5106.55580.55968.81669.88666.90639.67436.8842.546
Goodwill 528.5528.5528.5528.5528.5528.5528.5528.5528.5739.9211.4211.4000.8830.884000000
Immateriële activa 5.55.78.8183967.593.892.1100.199.172.619.50132313.22331.313354.069339.2531.546000
Goodwill en immateriële activa 534534.2537.3546.5567.5596622.3620.6628.6839284230.93.5132314.103332.197354.069339.2531.546000
Langetermijnbeleggingen 2.7115.433.61.73.13.35.50.92.13.84.3-136.4-1.643.8000050.641000
Belastingvorderingen 150315.7184.7238.6180.4178.1200.5291.1368.5173.6136.572.363.698.85.1357.7451.9752.5613.0751.0091.6640
Overige niet-vlottende activa 283.8-315.7-184.7-238.6-180.4-178.1-200.5-291.1-368.5-173.6-136.5238.735.8211.4174.242221.39877.61665.377466.41732.276-45.722-51.95
Totaal niet-vlottende activa 10,505.710,270.210,438.610,746.911,105.411,49712,609.912,705.812,503.711,943.63,611.43,749.71,856.22,157.5600.036641.9502.476477.077588.58572.959-7.178-9.404
Totaal activa 11,900.812,535.513,024.112,29812,665.113,255.414,789.615,23014,66013,4904,683.54,659.23,453.53,466.91,153.8751,149.6591,247.0491,044.782970.153163.96771.14365.334
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 322.5272.3249.8269.1310231.7189.5301.8160.8245.2106.6275.2205.12.566.626165.046106.2682.597102.0622.3322.0934.323
Kortlopende schulden 1,353.31,224.3677.7893797.1685694.3737276.9116.7350.8370.6787.283.247.539.57692.182137.87390.22328.16882.24180.965
Belastingschulden 104.2114.2277.622.72.418.815.23.131.871.976.6120.8117.9129.11.1290.2253.9678.4528.2181.8951.0811.246
Uitgestelde opbrengsten -22-1,224.3-677.7-893-797.1-685-694.3-737-276.9-116.7-350.8000-00008.2181.8951.0811.246
Overige kortlopende verplichtingen 547.41,6831,378.41,2441,198.21,194.21,3131,308.1683.4559614.2208.3175.7666.5112.92743.439123.682101.225169.22138.44448.70140.139
Totaal kortlopende verplichtingen 2,201.21,955.31,628.21,513.11,508.21,425.91,502.51,609.9844.2804.2720.8854.11,168752.2227.053248.061322.124321.695369.72570.839134.116126.673
Langlopende verplichtingen:
Langetermijnschulden 3,501.44,209.65,6396,317.46,853.77,446.48,498.29,516.29,986.28,092.21,270.61,265.3294.51,838.582.72969.91761.016126.03881.54312.14217.61922.616
Uitgestelde opbrengsten niet-vlottend -952.73,001.64,620.25,452.25,973.76,5137,635.28,833.29,242.27,322.31,031.3-854.5692.35.15.1783.0923.2143.3213.4993.6423.6453.628
Uitgestelde belastingverplichtingen niet-vlottend 952.71,2081,018.8865.2880933.4863683744769.9239.32355.520.115.81116.64317.97421.03488.762063.070
Overige niet-vlottende verplichtingen 1,886.2-4,209.6-5,639-6,317.4-6,853.7-7,446.4-8,498.2-9,516.2-9,986.2-8,092.2-1,270.61,473.5-201.2317.600.9581.4831.0253.2050-63.070
Totaal niet-vlottende verplichtingen 5,387.64,209.65,6396,317.46,853.77,446.48,498.29,516.29,986.28,092.21,270.62,119.3791.12,181.3103.71890.61183.687151.418177.00915.78421.26426.245
Totaal passiva 7,588.88,3079,096.19,628.39,987.210,359.111,817.812,640.412,484.810,515.42,866.72,973.41,959.12,933.5330.772338.672405.811473.113546.73486.623155.38152.918
Eigen vermogen:
Preferente aandelen 01,8771,912.81,9371,918.41,917.31,892.41,913.91,926.31,932.91,941.800000000000
Gewone aandelen 3,224.63,220.53,220.32,917.62,912.22,910.82,874.12,863.32,359.12,358.933.933.933.91913.06413.09113.211.0230000
Ingehouden winsten 753.9795.5623-44.218.4263.6229.781.1233.81,260.31,209.4000213.69158.867190.694-13.840000
Overige gereserveerde algehele resultaten -1,855.1-1,877-1,912.8-1,937-1,918.4-1,917.3-1,892.4-1,913.9-1,926.3-1,932.9-1,941.8-1,463.9-998.3-601-95.075-87.598-80.186-67.7820000
Overige totale aandeelhoudersvermogen -0-1,877-1,912.8-1,937-1,918.4-1,917.3-1,892.4-1,913.9-1,926.3-1,932.9376.83,060.32,399.81,059665.588801.707685.235613.952397.24454.312-105.509-107.84
Totaal eigen vermogen van aandeelhouders 2,123.42,1391,930.5936.41,012.21,257.11,211.41,030.5666.61,686.31,620.11,630.31,435.4477797.267786.067808.943543.353397.24454.312-105.509-107.84
Totaal eigen vermogen 4,3124,228.53,9282,669.72,677.92,896.32,971.82,589.62,175.22,974.61,816.81,685.81,494.4533.4823.103810.987841.238571.669423.4277.345-84.237-87.583
Totaal passiva en aandeelhoudersvermogen 11,900.812,535.513,024.112,29812,665.113,255.414,789.615,23014,66013,4904,683.54,659.23,453.53,466.91,153.8751,149.6591,247.0491,044.782970.153163.96771.14365.334