China Resources Cement Holdings Limited

HKEX:1313.HK

1.9 (HKD) • At close November 14, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,866.6482,181.7287,067.38113,226.92412,847.83812,301.5015,384.0943,158.6841,937.7084,147.8042,821.7823,561.8633,737.8394,115.345,723.061363.59
Kortetermijnbeleggingen 0-878.001-1,862.999-682.084-607.538-572.5951.873-260.243830.541842.78934.376866.819-4,157.459-2,020.254-1,408.872-557.303
Liquide middelen en kortetermijnbeleggingen 2,866.6482,181.7287,067.38113,226.92412,847.83812,301.5015,384.0943,158.6841,937.7084,147.8042,821.7823,561.8633,737.8394,115.345,723.061363.59
Nettovorderingen 3,145.9774,457.8374,793.4372,991.5972,386.12604,451.6823,607.2623,273.5795,000.4764,281.8414,333.4383,965.0163,049.9241,448.623855.711
Voorraad 1,896.0272,732.1972,941.191,853.1511,509.7041,970.6291,717.4551,943.4821,564.9122,162.3592,131.9612,322.1532,296.0351,182.024602.38379.789
Overige vlottende activa 3,190.5794,383.6041,662.782,514.272,013.316262.68935.39362.501595.42365.315862.3754.977000293.123
Totaal vlottende activa 7,690.279,821.28216,522.70220,575.71418,742.8318,822.18611,895.0499,073.8717,371.62211,926.84110,097.95910,705.33810,815.3778,356.5088,203.4121,901.384
Niet-vlottende activa:
Materiële vaste activa, netto 41,610.36940,713.60149,306.93437,423.63932,311.89129,990.57332,729.39931,538.67334,325.3935,797.23135,039.22233,190.76530,014.24523,297.56914,264.0558,124.263
Goodwill 2,067.8882,474.571,321.6651,203.5491,184.3661,193.8271,214.6971,260.6881,291.0361,316.1231,319.621,260.60000
Immateriële activa 017,431.30312,298.7171,499.4371,277.4262,846.0242,816.1372,674.7232,905.4512,787.1642,752.322,510.4841,707.968632.639347.612137.807
Goodwill en immateriële activa 2,067.88819,905.8731,321.6651,203.5491,184.3664,039.8514,030.8343,935.4114,196.4874,103.2874,071.943,771.0841,707.968632.639347.612137.807
Langetermijnbeleggingen 8,966.6029,291.84311,462.5488,953.9758,712.0077,445.4146,908.6526,957.5066,332.494,035.9723,185.6092,800.6217,848.0342,935.0651,417.383557.351
Belastingvorderingen 871.881881.164535.391375.578219.766208.358256.361325.525365.03104.252152.878124.45695.844106.48322.4219.616
Overige niet-vlottende activa 18,160.87300000706.307325.5251,625.7311,569.5041,632.0621,566.867-23.645-0.373-20.991-36.961
Totaal niet-vlottende activa 71,677.61370,792.48162,626.53847,956.74142,428.0341,684.19644,631.55343,082.6446,845.12845,610.24644,081.71141,453.79339,642.44626,971.38316,030.488,792.076
Totaal activa 80,144.64180,613.76379,149.2468,532.45561,170.8660,506.38256,526.60252,156.51154,216.7557,537.08754,179.6752,159.13150,457.82335,327.89124,233.89210,693.46
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,978.6192,895.8153,786.283,723.0793,174.2373,460.3553,374.6333,145.783,089.7682,800.1193,246.1733,386.3922,774.7881,564.873836.946691.363
Kortlopende schulden 2,568.3384,132.4989,098.5713,607.8351,199.4374,531.6786,572.1576,890.725,226.6424,728.9054,822.4387,197.0711,339.7615,155.9213,099.2222,474.889
Belastingschulden 92.477632.8971,366.1551,825.7892,377.2021,272.802443.893334.213175.512875.807560.041183.312164.18152.5086.55611.005
Uitgestelde opbrengsten 001,165.6091,221.515921.062802.11700000-1,088.8370000
Overige kortlopende verplichtingen 5,340.5017,645.6036,761.4545,085.4224,572.6065,007.9694,966.254,446.1214,910.1824,725.6645,769.4526,011.5486,072.3455,113.4871,258.3871,356.443
Totaal kortlopende verplichtingen 10,979.93515,306.81321,012.4614,242.12511,323.48214,272.80415,356.93314,816.83413,402.10413,130.49514,398.10416,778.32220,351.07511,886.7895,201.1114,533.701
Langlopende verplichtingen:
Langetermijnschulden 14,005.19312,061.461,693.273,468.8036,859.0357,980.81610,579.37910,969.50213,698.16615,554.97114,271.5313,270.43510,035.4266,872.6465,527.7891,485.245
Uitgestelde opbrengsten niet-vlottend 00000-338.086-726.947-1,031.222-5,485.909-8,143.163-4,973.625-1,060.0264,629.384-1,141.747-2,282.6091,878.026
Uitgestelde belastingverplichtingen niet-vlottend 327.65481.937424.082422.989504.171349.30394.35898.22104.153117.216119.75114.297103.45969.53354.04831.115
Overige niet-vlottende verplichtingen 1,732.291,923.285378.081797.694722.1658.297107.849118.306130.803136.473148.28537.87766.6131,263.909826.751268.461
Totaal niet-vlottende verplichtingen 16,065.13314,466.6822,495.4334,266.4977,581.28,338.41610,687.22811,087.80813,828.96915,691.44414,419.81513,422.60910,205.4988,195.8136,402.1271,758.515
Totaal passiva 29,776.76429,773.49523,507.89318,508.62218,904.68222,611.2226,044.16125,904.64227,231.07328,821.93928,817.91930,200.93130,556.57320,082.60211,603.2386,292.216
Eigen vermogen:
Preferente aandelen 00001,888.14300000000000
Gewone aandelen 679.677698.294698.294698.294698.294698.294653.294653.294653.294653.294653.294651.926651.926651.926651.92678.179
Ingehouden winsten 48,249.43550,729.60651,587.04747,869.79441,302.68132,451.49524,476.05620,859.31419,584.355000002,292.4261,282.25
Overige gereserveerde algehele resultaten -403.837-2,194.4542,570.6721,058.734-1,888.143-15,720.433-14,761.11-11,970.356-10,880.469-9,651.999-7,917.585-5,661.605-4,129.73-2,745.315-1,860.637-1,432.215
Overige totale aandeelhoudersvermogen -0-051,587.04735.193-1,909.4465,449.544,282.3675,662.8315,891.4846,936.7547,851.3669,717.6325,181.17814,686.0829,480.2314,591.606
Totaal eigen vermogen van aandeelhouders 48,563.65349,233.44654,856.01349,626.82241,979.67237,691.27830,308.96926,006.76826,556.89128,179.87324,820.85421,375.66519,298.73214,776.25412,257.6254,366.597
Totaal eigen vermogen 50,367.87750,840.26855,641.34750,023.83342,266.17837,895.16230,482.44126,251.86926,985.67728,715.14825,361.75121,958.219,901.2515,245.28912,630.6544,401.244
Totaal passiva en aandeelhoudersvermogen 80,144.64180,613.76379,149.2468,532.45561,170.8660,506.38256,526.60252,156.51154,216.7557,537.08754,179.6752,159.13150,457.82335,327.89124,233.89210,693.46