Pacific Textiles Holdings Limited

HKEX:1382.HK

1.61 (HKD) • At close October 31, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 893.8891,187.111,545.128946.152767.143720.892622.826995.538570.8552,025.4191,776.2691,793.361,893.223947.468689.3831,431.6641,175.481226.156131.038
Kortetermijnbeleggingen 1.29160.65944.01811.323161.645043.87586.306881.6280005.381122.552199.2281.59618.8138.6180.47
Liquide middelen en kortetermijnbeleggingen 895.1791,347.7691,589.146957.475928.788720.892666.7011,081.8441,452.4832,025.4191,776.2691,793.361,898.6041,070.02888.6111,433.261,194.294234.774131.508
Nettovorderingen 736.779876.522968.673906.477802.873735.882916.5943.608935.217800.188844.92952.6620000608.708579.621560.215
Voorraad 1,031.258978.4111,247.6561,247.6961,160.109975.8591,102.1391,011.5231,045.881990.3861,146.985993.747903.1861,501.4521,173.632761.64993.285953.335689.9
Overige vlottende activa 86.1230.50614.32931.0249.04796.308120.99885.592111.265150.985113.8911,116.6781,070.4781,156.248855.31618.40535.3935.39116.813
Totaal vlottende activa 2,749.3363,233.2083,819.8043,142.6722,900.8172,528.9412,806.3383,122.5673,544.8463,966.9783,882.0653,903.7853,872.2683,727.722,917.5532,813.3052,831.6771,803.1211,398.436
Niet-vlottende activa:
Materiële vaste activa, netto 2,547.8851,960.1811,745.3551,705.2371,560.7651,450.971,484.7071,364.7871,436.5031,346.3411,128.8511,158.8731,175.6111,407.2511,444.5611,499.1921,522.5871,197.086917.363
Goodwill 0000000000000000000
Immateriële activa 167.28645.33244.34452.66968.226184.561191.086185.686164.193149.039108.16772.77455.823.69327.18827.93128.33622.0521.775
Goodwill en immateriële activa 167.28645.33244.34452.66968.226184.561191.086185.686164.193149.039108.16772.77455.823.69327.18827.93128.33622.0521.775
Langetermijnbeleggingen 251.539316.296359.795347.93324.34321.425313.864296.071239.053224.647202.79211.685246.97612.13462.80443.506-1.9196.27611.384
Belastingvorderingen 17.21119.63219.2415.52519.57915.8439.48700002.366.584.9503.4673.765.3
Overige niet-vlottende activa -167.286-45.332-44.344-52.669-60.553-15.843-9.487-1,846.544-1,839.749-1,720.027-1,439.808-72.7745.381122.552199.2281.59618.8138.6180.47
Totaal niet-vlottende activa 2,816.6352,296.1092,124.392,068.6921,912.3571,956.9561,989.6571,846.5441,839.7491,720.0271,439.8081,372.8581,489.7681,572.211,738.7311,572.2251,571.2841,237.79956.292
Totaal activa 5,565.9715,529.3175,944.1945,211.3644,813.1744,530.2374,852.715,011.7685,431.4445,727.1655,353.3545,276.6435,362.0365,299.934,656.2844,385.534,402.9613,040.9112,354.728
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 629.757629.088592.691718.617645.691568.485781.651930.261783.353746.932839.467782.961928.558774.513805.291551.432611.021464.574419.279
Kortlopende schulden 1,362.1741,346.0851,480.824679.479737.961300313.264471.701686.473987.911000174.02473.509284.915277.811516.952248.63
Belastingschulden 77.13733.66350.38357.74938.89422.20415.33340.78969.80128.56548.79162.50630.84570.80879.01423.12311.7710.49937.529
Uitgestelde opbrengsten 77.1377.5175.50310.3818.8980.794-313.264-471.701-686.473-987.91100070.80879.01423.12311.7710.49937.529
Overige kortlopende verplichtingen 179.053208.275182.658216.178210.852182.271529.386730.2181,122.7951,329.237469.298427.82390.687363.793360.846239.325221.792140.80692.076
Totaal kortlopende verplichtingen 2,248.1212,190.9652,261.6761,624.6541,613.4021,051.551,311.0371,660.4791,906.1482,076.1691,308.7651,210.7811,319.2451,383.1381,318.661,098.7951,122.3941,132.831797.514
Langlopende verplichtingen:
Langetermijnschulden 126.156126.576126.218125.375125.049146.225146.169144.772144.409144.40947.50947.54547.490.0980.848120.609394.558416.587469.918
Uitgestelde opbrengsten niet-vlottend 10.3257.5027.9747.1810.373106.336111.675118.703115.454132.231-10.75847.5450000000
Uitgestelde belastingverplichtingen niet-vlottend 43.52173.37779.84563.21950.98939.88934.49426.06928.95512.17858.26746.03833.32429.11416.7514.825000
Overige niet-vlottende verplichtingen 171.39442.3237.95737.3126.305-146.225-146.169-144.772-144.409-144.409-47.509-47.545000.0720000
Totaal niet-vlottende verplichtingen 351.396249.775251.994233.085202.716146.225146.169144.772144.409144.40947.50993.58380.81429.21217.671125.434394.558416.587469.918
Totaal passiva 2,599.5172,440.742,513.671,857.7391,816.1181,260.5981,511.8481,831.322,079.5122,232.7561,414.5411,304.3641,400.0591,412.351,336.3311,224.2291,516.9521,549.4181,267.432
Eigen vermogen:
Preferente aandelen 0000000000000000000
Gewone aandelen 1.3981.4081.4111.4111.4351.4461.4461.4461.4461.4461.4461.4431.4331.4331.4331.433000
Ingehouden winsten 1,096.8831,083.1971,239.891,294.7591,151.8351,564.5881,433.2511,505.0971,542.021,573.6282,017.5692,057.7410000000
Overige gereserveerde algehele resultaten 576.77694.379874.578738.505521.693656.121832.805555.4611,262.425468.453462.81-2,428.091-2,216.156-2,088.229-1,719.072-1,453.956000
Overige totale aandeelhoudersvermogen 1,279.2211,295.881,303.2461,303.2461,310.9611,057.4561,090.0761,115.164554.2081,453.1881,453.1884,334.7526,169.4145,887.3524,971.8694,563.4892,839.7651,440.7451,044.496
Totaal eigen vermogen van aandeelhouders 2,954.2723,074.8643,419.1253,337.9212,985.9243,279.6113,357.5783,177.1683,360.0993,496.7153,935.0133,965.8453,954.6913,800.5563,254.233,110.9662,839.7651,440.7451,044.496
Totaal eigen vermogen 2,966.4543,088.5773,430.5243,353.6252,997.0563,269.6393,340.8623,180.4483,351.9323,494.4093,938.8133,972.2793,961.9773,887.583,319.9533,161.3012,886.0091,491.4931,087.296
Totaal passiva en aandeelhoudersvermogen 5,565.9715,529.3175,944.1945,211.3644,813.1744,530.2374,852.715,011.7685,431.4445,727.1655,353.3545,276.6435,362.0365,299.934,656.2844,385.534,402.9613,040.9112,354.728