Fantasia Holdings Group Co., Limited

HKEX:1777.HK

0.118 (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 1,264.7641,164.432973.14824,923.38320,379.73326,222.58414,335.0759,136.5262,881.5113,738.042,776.8792,788.1061,336.4892,456.6133,886.2340.895
Kortetermijnbeleggingen 000029.05189.196234.46127.27519.20042.20000
Liquide middelen en kortetermijnbeleggingen 1,264.7641,164.432973.14824,923.38320,408.78426,311.7814,569.5359,263.8012,900.7113,738.042,776.8792,830.3061,336.4892,456.6133,886.2340.895
Nettovorderingen 0002,605.7033,240.2772,406.7172,186.0481,827.0761,407.2121,094.015702.780-315.134677.93400
Voorraad 37,247.6944,135.13352,010.5732,709.7335,590.73935,426.81123,972.62115,428.39321,801.64819,442.51614,191.47911,372.6280000
Overige vlottende activa 21,211.41525,838.67626,252.75118,590.68710,480.2288,929.3647,906.87,520.8466,540.0525,069.3554,707.2673,027.1161,619.8451,104.3415,592.343,977.264
Totaal vlottende activa 59,723.86971,138.24179,236.46976,223.869,720.02872,705.95546,448.95632,213.0431,242.41128,249.91121,675.62517,230.0512,863.5211,883.479,478.544,318.159
Niet-vlottende activa:
Materiële vaste activa, netto 1,358.7891,530.6811,707.1551,914.4313,221.1932,596.8062,611.0842,078.2721,766.8691,541.882905.2413,216.546529.215374.434163.5350.504
Goodwill 923.051906.977902.3772,329.7322,398.9212,339.7232,299.758912.75733.549133.91879.26716.4880000
Immateriële activa 14.69521.37830.929953.4611,129.7251,188.8961,319.901259.248204.47426.850.90700000
Goodwill en immateriële activa 937.746928.355933.3063,283.1933,528.6463,528.6193,619.6591,171.998938.023160.76880.17416.4880000
Langetermijnbeleggingen 4,006.6714,546.6716,507.0396,986.9083,504.5812,825.0952,352.6281,717.218416.833650.644111.56-21.3090000
Belastingvorderingen 01,473.7651,455.029746.467710.65565.707461.99466.577462.161498.7140329.372220.826157.50488.81841.531
Overige niet-vlottende activa 11,693.019-1,473.765-1,455.029-746.467-710.65-565.707-461.99-466.577-462.161-498.7147,790.8663,755.454,509.0752,966.981,722.598547.128
Totaal niet-vlottende activa 17,996.2257,005.7079,147.512,184.53210,254.428,950.528,583.3714,967.4883,121.7252,353.2948,887.8417,296.5475,259.1163,498.9181,974.946639.163
Totaal activa 77,720.09495,030.738105,109.472105,550.20695,599.95994,446.07168,956.7449,752.26344,551.28841,254.0830,563.46624,526.59718,122.63615,382.38811,453.4864,957.322
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,042.5284,355.0665,270.2314,717.0834,564.2565,612.3333,857.4182,494.3294,537.9893,713.4171,720.7481,784.8551,725.6191,686.718873.797566.116
Kortlopende schulden 48,293.78653,079.63746,489.76818,287.45211,576.5814,635.277,600.8622,565.8932,433.8044,889.8022,079.362,452.2942,100.0692,132.3811,266.321,056.51
Belastingschulden 7,536.5636,782.8696,282.0917,285.7047,153.8396,997.0964,902.7694,475.5673,814.4853,153.502,399.3771,527.2591,104.147544.877229.787
Uitgestelde opbrengsten 0-53,335.075-46,489.768-18,287.452-11,576.58-14,635.27-7,600.862-2,565.893-2,433.804-4,889.802004,146.263000
Overige kortlopende verplichtingen 7,539.26420,399.11324,610.3920,694.80823,083.58316,717.4310,534.0636,168.8998,897.6996,476.9298,250.5024,847.2313,164.7611,934.6162,381.7611,245.811
Totaal kortlopende verplichtingen 66,412.14184,616.68582,652.4850,985.04746,378.25843,962.12926,895.11215,704.68819,683.97718,233.64812,050.6111,483.7578,517.7086,857.8625,066.7553,098.224
Langlopende verplichtingen:
Langetermijnschulden 13,035.1325,707.81711,412.80828,930.33527,040.99629,294.4922,606.45419,568.4311,522.66110,479.9729,925.8445,429.1163,393.33,429.9352,173.75353.75
Uitgestelde opbrengsten niet-vlottend 05,478.35810,909.8927,353.88225,122.00927,322.66720,592.62718,243.26310,346.3249,264.0680000-65.9130
Uitgestelde belastingverplichtingen niet-vlottend 297.433130.708390.7231,310.4941,569.7721,734.9431,754.5281,236.6291,071.3581,096.1550692.558212.347128.12132.2858.991
Overige niet-vlottende verplichtingen 0-229.459-502.918-265.959-349.215-1,971.823-2,013.827-88.538-104.979-119.749755.68400099.340
Totaal niet-vlottende verplichtingen 13,332.5655,609.06611,300.61328,664.37626,691.78129,057.6122,347.15519,479.89211,417.68210,360.22310,681.5286,121.6743,605.6473,558.0562,305.37412.741
Totaal passiva 79,744.70690,455.2194,456.01181,226.56475,007.97174,991.56251,258.70936,631.52832,311.25129,841.70622,732.13817,605.43112,123.35510,415.9187,372.1253,510.965
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 498.787498.787498.787498.588498.359497.945497.868497.848497.797497.485429.575457.093457.093429.389429.3890.009
Ingehouden winsten -9,093.767-2,226.6323,161.8911,894.82110,906.96310,104.0269,345.5148,191.1987,385.4626,148.4264,893.08500000
Overige gereserveerde algehele resultaten 02,233.8182,124.7961,245.0291,155.97994.7171,098.28321.202325.042365.165121.48-93-56.234-45.834-35.52-28.788
Overige totale aandeelhoudersvermogen 3,160.6943,159.2543,046.4222,456.7771,174.951,366.841,695.2551,945.1032,200.192,441.9831,876.3116,237.0375,417.7654,118.5793,376.391,174.743
Totaal eigen vermogen van aandeelhouders -5,434.2861,055.9796,335.47914,528.79613,736.24212,963.52812,636.91710,955.35110,408.4919,453.0597,320.4516,601.135,818.6244,502.1343,770.2591,145.964
Totaal eigen vermogen -2,024.6124,575.52810,653.46124,323.64220,591.98819,454.50917,698.03113,120.73512,240.03711,412.3747,831.3286,921.1665,999.2814,966.474,081.3611,446.357
Totaal passiva en aandeelhoudersvermogen 77,720.09495,030.738105,109.472105,550.20695,599.95994,446.07168,956.7449,752.26344,551.28841,254.0830,563.46624,526.59718,122.63615,382.38811,453.4864,957.322