Zall Smart Commerce Group Ltd.

HKEX:2098.HK

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

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

20232022202120202019201820172016201520142013201220112010
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,782.9961,341.3181,095.7661,184.7081,243.9441,118.6261,283.647273.262243.47250.84738.758998.131970.54304.874
Kortetermijnbeleggingen 245.174124.312132.869179.59230.014203.287132.6022,208.7211,083.1760.5150.5120.510.50.5
Liquide middelen en kortetermijnbeleggingen 2,028.171,465.631,228.6351,364.31,389.2962,437.7113,540273.2621,326.646251.34889.2581,118.631981.04305.374
Nettovorderingen 8,958.1278,518.9396,327.0896,169.2046,315.1283,401.0892,957.795964.557142.16272.43953.14401,548.58904.529
Voorraad 4,779.6874,508.2213,803.9234,531.0125,833.6476,277.1057,162.5247,837.9287,746.8066,308.9457,280.8085,445.670.2480.193
Overige vlottende activa 21,961.0920,863.44121,954.04517,699.62715,779.75213,260.23311,867.5784,812.9312,393.1546,101.1371,998.2681,091.9662,718.2341,609.959
Totaal vlottende activa 37,481.935,231.91933,180.82329,584.55129,202.48524,260.3423,404.14613,888.67810,525.59212,733.86110,221.4787,656.2675,248.1022,820.055
Niet-vlottende activa:
Materiële vaste activa, netto 348.144291.524278.895435.76629,500.14325,770.699216.981113.815224.338123.219141.914133.15520.62718.17
Goodwill 251.498251.498518.581852.167990.6371,252.0421,606.2815.783000000
Immateriële activa 428.286444.993467.625550.401715.058755.305899.1518.69105.65416.51611.38100
Goodwill en immateriële activa 679.784696.491986.2061,402.5681,705.6952,007.3472,505.43124.474111.165.65416.51611.38100
Langetermijnbeleggingen 304.143213.687212.643537.687493.917501.809617.473633.8289.326820.255774.88840.79231.63544.043
Belastingvorderingen 468.045419.367405.409322.816247.611211.04767.997168.837202.50447.9252.5210.51900
Overige niet-vlottende activa 24,496.658-419.367-405.409-322.816-247.611-211.047-67.997-168.837-313.664-47.925-2.524,828.33,783.62,205.75
Totaal niet-vlottende activa 26,296.7741,201.7021,477.7442,376.02131,699.75528,279.8553,339.885772.109313.664949.128933.3185,024.1473,835.8622,267.963
Totaal activa 63,778.67460,359.0759,275.00162,127.9361,489.23953,081.11847,343.62829,747.64923,769.61922,176.01418,298.11612,680.4149,083.9645,088.018
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 13,961.08611,694.0649,579.0829,828.07610,553.8958,145.7097,947.2751,244.9821,343.7031,219.349944.055640.9861,816.5841,730.269
Kortlopende schulden 10,422.14612,96213,334.45515,423.66514,030.619,390.2246,166.1282,332.6541,682.0811,675.0262,013.848545.16374.454167
Belastingschulden 547.033498.844501.574547.905502.17452.48284.652246.472186.254199.47172.089492.717382.43328.917
Uitgestelde opbrengsten 15,854.318-12,962-13,334.455-15,423.665-14,030.61-9,390.224-6,166.128-2,332.654-1,682.081-1,675.026-2,013.848000
Overige kortlopende verplichtingen 74.7724,980.04624,048.25323,424.74621,053.60815,508.85411,460.186,985.8674,208.3886,731.8125,305.1652,946.0671,034.89725.731
Totaal kortlopende verplichtingen 40,312.3236,674.1133,627.33533,252.82231,607.50323,654.56319,407.4558,230.8495,552.0917,951.1616,249.224,132.2133,225.9282,623
Langlopende verplichtingen:
Langetermijnschulden 4,880.1075,309.8364,389.2275,271.0254,473.5345,029.8545,422.3566,061.2684,712.683,424.5293,692.2072,426.541,003.9172.693
Uitgestelde opbrengsten niet-vlottend 3.2966.1058.3099.0738.6122.8797.1834.10119.56919.40936.58627.8517.03510.885
Uitgestelde belastingverplichtingen niet-vlottend 4,376.2664,217.7814,464.5655,240.6845,391.6964,785.0093,845.7473,312.1993,174.7482,218.7751,430.949674.897534.742477.259
Overige niet-vlottende verplichtingen 0-4,223.886-4,472.874-5,249.757-5,400.308-4,787.888-3,852.93-3,316.3-3,194.317-2,238.184-1,467.53506.3765.378
Totaal niet-vlottende verplichtingen 9,259.6695,309.8364,389.2275,271.0254,473.5345,029.8545,422.3566,061.2684,712.683,424.5293,692.2073,129.2881,552.053666.215
Totaal passiva 49,571.98946,210.96442,495.6643,793.47441,866.76533,472.30528,682.74117,608.41713,459.08813,613.87411,408.9627,261.5014,777.9813,289.215
Eigen vermogen:
Preferente aandelen 000040.86132.76800131.73444.01486.309000
Gewone aandelen 34.45434.45432.73332.73332.73332.43732.29229.72729.72729.07129.07129.07129.0710
Ingehouden winsten 8,865.268,814.34511,853.89813,187.03514,448.41814,355.62113,218.85810,839.7818,790.8826,753.1555,179.969000
Overige gereserveerde algehele resultaten 13,769.807136.35455.774138.043-40.86-132.768167.218455.446-131.734-44.014-86.309-18.346-8.714-5.649
Overige totale aandeelhoudersvermogen -8,865.264,766.9054,512.3184,512.3184,597.8434,391.5344,362.842779.593647.8591,135.6751,093.384,866.7273,782.1871,756.543
Totaal eigen vermogen van aandeelhouders 13,804.26113,752.05816,454.72317,870.12919,078.99418,779.59217,781.2112,104.5479,468.4687,917.9016,302.424,877.4523,802.5441,750.894
Totaal eigen vermogen 14,206.68514,148.10616,779.34118,334.45619,622.47419,608.81318,660.88712,139.23210,310.5318,562.146,889.1545,418.9134,305.9831,798.803
Totaal passiva en aandeelhoudersvermogen 63,778.67460,359.0759,275.00162,127.9361,489.23953,081.11847,343.62829,747.64923,769.61922,176.01418,298.11612,680.4149,083.9645,088.018