Sunny Optical Technology (Group) Company Limited

HKEX:2382.HK

56.15 (HKD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 13,084.5197,033.1945,605.1792,841.7711,917.2392,254.2991,226.877466.928186.78504.6709.037243.442251.677188.278740.32387.536543.689160.275
Kortetermijnbeleggingen 8,423.506975.1761,093.914287.7470.74974.91520159.24571.91620983280.773-18.423-18.9530295.0766.1880
Liquide middelen en kortetermijnbeleggingen 21,508.02518,124.46615,040.47311,631.0047,664.2117,127.7823,200.3092,667.4651,983.074904.8531,692.037524.215251.677188.278740.32682.606609.877160.275
Nettovorderingen 6,784.7216,892.1236,644.6157,548.7739,116.6145,798.5235,249.0983,395.6282,835.3392,281.2141,085.168714.321924.761,041.74376.088255.8622.81.133
Voorraad 5,136.9414,720.9135,481.8585,783.0715,145.9623,073.9222,621.8442,828.362896.962895.693767.915747.673472.339220.598148.431126.351134.988108.342
Overige vlottende activa 8,827.53411,024.199,163.7699,168.1836,195.4065,566.7152,517.6362,467.7042,026.1502.8861,204.296280.773173.64976.5719.1854.492379.942202.904
Totaal vlottende activa 35,143.9630,645.59627,989.33525,629.53822,445.9716,768.37411,635.4559,317.8676,017.0974,204.3933,766.4162,266.9821,822.4251,527.1861,284.0241,069.3111,127.607472.654
Niet-vlottende activa:
Materiële vaste activa, netto 11,428.5610,731.9088,807.9137,993.1986,969.4884,522.7412,585.9221,793.511,140.8091,035.159784.656646.06489.29465.259486.213496.579401.142301.89
Goodwill 2.1192.1192.1192.1192.119000000004.07112.16812.16812.0770
Immateriële activa 194.505250.715306.926363.137419.163348.821392.4240.0010.0060.0150.02773.5450.03519.31314.9468.79600
Goodwill en immateriële activa 196.624252.834309.045365.256421.282348.821392.4240.0010.0060.0150.02773.5450.03523.38427.11420.96412.0770
Langetermijnbeleggingen 3,293.282588.323899.921842.798339.629504.754256.251162.048179.059117.9860.392-279.79132.10533.90719.2622.008-58.6770
Belastingvorderingen 204.024257.178255.651207.332131.17842.59940.43527.8845.75.4173.7451.6791.1370.8732.0071.43200
Overige niet-vlottende activa 30.626-257.178-255.651-207.332-131.178-42.599-40.435-27.884-5.7-5.417-3.745293.77330.4857.043.211.75586.45210.848
Totaal niet-vlottende activa 15,153.11611,573.06510,016.8799,201.2527,730.3995,376.3163,234.5971,955.5591,319.8741,153.16785.075735.266553.052530.463537.804542.738440.994312.738
Totaal activa 50,297.07643,001.28838,773.8435,438.11530,693.07122,852.14315,726.3111,636.5397,636.2945,593.8394,665.2483,002.2482,375.4772,057.6491,821.8281,612.0491,568.601785.392
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 17,076.0949,208.3076,833.7037,697.5159,158.7795,625.1714,842.0624,701.3062,317.7581,295.45857.298774.342603.3356.65300.792198.415270.886194.501
Kortlopende schulden 734.8616,219.4411,585.1682,114.1911,156.7121,482.4051,347.881904.348683.239521.571488.929102.64262.41687.54828.88818.28400
Belastingschulden 246.502214.476301.319655.916201.058150.001272.81869.47974.09495.88273.76516.2084.2673.5453.8160.3062.670
Uitgestelde opbrengsten -24.325-6,219.441-1,585.168-2,114.191-1,156.712-1,482.405-1,347.881-904.348-683.239-521.571-488.9290000000
Overige kortlopende verplichtingen 3,500.00110,128.6095,039.7545,713.6143,471.6363,052.272,863.4281,957.0221,421.6631,001.342924.648175.3534.774401.7154.3352.7812.67236.009
Totaal kortlopende verplichtingen 21,286.63119,336.91611,873.45713,411.12912,630.4158,677.4417,705.496,658.3283,739.4212,296.7921,781.9461,052.337670.525495.913334.015219.48273.556430.51
Langlopende verplichtingen:
Langetermijnschulden 5,045.18304,515.6233,895.8884,156.0744,079.983000387.3880017.21825.41227.01117.22600
Uitgestelde opbrengsten niet-vlottend 192.85290.95188.50468.85573.89470.11344.82528.18824.50223.22817.82212.4691.0351.4693.3681.02300
Uitgestelde belastingverplichtingen niet-vlottend 752.94850.3211,015.89888.809684.836403.328106.89533.86419.20110.7875.5955.5955.5956.9088.0317.99600
Overige niet-vlottende verplichtingen 137.845-1,141.271-1,204.394-957.664-758.73-473.441349.8912.8178.279-374.946000000270.886194.501
Totaal niet-vlottende verplichtingen 6,128.815304,515.6233,895.8884,156.0744,079.983501.61164.86951.98246.45723.41718.06423.84833.78938.4126.245270.886194.501
Totaal passiva 27,415.44620,818.90217,878.57418,611.99817,966.89413,563.9998,207.1016,723.1973,791.4032,343.2491,805.3631,070.401694.373529.702372.425245.725273.556430.51
Eigen vermogen:
Preferente aandelen 514.489233.853103.55758.0220.9870000000000000
Gewone aandelen 105.156105.163105.163105.163105.163105.163105.177105.177105.177105.177105.17797.5297.5297.5297.5297.5297.520.101
Ingehouden winsten 22,062.06721,967.07720,586.46616,550.08312,446.8659,067.1097,157.8454,259.3692,989.1572,232.8271,665.3190000000
Overige gereserveerde algehele resultaten -258.745-233.853-103.557-58.022-0.98759.14558.97648.88630.00336.65773.536-562.913-466.378-396.503-314.015-237.56400
Overige totale aandeelhoudersvermogen -0-233.853-103.557-58.0220.8592.68166.521481.823706.646873.0361,005.7732,387.0492,030.231,794.9181,632.6691,482.7631,191.295354.776
Totaal eigen vermogen van aandeelhouders 22,422.96721,838.38720,588.07216,597.22412,552.8879,234.0977,488.5194,895.2553,830.9833,247.6972,849.8051,921.6561,661.3721,495.9351,416.1741,342.7191,288.815354.877
Totaal eigen vermogen 22,881.6322,182.38620,895.26616,826.11712,726.1779,288.1447,519.2094,913.3423,844.8913,250.592,859.8851,931.8471,681.1041,527.9471,449.4031,366.3241,295.045354.882
Totaal passiva en aandeelhoudersvermogen 50,297.07643,001.28838,773.8435,438.11530,693.07122,852.14315,726.3111,636.5397,636.2945,593.8394,665.2483,002.2482,375.4772,057.6491,821.8281,612.0491,568.601785.392