Vinda International Holdings Limited

HKEX:3331.HK

23.45 (HKD) • At close July 23, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,375.581606.9471,025.328749.399460.387574.465534.591,015.254393.248720.284689.703753.587714.612389.597347.71173.074252.08161.557
Kortetermijnbeleggingen 87.446161.523109.82180.26688.447102.75987.0850000000000.1320.341
Liquide middelen en kortetermijnbeleggingen 1,375.581606.9471,025.328749.399548.834677.224621.6751,015.254393.248720.284689.703753.587714.612389.597347.71173.074252.21361.899
Nettovorderingen 2,012.1352,379.6832,408.3692,474.0551,947.6861,922.531,884.0391,944.8291,404.4021,478.9931,267.0971,103.546905.163633.238400.331257.957239.5840
Voorraad 3,747.2246,029.264,430.344,774.9443,225.2162,776.3783,053.1051,785.1432,367.4082,029.1151,642.8441,446.5761,372.2221,321.689912.069491.755501.295330.181
Overige vlottende activa 1,054.812571.4572,908.415565.395491.383515.16398.5562,045.0261,527.7661,586.6571,330.8051,164.39983.92648.15810.5327.01210.31943.113
Totaal vlottende activa 7,872.4579,585.018,360.3698,786.2285,929.5335,785.4485,921.5824,845.4234,288.4214,336.0563,663.3523,364.5533,070.7532,359.41,674.55929.7991,009.986640.009
Niet-vlottende activa:
Materiële vaste activa, netto 11,180.3611,574.97412,601.19111,483.82510,108.6298,997.2738,739.8877,281.8746,261.2175,901.7315,101.8813,987.4873,022.0412,272.641,825.091,852.3741,391.2985.395
Goodwill 1,507.071,533.991,597.5941,617.4371,589.9351,590.9671,621.0461,524.638765.41812.85400000000
Immateriële activa 834.5652,456.7052,646.6852,746.0751,190.1511,232.1471,292.8421,271.364541.559587.18821.235198.123000098.36286.657
Goodwill en immateriële activa 2,341.6353,990.6964,244.2794,363.5122,780.0862,823.1142,913.8882,796.0011,306.9681,400.04221.235198.12310.44611.0856.8810.74198.36286.657
Langetermijnbeleggingen 1.9142.2044.5455.5152.5267.2187.6614.8597,308.6747,034.36758.758059.80100000
Belastingvorderingen -1.91629.751568.18199.95986.421403.829348.76342.611259.512267.406204.809175.685115.70187.68972.9147.50931.59323.243
Overige niet-vlottende activa 751.729-1,533.99-1,597.594-1,617.437-86.421-411.047-356.423-47.47-259.512-267.406-204.80996.793184.797160.497158.91117.29500
Totaal niet-vlottende activa 14,275.63414,703.63415,820.60214,335.37412,891.24111,820.38811,653.77510,077.8757,568.1857,301.7735,181.8744,458.0883,392.7852,531.9112,063.7912,017.9191,521.1551,095.296
Totaal activa 22,148.09124,288.64424,180.97123,121.60219,281.48719,067.60118,973.90815,628.51312,503.93712,202.9939,372.937,822.6416,463.5384,891.313,738.3412,947.7182,531.1411,735.305
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,973.8054,821.9322,674.0112,971.6932,621.3892,394.2442,681.6051,714.4251,444.2871,428.0691,116.42756.6720.707980.263680.034429.88347.5780
Kortlopende schulden 465.9981,054.832935.8611,817.783646.9931,345.2441,013.1861,365.5751,252.9721,555.9991,032.4331,218.901801.144557.414265.483278.411345.535741.452
Belastingschulden 77.72181.864119.128234.421237.58299.79564.48488.44892.377145.76476.076128.94467.36463.51958.85929.21233.70327.699
Uitgestelde opbrengsten 0118.38391.625147.155122.84272.52786.89160.723-1,252.972-1,555.999-1,032.4330000000
Overige kortlopende verplichtingen 2,676.3492,867.9322,869.0342,830.0592,104.2511,810.0461,526.4561,555.2261,092.232889.837686.026628.802491.0170248.40.5680282.69
Totaal kortlopende verplichtingen 6,193.8738,826.566,598.0347,853.9565,610.2155,649.3295,285.7314,723.6753,881.8684,019.6682,910.9542,733.2462,080.2321,601.1971,005.431738.072726.8161,051.842
Langlopende verplichtingen:
Langetermijnschulden 3,923.0962,988.3824,065.4393,116.0353,691.9354,222.9294,546.5333,795.0513,485.5672,908.8061,705.004850.3181,151.334530.263597.739465.876308.64192.413
Uitgestelde opbrengsten niet-vlottend 258.617247.962275.424284.876266.343215.07142.84990.48692.49498.726102.873100.59774.2969.98163.46833.12700
Uitgestelde belastingverplichtingen niet-vlottend -49.278215.293198.191181.14176.752208.522211.437194.65796.24994.7887.2224.4921.6631.7141.7941.5570.870.788
Overige niet-vlottende verplichtingen -17.157-237.801-52.011-85.5249.78341.83450.89239.73700015.07117.425000027.166
Totaal niet-vlottende verplichtingen 4,164.5563,213.8364,288.8513,315.4123,571.9924,222.9294,546.5333,795.0513,485.5672,908.8061,705.004970.4771,244.711601.957663.001500.559337.733220.367
Totaal passiva 10,617.04512,040.39710,886.88611,169.3689,818.27610,337.68410,237.448,848.9497,556.1777,121.9884,726.0543,703.7233,324.9432,203.1551,668.4331,238.6311,064.5491,272.209
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 120.329120.328120.127119.947119.51119.485119.417113.74199.90999.8499.83699.93893.81893.67390.46490.38400
Ingehouden winsten 06,732.7566,661.6025,715.2235,104.1964,216.8363,806.4763,388.4472,845.4982,700.8752,255.1670000000
Overige gereserveerde algehele resultaten 0649.8331,777.9721,403.812584.65660.1131,112.824379.268000-1,166.536-974.831-777.574-622.577-511.69200
Overige totale aandeelhoudersvermogen 11,410.7175,147.2026,236.93411,547.419,343.7018,610.4318,617.0526,665.8234,847.8514,981.1654,547.044,018.9793,044.7762,594.4831,979.4441,618.7021,376.208463.096
Totaal eigen vermogen van aandeelhouders 11,531.04612,000.28513,018.66211,667.3579,463.2118,729.9168,736.4686,779.5644,947.765,081.0054,646.8764,118.9183,138.5942,688.1562,069.9081,709.0871,466.592463.096
Totaal eigen vermogen 11,531.04612,000.28513,018.66211,667.3579,463.2118,729.9168,736.4686,779.5644,947.765,081.0054,646.8764,118.9183,138.5942,688.1562,069.9081,709.0871,466.592463.096
Totaal passiva en aandeelhoudersvermogen 22,148.09124,288.64424,180.97123,121.60219,281.48719,067.60118,973.90815,628.51312,503.93712,202.9939,372.937,822.6416,463.5384,891.313,738.3412,947.7182,531.1411,735.305