Kingsoft Corporation Limited

HKEX:3888.HK

22.15 (HKD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 20,271.19318,201.4116,190.13814,049.06913,792.1179,868.8098,505.9849,825.4948,606.4346,983.6994,481.1882,416.2591,953.771,656.1571,268.0981,007.1151,246.077333.508
Kortetermijnbeleggingen 3,591.4933,125.0992,902.2053,910.55399.921088204.84950135.29155.781,796.44-44.142-45.544-46.911-19.213-9.716-5.676
Liquide middelen en kortetermijnbeleggingen 23,862.68621,326.50919,092.34317,959.62213,892.0379,878.8098,593.98410,030.3438,656.4347,118.994,536.9682,416.2591,953.771,656.1571,268.0981,007.1151,246.077333.508
Nettovorderingen 785.231860.597839.268772.4852,059.0311,184.651,847.3572,896.1841,623.303929.664515.168612.818309.72900145.664126.248112.49
Voorraad 15.62618.33518.57719.08516.37811.67910.32711.0985.3716.9453.52817.0063.3112.8565.3844.6862.0191.726
Overige vlottende activa 5,808.7724,443.8464,589.6274,877.2011,437.9742,189.13593.4167.751356.93916.6719.5881985186.269183.575112.0721.0445.976
Totaal vlottende activa 26,893.21423,539.83121,651.50919,731.64317,332.53912,079.62310,545.06813,105.37610,642.0478,072.2695,075.2523,065.0832,351.811,845.2821,457.0571,269.5371,375.388453.7
Niet-vlottende activa:
Materiële vaste activa, netto 2,360.0592,025.5611,757.8141,400.5123,028.9252,036.4241,329.2031,097.766966.079583.637385.067371.213475.437392.767407.98345.62645.44632.79
Goodwill 185.564185.564185.564185.56409.5599.559954.656619.037267.28853.99414.55914.55911.712.3772.37700
Immateriële activa 93.393109.992121.859395.899324.521344.783345.936563.797519.225478.491102.36496.46268.1769.04548.48939.07114.2817.178
Goodwill en immateriële activa 278.957295.556307.423581.463324.521354.342355.4951,518.4531,138.262745.779156.358111.02182.72980.75550.86641.44814.2817.178
Langetermijnbeleggingen 5,361.7132,593.6599,609.8619,232.1023,404.2115,325.7335,241.0541,450.562,526.896580.25241.698-1,769.13672.49696.79793.40151.01210.739.149
Belastingvorderingen 106.9293.41124.674116.981107.03896.527101.807119.86855.30477.98852.40632.96227.54725.6728.91729.26252.81419.477
Overige niet-vlottende activa 193.8493,340.0323,083.8313,981.494204.389157.163189.763286.929156.289321.67993.5521,830.1264.53.5422.6492.3381.262-1.585
Totaal niet-vlottende activa 8,301.4988,348.21814,883.60315,312.5527,069.0847,970.1897,217.3224,473.5764,842.832,309.335729.081576.186662.709599.531583.813469.686124.53367.009
Totaal activa 35,194.71231,888.04936,535.11235,044.19524,401.62320,049.81217,762.3917,578.95215,484.87710,381.6045,804.3333,641.2693,014.5192,444.8132,040.871,739.2231,499.921520.709
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 533.499452.672423.4290.8551,501.604229.288179.301560.488185.41779.32432.46323.08916.56815.57112.5977.6497.125.45
Kortlopende schulden 37.5122,690.23650.80452.758641.4751,093.5641,213.592390.959147.02915.77815.724413.559346.655102.1080002
Belastingschulden 498.323397.5346.62509.808203.695185.791199.725207.114137.416114.374112.87447.70117.2213.76519.45319.6166.0470.69
Uitgestelde opbrengsten -37.5120000185.7912,373.2142,738.385137.416114.374112.87447.70117.2213.7650000.69
Overige kortlopende verplichtingen 4,346.9393,745.3673,621.982,900.0352,791.3692,597.338841.3872,234.6531,185.872627.533448.363380.61325.031365.166364.167315.111213.693
Totaal kortlopende verplichtingen 4,880.4386,888.2754,096.1843,243.6484,934.4484,105.9733,854.1073,731.2192,704.5151,395.348788.594932.712761.054446.475377.763371.816322.231221.833
Langlopende verplichtingen:
Langetermijnschulden 2,799.688104.9622,403.0422,366.354172.14231.224325.5463,349.6842,710.2212,792.3221,037.5870000-12.848-22.45-24.666
Uitgestelde opbrengsten niet-vlottend 574.547308.723143.807147.19351.94429.66120.78837.60924.14113.53531.53314.25220.32129.13942.14431.17929.72622.04
Uitgestelde belastingverplichtingen niet-vlottend 294.448357.3561,029.6331,059.0950.69119.58458.707122.20162.5441.58330.54519.37320.02435.13816.6537.86314.3079.009
Overige niet-vlottende verplichtingen 72.33473.74370.25603,583.0192,741.771950.271336.51572.10522.27285.383000012.84822.4524.666
Totaal niet-vlottende verplichtingen 3,741.017844.7843,646.7383,572.6373,857.7943,022.241,355.3123,846.0092,869.0072,869.7121,185.04833.62540.34564.27758.79739.04244.03331.049
Totaal passiva 8,621.4557,733.0597,742.9226,816.2858,792.2427,128.2135,209.4197,577.2285,573.5224,265.061,973.642966.337801.399510.752436.56410.858366.264252.882
Eigen vermogen:
Preferente aandelen 1,093.94700000000000000000
Gewone aandelen 5.2925.2815.3085.3165.3165.3165.1275.0975.0924.734.7184.694.6774.5274.4344.3624.6413.564
Ingehouden winsten 10,877.31910,668.90216,928.25417,167.2366,926.4828,481.2986,789.9513,330.3563,602.9893,043.7522,278.4681,624.4881,201.707883.575723.335502.17197.66338.415
Overige gereserveerde algehele resultaten 7,431.0525,797.3094,740.8024,740.9463,884.376-1,439.998-1,004.104-806.354-551.261-389.366-308.108-257.157-204.036-152.3810-69.48700
Overige totale aandeelhoudersvermogen 1,881.4233,029.7743,109.7052,751.0612,980.9745,991.2236,297.6165,358.1084,813.821,902.2591,405.1431,142.8081,117.4851,174.157860.923878.472908.903201.182
Totaal eigen vermogen van aandeelhouders 21,289.03319,501.26624,784.06924,664.55913,797.14813,037.83912,088.597,887.2077,870.644,561.3753,380.2212,514.8292,119.8331,909.8781,588.6921,315.5171,111.207243.161
Totaal eigen vermogen 26,573.25724,154.9928,792.1928,227.9115,609.38112,921.59912,552.97110,001.7249,911.3556,116.5443,830.6912,674.9322,213.121,934.0611,604.311,328.3651,133.657267.827
Totaal passiva en aandeelhoudersvermogen 35,194.71231,888.04936,535.11235,044.19524,401.62320,049.81217,762.3917,578.95215,484.87710,381.6045,804.3333,641.2693,014.5192,444.8132,040.871,739.2231,499.921520.709