Capital Environment Holdings Limited

HKEX:3989.HK

0.084 (HKD) • At close December 20, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 661.8111,512.8061,682.7452,762.0521,540.0292,403.522892.79755.9541,436.038374.5450.037211.95844.39929.214110.32343.117105.1331.06654.18
Kortetermijnbeleggingen 1,631.6881,432.81,131.6425411.8342.5178.988568.00400.07300085.445192.2942.9731.9650
Liquide middelen en kortetermijnbeleggingen 2,293.4991,512.8061,682.7452,767.0521,540.0292,406.022892.79760.9541,504.042374.5450.037211.95844.39929.214195.768235.412108.10333.03154.18
Nettovorderingen 4,542.2333,532.6842,785.4322,062.6681,926.6641,263.723956.62707.908568.2232.228150.26900141.982289.498531.556290.962191.27798.753
Voorraad 77.61665.2366.441114.60585.53649.26539.91129.81735.96221.0318.7320023.202181.962256.97167.273107.60572.019
Overige vlottende activa -582.9731,054.7323,346.912,367.6332,479.1571,582.5721,111.454841.353917.861534.128205.1549.83465.62268.099113.36591.69602.33280.701117.531
Totaal vlottende activa 6,330.3756,165.4526,227.7386,055.1924,516.5564,340.2212,223.1431,695.6312,434.059709.12750.637261.792110.021262.497780.5931,061.481,168.669611.365341.847
Niet-vlottende activa:
Materiële vaste activa, netto 599.49636.1113,750.2244,035.2073,615.882,007.8951,790.0821,734.3211,303.27994.44649.89312.85510.94427.791172.698284.783283.37175.579126.694
Goodwill 6.0556.0551,941.7932,117.2052,086.3842,050.2482,044.4082,166.1821,717.66211.04510.791000372.677019.48500
Immateriële activa 4,803.3943,990.4734,924.1253,276.2552,702.0062,087.0141,906.1751,635.6121,692.462288.10365.7833.73.0644.4785.91810.7229.54200
Goodwill en immateriële activa 4,809.4493,996.5286,865.9185,393.464,788.394,137.2623,950.5833,801.7943,410.124299.14876.5743.73.0644.478378.59510.72229.02800
Langetermijnbeleggingen 41.58849.165458.779567.503573.908641.954661.417648.366602.4786.45291.133000-49.255-186.533-0.2853.4730
Belastingvorderingen 056.83310.80315.44814.6026.06310.56811.559.6090-91.133000144.0650.5510.26900
Overige niet-vlottende activa 8,506.264-56.833-10.803-15.448-14.602-6.063-10.568-11.55-9.609-480.046773.95573.005427.222420.761279.784276.7668.62366.69936.763
Totaal niet-vlottende activa 13,956.7914,681.80411,074.9219,996.178,978.1786,787.1116,402.0826,184.4815,315.873480.046900.417589.56441.23453.03925.888386.283381.004245.751163.457
Totaal activa 20,287.16620,137.99626,173.23924,059.06818,635.8814,886.03310,682.4379,573.3828,913.2592,393.1531,651.053851.353551.25715.5271,706.4811,447.7631,549.673857.115505.304
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,650.811,786.1552,062.9961,853.2291,108.487785.888405.155236.827158.573238.73523.45319.21425.86525.8274.848130.836122.96458.78944.928
Kortlopende schulden 1,407.6492,281.8874,035.4975,885.5551,289.9161,343.2893,145.327458.322384.413,630.469377.72621.41242.30158.193112.297328.255400.505289.053208.548
Belastingschulden 115.832125.997300.296283.98171.58128.85888.5248.57345.41444.94338.43416.83714.62414.96536.60728.96301.5880.842
Uitgestelde opbrengsten 0-2,264.202-4,035.497-5,885.555-1,289.916-1,343.289-3,145.327-458.322-384.125-871.27800182.080413.344127.472103.79739.36738.325
Overige kortlopende verplichtingen 353.778435.839724.139498.371408.26465.482352.453604.105679.158663.737200.194185.212169.371110.551400.582186.583150.10350.76943.263
Totaal kortlopende verplichtingen 3,528.0694,629.8787,122.9288,521.1352,978.2432,723.5173,991.4551,347.8271,267.5551,287.245640.316242.676252.161209.529624.335674.637673.571400.2297.582
Langlopende verplichtingen:
Langetermijnschulden 9,107.7017,874.45210,011.3477,152.9849,370.8126,548.7071,553.3743,257.3332,358.66151.142474.374517.336232.606411.126588.544183.009242.768106.18849.978
Uitgestelde opbrengsten niet-vlottend 297.554297.733235.726202.606182.07888.70334.15340.8738.17234.229473.997-483.2096.8479.9720270.365000
Uitgestelde belastingverplichtingen niet-vlottend 657.977651.849868.804725.606629.782502.891434.266189.49518.1418.3445.3946.4998.86823.59147.2515.7163.19500.35
Overige niet-vlottende verplichtingen 00-1,244.235-2,216.095-1,181.218000-465.621-247.6815.39443.60300.3930.40671.70984.3994.5842.342
Totaal niet-vlottende verplichtingen 10,063.2327,874.4528,767.1125,865.1018,189.5946,548.7071,553.3743,257.3332,934.949509.42479.768567.437248.321445.082636.201260.435330.362110.77252.67
Totaal passiva 13,591.30113,453.91218,456.61816,870.05313,394.62610,082.1156,217.3625,281.3974,548.7541,839.2461,120.084810.113500.481654.6111,260.536935.0721,003.933510.972350.252
Eigen vermogen:
Preferente aandelen 001,367.6940698.514676.701642.821606.11100000000000
Gewone aandelen 1,275.1671,275.1671,188.2191,188.2191,188.2191,188.2191,188.2191,188.219797.34378.434363.795149.948125.59886.1257.9624.921000
Ingehouden winsten 3,956.2233,812.0442,492.7911,928.621,462.497-1,122.001-1,304.734-1,453.076-1,496.924-1,682.248-1,590.18-1,558.803000197.406000
Overige gereserveerde algehele resultaten 0943.535-508.199835.414-698.514-676.701-642.821-606.111787.17891.25-7.68-5.545-12.176-16.197-120.409-72.364000
Overige totale aandeelhoudersvermogen 1,1981,406.1371,670.3912,505.8051,670.3913,972.8453,972.8453,972.8453,900.0881,654.5131,610.4971,468.8591,405.443-11.846352.146370.544538.571346.122154.369
Totaal eigen vermogen van aandeelhouders 6,429.396,493.3486,210.8965,622.6443,622.5933,362.3623,213.5093,101.8773,200.504391.022376.44148.91465.9158.077410.106520.507538.571346.122154.369
Totaal eigen vermogen 6,695.8656,684.0847,716.6217,189.0155,241.2544,803.9184,465.0754,291.9854,364.505553.906530.96941.2450.76960.916445.945512.691545.74346.143155.052
Totaal passiva en aandeelhoudersvermogen 20,287.16620,137.99626,173.23924,059.06818,635.8814,886.03310,682.4379,265.3153,510.1372,392.621,651.053851.353551.25715.5271,706.4811,447.7631,549.673857.115505.304