Aspial Corporation Limited

SGX:A30.SI

0.072 (SGD) • At close November 6, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 53.84351.50940.25846.03146.19459.0254.88870.284132.99583.61972.22751.00928.16319.12516.85638.07611.4013.8164.3794.4725.5431.3610.470.731
Kortetermijnbeleggingen 2.8213.624.6681.7869.7183.679177.817155.985152.868103.5970000-7.003-6.83-11.768-3.198000000
Liquide middelen en kortetermijnbeleggingen 56.66455.12944.92647.816155.91262.699232.705226.269285.863187.21672.22751.00928.16319.12516.85638.07611.4013.8164.3794.4725.5431.3610.470.731
Nettovorderingen 493.979397.853345.914306.107332.572457.522426.404414.606320.915257.895239.57751.89153.86288.98164.97321.986.44802.6910.2110.1220.1170.0370.05
Voorraad 499.011581.533627.262643.333735.15813.883133.781141.517128.836131.138117.219109.7490.85877.64678.1566.56267.08965.35463.78635.89129.64226.8731.02940.006
Overige vlottende activa 4.7595.7735.8993.4117.6319.335941.195798.011875.597890.563751.921692.126262.933166.496126.091120.822122.34343.95635.29622.37626.99241.28517.73616.245
Totaal vlottende activa 1,054.4131,042.31,027.0381,006.6841,231.2651,343.4391,734.0851,580.4031,611.2111,466.8121,180.944904.765535.816352.249286.07247.441207.281113.125106.15362.9562.29969.63449.27157.031
Niet-vlottende activa:
Materiële vaste activa, netto 291.627290.228281.285261.399268.34991.15575.51142.30423.25224.76924.28717.40814.70416.11510.2926.375.114.0969.2589.99110.78515.30215.41218.028
Goodwill 5.683.2213.2213.2213.2213.325.0934.9944.9944.9944.9944.9944.9940000000.6630.712000
Immateriële activa 10.2857.6776.2235.6656.3786.9242.3631.972.482.9918.4954.0124.52210.02710.53712.30112.91513.530.650.0350.0350.0350.0350.049
Goodwill en immateriële activa 15.96510.8989.4448.8869.59910.2447.4566.9647.4747.9858.4959.0069.51610.02710.53712.30112.91513.530.650.6980.7470.0350.0350.049
Langetermijnbeleggingen 234.17118.392125.474133.948135.729137.919-110.543-124.495-93.079-13.31400007.0616.88811.8163.246000000
Belastingvorderingen 2.4622.0434.2196.1323.1813.538.439.5878.3697.0121.6921.3593.2432.1070.7530.0610.0610.013000000
Overige niet-vlottende activa -0150.422169.098168.28875.36583.264285.575207.013204.033152.99760.16529.3216.2334.58254.0783.6660.1829.6164.2854.3415.4615.3695.789
Totaal niet-vlottende activa 544.224571.983589.52578.653492.223326.112266.429141.373150.049179.44994.63957.09433.69632.83133.64329.69733.55931.06619.52414.97315.87220.79820.81623.866
Totaal activa 1,598.6371,614.2831,616.5581,585.3371,723.4881,669.5512,000.5141,721.7761,761.261,646.2611,275.583961.859569.512385.08319.713277.137240.84144.192125.67777.92378.17190.43370.08880.897
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 10.18914.32911.0714.9047.8785.8126.24759.21345.99961.7796.99810.60166.85263.13464.37448.67838.544.14541.43915.7470000
Kortlopende schulden 540.995569.258678.854536.285867.009544.405777.159503.498480.057308.59965188.519184.906140.61769.49105.79458.80325.88535.31723.04736.2145.08730.81437.109
Belastingschulden 8.8520.0860.0340.2750.2021.910.230.2580.34800006.7559.231004.213000000
Uitgestelde opbrengsten 8.8520000.0190.0820.2350.27510.14200102.666009.942004.2130-15.7470000
Overige kortlopende verplichtingen 137.679108.00873.79196.88292.90884.29666.31222.52410080.9370.1160.7910.2927.70.5376.3384.0690.1393.6142.3953.7020.6190.9021.214
Totaal kortlopende verplichtingen 697.715691.595763.715648.071967.814634.595849.953585.51636.198451.31572.114302.576262.05211.452144.344160.81101.37274.38280.3725.44239.91245.70631.71638.322
Langlopende verplichtingen:
Langetermijnschulden 438.693488.907370.876443.031322.54609.468707.399749.612265.125806.789185.125417.045136.74572.28477.31424.46970.38825.3094.94418.1434.413.517.1267.862
Uitgestelde opbrengsten niet-vlottend 65.4700000004.1760-21.7140000000000000
Uitgestelde belastingverplichtingen niet-vlottend 25.70732.50338.31941.04316.74715.80413.7068.08819.46614.06921.7148.2358.110.6851.2094.3741.2850.0911.0890.2520.4890.7490.4240.953
Overige niet-vlottende verplichtingen 0.6564.9126.1186.2515.9393.1212.7081.6964604.343824.9312.36.82.203.16.40000000
Totaal niet-vlottende verplichtingen 530.526526.322415.313490.325345.226628.393723.813759.396748.767825.2011,010.056427.58151.65575.16978.52331.94378.07325.46.03318.3954.88914.2597.558.816
Totaal passiva 1,228.2411,217.9171,179.0281,138.3961,313.041,262.9881,573.7661,344.9061,384.9651,276.5161,082.17730.156413.705286.621222.867192.753179.44599.78286.40343.83744.859.96539.26647.138
Eigen vermogen:
Preferente aandelen 000000000000000000000000
Gewone aandelen 272.066267.574267.574226.93226.93226.93226.93226.152215.872202.179152.61176.80142.72128.14128.14128.11928.0627.77520.86920.78620.78420.7220.7220.72
Ingehouden winsten 71.56900000000000000000000000
Overige gereserveerde algehele resultaten 14.30945.49485.723113.52986.78180.14693.45587.013112.695000000000000000
Overige totale aandeelhoudersvermogen -72.959-0.791-0.569-0.729-0.988-1.17616.625-1.176-1.367123.17940.802126.545103.54261.55957.62650.19326.85716.60718.37713.27212.5879.74710.10113.039
Totaal eigen vermogen van aandeelhouders 284.985312.277352.728339.73312.723305.9337.01311.989327.2325.358193.413203.346146.26389.785.76778.31254.91744.38239.24634.05733.37130.46730.82133.759
Totaal eigen vermogen 370.396396.366437.53446.941410.448406.563426.748376.87376.295369.745231.185231.703155.80798.45996.84684.38458.15644.40939.27434.08633.37130.46730.82133.759
Totaal passiva en aandeelhoudersvermogen 1,598.6371,614.2831,616.5581,585.3371,723.4881,669.5512,000.5141,721.7761,761.261,646.2611,275.583961.859569.512385.08319.713277.137240.84144.192125.67777.92378.17190.43370.08880.897