Banyan Tree Holdings Limited

SGX:B58.SI

0.355 (SGD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 130.70392.795112.32651.287130.802206.181158.988108.767165.663169.265178.807120.824139.877138.98976.25253.712115.71681.52338.191
Kortetermijnbeleggingen 1.36372.14974.1592.00673.326153.67450.8226.1132.5120.76100-74.34400-75.522-10.321-12.467-1.437
Liquide middelen en kortetermijnbeleggingen 130.703164.944186.48553.293130.802206.181158.988108.767168.175170.026178.807120.824139.877138.98976.25253.712115.71681.52338.191
Nettovorderingen 96.231107.409101.4664.492-209.855-172.209-123.3130.443-216.219-137.05-34.45393.033111.131106.47896.414124.73133.10390.23163.999
Voorraad 198.287190.718215.441319.078324.154286.206290.976261.193346.396271.217181.385105.43112.77912.19512.24713.40911.0519.6918.118
Overige vlottende activa 15.7581.1227.1829.049318.187279.977283.342251.795335.823259.581168.85891.838104.55105.06669.76558.39178.50423.79622.078
Totaal vlottende activa 440.979464.193511.862447.52563.288600.155609.996652.198634.175563.774494.597411.126368.337362.728254.678250.242338.374205.241132.386
Niet-vlottende activa:
Materiële vaste activa, netto 853.355572.808585.389670.591718.685599.435642.013657.746657.348645.926622.202729.558740.797811.066876.964979.6581,013.435560.98438.713
Goodwill 97.2472.6032.6032.6032.6032.6032.6032.6032.6032.6032.6032.6032.6032.60300000
Immateriële activa 115.04254.71354.32452.89554.21552.97853.48256.4266.76865.91764.93260.7138.75150.45281.38248.68633.10926.9652.778
Goodwill en immateriële activa 212.28957.31656.92755.49856.81855.58156.08559.02369.37168.5267.53563.31341.35450.45281.38248.68633.10926.9652.778
Langetermijnbeleggingen 184.7354.80965.986253.845375.725358.012349.063216.124104.398105.68400145.37600129.6547.51944.03831.441
Belastingvorderingen 31.01329.36821.04223.26623.36918.95116.37816.07218.2765.55610.06311.31513.46918.15713.8116.0712.08911.81313.529
Overige niet-vlottende activa 9.373178.822182.374127.9915.9841.6676.2127.059109.41105.537194.581176.23644.555175.204146.03543.05751.93962.31263.15
Totaal niet-vlottende activa 1,290.76893.123911.7181,131.1911,180.5811,033.6461,069.751956.024958.803931.223894.381980.422985.5511,054.8791,118.1911,217.1211,158.091706.108549.611
Totaal activa 1,731.7391,357.3161,423.581,578.7111,743.8691,633.8011,679.7471,608.2221,592.9781,494.9971,388.9781,391.5481,353.8881,417.6071,372.8691,467.3631,496.465911.349681.997
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 33.55224.46821.82532.16631.1224.36325.31119.36824.18621.69719.11315.8415.24449.61364.7214.75815.8215.31611.802
Kortlopende schulden 98.269185.947277.345307.339358.325294.182190.641147.01289.7570.638122.705129.501110.79851.41370.7978.11894.07763.34968.73
Belastingschulden 18.32914.51817.61915.68417.48618.69713.83714.09815.61112.63414.5479.6089.07131.4547.2959.8459.4898.7872.056
Uitgestelde opbrengsten 129.847178.23157.737124.3134.472133.412184.352108.25495.622114.3396.39779.40458.18771.76361.544104.9030052.455
Overige kortlopende verplichtingen 113.8117.757.2267.9038.5076.5057.2816.5595.39611.48310.87.1325.10226.27219.4751.95495.94970.6740.03
Totaal kortlopende verplichtingen 375.479396.395464.133471.708532.424458.462407.585281.193214.954218.148249.015231.875209.331199.061216.529199.733205.846149.339133.017
Langlopende verplichtingen:
Langetermijnschulden 243.443264.602265.276321.894315.102330.556375.305469.573562.916447.946331.462304.96310.462176.49185.08132.624247.957167.944128.363
Uitgestelde opbrengsten niet-vlottend 1.951.8741.9011.9392.1082.0681.9769.85510.35310.89410.4388.1417.25614.52115.36716.158000
Uitgestelde belastingverplichtingen niet-vlottend 197.007131.752128.889138.017136.08113.445109.989107.11697.82387.08290.639104.02103.241171.655169.344198.778194.16478.15867.439
Overige niet-vlottende verplichtingen 148.91629.54825.29617.55310.7429.5157.3567.6397.4716.62311.47630.15515.353113.4279.954131.4257.1974.73632.357
Totaal niet-vlottende verplichtingen 591.316427.776421.362479.403464.032455.584494.626594.183678.563552.545444.015447.276436.312476.086449.745478.985449.318250.838228.159
Totaal passiva 966.795824.171885.495951.111996.456914.046902.211875.376893.517770.693693.03679.151645.643675.147666.274678.718655.164400.177361.176
Eigen vermogen:
Preferente aandelen 136.549000000000000000000
Gewone aandelen 250.668250.668247.578241.75241.52241.52241.52199.995199.995199.995199.995199.995199.995199.995199.995199.995199.99500
Ingehouden winsten 97.6759.48657.049111.543206.381226.161196.121201.261217.162245.65700222.861220.1700000
Overige gereserveerde algehele resultaten 343.139174.967184.329213.704227.234179.596163.127181.501153.2470000000000
Overige totale aandeelhoudersvermogen -137.049-0.623-0.706-0.758-0.9-1.149-0.142-18.273-21.612126.95349.202344.489114.241103.048308.287356.554403.65100
Totaal eigen vermogen van aandeelhouders 690.977484.498488.25566.239674.235646.128600.626564.484548.792572.602549.197544.484537.097523.213508.282556.549603.646359.051188.823
Totaal eigen vermogen 764.944533.145538.085627.6747.413719.755777.536732.846699.461724.304695.948712.397708.245742.46706.595788.645841.301511.172320.821
Totaal passiva en aandeelhoudersvermogen 1,731.7391,357.3161,423.581,578.7111,743.8691,633.8011,679.7471,608.2221,592.9781,494.9971,388.9781,391.5481,353.8881,417.6071,372.8691,467.3631,496.465911.349681.997