ComfortDelGro Corporation Limited

SGX:C52.SI

1.48 (SGD) • At close November 5, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 856.9967919.1742.8594.2586.1596.2779.3787.8825.8830.6694.6576.700-190.6318.4237.6262.7284.8103.472.2
Kortetermijnbeleggingen 668.6823.1771.30-280.3-212.810.4642.6670.2050576.7572.5495.7450.394.6173.8218.6281.7331.60
Liquide middelen en kortetermijnbeleggingen 856.9967919.1742.8594.2586.1606.6779.3787.8825.8835.6694.6576.7572.5495.7450.3413411.4481.3566.5103.472.2
Nettovorderingen 532.7550569.8420.5360.3275.4250.6237.4139.6000311.20271.7260.7300.500000
Voorraad 141.7120.1116.9127.9150.7138.7113.681.775.172.370.657.956.558.754.651.850.544.739.136.131.334
Overige vlottende activa 82.87.614.8133213.9552.4445.8390.1416.8341.2333.5341.835369.341.444.80.1286.4328.1271.4852.3752
Totaal vlottende activa 1,614.11,644.71,588.31,471.41,319.11,277.21,1661,251.11,279.71,239.31,239.71,094.3979.41,000.5863.4807.6764.1742.5848.5874987858.2
Niet-vlottende activa:
Materiële vaste activa, netto 2,012.12,038.42,430.52,619.52,879.72,691.32,722.62,887.42,9092,895.12,777.42,706.62,603.82,381.42,236.51,9281,966.91,841.11,774.51,602.41,453.10
Goodwill 616.9614.5646.9667.6644.2677.5428.3427.5442.6453.7273.8176145.7145.8129.18194.984.779.543.314.74.7
Immateriële activa 205.7201.76220210.6204.5218.9211.9217.7230.5232.1413.3393.2407.2387.4405.7249.1235.7215.5218.4168.1153.10
Goodwill en immateriële activa 822.6816.26866.9878.2848.7896.4640.2645.2673.1685.8687.1569.2552.9533.2534.8330.1330.6300.2297.9211.414.74.7
Langetermijnbeleggingen 210.7175.2204.923.2305.4243.327.3311.7307.5065.50-484.6-427.7-344.2-291.634.8-26.7-99.4-195-328.60
Belastingvorderingen 30.226.230.130.422.122.323.323.62521.88.43.97.17.68.65.16.113.117.132.30.3
Overige niet-vlottende activa 00.04-165.7285.846.2248.3322388.7306.6471.8930.6886.4753.3572.4213.6214.4219.8282.7542.21,741.6
Totaal niet-vlottende activa 3,075.63,056.13,366.73,837.14,059.93,859.53,661.73,870.93,936.63,991.43,8453,751.53,609.83,380.93,1892,5442,5522,342.12,209.91,904.51,683.71,746.6
Totaal activa 4,689.74,700.84,9555,308.55,3795,136.74,827.75,1225,216.35,230.75,084.74,845.84,589.24,381.44,052.43,351.63,316.13,084.63,058.42,778.52,670.72,604.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 807.4243.9238.3204.5236.8234.9229.2232.5305.2349.2224227.620.116.643.3481.329.4390371364.334.134.1
Kortlopende schulden 15577.185.2173.6254.690.4114.2169.3126.4243.4218.495.8198.3188.2130.4166.6132.5174.2421179.6134.50
Belastingschulden 6665.664.464.791.764.552.248.549.156.756.962.5572742.535.450.763.261.374.460.749.7
Uitgestelde opbrengsten 6625.3592.7587544.5613.3523.3627.5624.7587.4541.5517.400580.469.5490.863.261.377.4-134.50
Overige kortlopende verplichtingen 63.2694.573.978.679.970.778.382.380.678.378.676.2783.7693.498.3110.3154.8179.7145.2145591.8641.7
Totaal kortlopende verplichtingen 1,091.61,040.8990.11,043.71,115.81,009.39451,111.61,136.91,258.31,062.59171,002.1898.2852.4827.7807.5807.1998.5766.3625.9675.8
Langlopende verplichtingen:
Langetermijnschulden 234.9426532.8567.6583.3479.5208.1175.8432.2493.7589.5607.8433.6523.1466.4245.3312.6203.3109252.7206.7183.8
Uitgestelde opbrengsten niet-vlottend 59.315.3384.6364.9271.1282.4279.6279.2292.3289.5349.2348301.9244.8103.292.816.80011.512.2
Uitgestelde belastingverplichtingen niet-vlottend 119.1142.4194.2190.5210.1249.4258.5252.2225.9204.3204.1193.1191.5180.9125.6121127.7130.3139.7125.8123.7122
Overige niet-vlottende verplichtingen 221.182.986.393.395.9100.395.9110.7129.5143.3144.6141.7140.1129.715177.776.497.19449197197.7
Totaal niet-vlottende verplichtingen 580.1660.6828.61,2361,254.21,100.3844.9818.31,066.81,133.61,227.71,291.81,113.21,135.6987.8547.2609.5447.5342.7427.5538.9515.7
Totaal passiva 1,671.71,701.41,818.72,279.72,3702,109.61,789.91,929.92,203.72,391.92,290.22,208.82,115.32,033.81,840.21,374.91,4171,254.61,341.21,193.81,164.81,191.5
Eigen vermogen:
Preferente aandelen 0128.40060.5320133.5149.30000000000000
Gewone aandelen 694.4694.4694.4693.4692.2691.1688.2676.9665.5646.4622.7585.1568.6565.5561.7560.9559.6000509.6505.6
Ingehouden winsten 2,004.71,973.31,966.41,879.21,931.91,923.11,974.41,900.71,787.51,671.31,556.81,434.51,318.41,199.31,085.5974.4879866.5780.1745.8656.1596.3
Overige gereserveerde algehele resultaten -166.7-128.4134.18.2-60.5-3249.7-133.5-149.30000000000000
Overige totale aandeelhoudersvermogen 65.3-98.8-88.426-29.1-0.6-94.1-102.1-117.9-127.8-24.8-11.44.535.742.821.543.9574.8564.9557.198.476.5
Totaal eigen vermogen van aandeelhouders 2,597.72,568.92,706.52,606.82,5952,613.62,618.22,475.52,335.12,189.92,154.72,008.21,891.51,800.51,6901,556.81,482.51,441.31,3451,302.91,264.11,178.4
Totaal eigen vermogen 3,013.92,999.43,136.33,028.83,0093,027.13,037.83,192.13,012.62,838.82,794.52,6372,473.92,347.62,212.21,976.71,899.11,8301,717.21,584.71,505.91,413.3
Totaal passiva en aandeelhoudersvermogen 4,689.74,700.84,9555,308.55,3795,136.74,827.75,1225,216.35,230.75,084.74,845.84,589.24,381.44,052.43,351.63,316.13,084.63,058.42,778.52,670.72,604.8