DFI Retail Group Holdings Limited

SGX:D01.SI

2.4 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 303.4196.8165.9187.9229.2210.1236.6253.1195.8662728.4667.2729.7681.8532.8462.9395.9456.5389.1454.6163.1608.4511
Kortetermijnbeleggingen 32.833.944.589.772.286.195.870.762.7465.7571.2000000000000
Liquide middelen en kortetermijnbeleggingen 303.4230.7210.4277.6301.4296.2332.4323.8258.5662728.4667.2729.7681.8532.8462.9395.9456.5389.1454.6163.1608.4511
Nettovorderingen 271.4272.4247.6331.6307.4361.2377.8307.3244.6252.1213.200160.4139.9120.6116.2205.9159.4102.3000
Voorraad 763.5871.4781.9778.7896.1913.1950983.1936.81,011976958.4949.1816.3709.9649545.6472.1423.8341.6328.4260.2279
Overige vlottende activa 47.865.785.155.226.135.211.22.60.45.313.5214.8266.10.9106.470.139.80.52.2106.789.679.60
Totaal vlottende activa 1,386.11,440.21,3251,443.11,504.91,570.51,671.41,616.81,440.31,930.41,931.11,840.41,944.91,659.41,4891,302.61,097.51,135974.51,005.2581.1948.2918.1
Niet-vlottende activa:
Materiële vaste activa, netto 3,370.43,4733,550.93,6444,006.54,187.51,184.21,099.51,140.81,219.21,081.71,069.5896920.8709.7636.9603.8540463.4398.4502479549.5
Goodwill 201.7311.7304.9307.4444.6437.9568.8562.3570.9413.9298.9316.4286.6289.8000000134.77970.1
Immateriële activa 87.9411.9411.9420.6589.2571707.9678.7654.9152.2108.6123.465.8343.9319.3304.2292.5266.1226.8146.7134.700
Goodwill en immateriële activa 289.6723.6716.87281,033.81,008.91,276.71,2411,225.8566.1407.5439.8352.4343.9319.3304.2292.5266.1226.8146.7134.77970.1
Langetermijnbeleggingen 2,024.81,967.22,2892,377.32,251.12,189.61,770.51,618.51,460.4393.2375.6000000.4000000
Belastingvorderingen 35.827.314.715.518.214.426.4293527.722.225.220.619.219.11814.49.478.618.710.77
Overige niet-vlottende activa 4.4-305-291.6-307.4-444.6-437.9-462-475.9-481.4179.7145.4475.8325.1314.5287245.1294.1176.1160.9211.4203.6208.7187.5
Totaal niet-vlottende activa 5,7255,886.16,279.86,457.46,8656,962.53,795.83,512.13,380.62,385.92,032.42,010.31,594.11,598.41,335.11,204.21,205.2991.6858.1765.1859777.4814.1
Totaal activa 7,111.17,326.37,604.87,900.58,369.98,5335,467.25,128.94,820.94,316.33,963.53,850.73,5393,257.82,824.12,506.82,302.72,126.61,832.61,770.31,440.11,725.61,732.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,095.91,214.51,181.21,177.41,396.41,529.11,552.22,327.92,354.52,412.92,309.32,275.52,140.21,869.91,605.51,537.91,436000000
Kortlopende schulden 1,333.11,423.81,383.81,536.11,666.51,761.8412.7369.6729.693.447.955.5130.2120.5133.862.640000000
Belastingschulden 39.739.926.684.7126.584.371.658.65652.958.254.580.669636548.7000000
Uitgestelde opbrengsten 39.739.926.684.7126.584.371.658.6560000000-1,476000000
Overige kortlopende verplichtingen 58.7995.4949.3926.9975919.597614.810.659.269.259.686.874.866.2671,537.51,300.41,184.61,028.5894.7755831.6
Totaal kortlopende verplichtingen 3,527.43,673.63,540.93,725.14,164.44,294.73,012.52,770.93,150.72,565.52,426.42,390.62,357.22,065.21,805.51,667.51,537.51,300.41,184.61,028.5894.7755831.6
Langlopende verplichtingen:
Langetermijnschulden 153258.7310.8242.318414.552259510.693.842.990.9133.4337.9365.4404.5439.1389.5352.1261.5262.2205.9351.6
Uitgestelde opbrengsten niet-vlottend 2,285.82,289.42,3202,386.32,577.52,816.50-00002,191.82,093.51,603.71,330.362.116.1000000
Uitgestelde belastingverplichtingen niet-vlottend 41.2404444.334.923.462.756.655.346.744.948.343.548.843.636.643.741.334.927.829.218.420.6
Overige niet-vlottende verplichtingen 115.6123.2121.9166.6169.6222114.3127149.187.871.9-2,109.7-2,018.9-1,532-1,263.72.625.267.117.97.756.81.8
Totaal niet-vlottende verplichtingen 2,595.62,711.32,796.72,839.52,9663,076.4699778.6215228.3159.7221.3251.5458.4475.6505.8524.1497.9404.9297296.4231.1374
Totaal passiva 6,1236,384.96,337.66,564.67,130.47,371.13,711.53,549.53,365.72,793.82,586.12,611.92,608.72,523.62,281.12,173.32,061.61,798.31,589.51,325.51,191.1986.11,205.6
Eigen vermogen:
Preferente aandelen 00000000000000000000000
Gewone aandelen 75.275.275.275.175.175.175.175.175.175.175.175757574.974.874.874.774.574.173.882.392
Ingehouden winsten 1,088.31,127.21,363.11,417.51,388.51,330.61,855.71,366.61,561.31,461.61,281.1000000000000
Overige gereserveerde algehele resultaten 33.2834.31,156.41,213.11,1001,017.41,581.81,399.11,269.6-158.6-125.800611.7429.3223.50000000
Overige totale aandeelhoudersvermogen -216.5-1,089.6-1,327.5-1,383.4-1,354.4-1,296.7-1,822.6-1,335.5-1,530.250.650.61,117.7847.746.436.632.6163.3249.3149.6370.5173.8655.7432.5
Totaal eigen vermogen van aandeelhouders 980.2947.11,267.21,322.31,209.21,126.41,6901,505.31,375.81,428.71,2811,192.7922.7733.1540.8330.9238.1324224.1444.6247.6738524.5
Totaal eigen vermogen 988.1941.41,267.21,335.91,239.51,161.91,755.71,579.41,455.21,522.51,377.41,238.8930.3734.2543333.5241.1328.3243.1444.7248.3739.5526.6
Totaal passiva en aandeelhoudersvermogen 7,111.17,326.37,604.87,900.58,369.98,5335,467.25,128.94,820.94,316.33,963.53,850.73,5393,257.82,824.12,506.82,302.72,126.61,832.61,770.31,440.11,725.61,732.2