Eastern Water Resources Development and Management Public Company Limited

SET:EASTW.BK

3.06 (THB) • At close November 12, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 644.31190.933293.43465.68758.211578.21337.478185.531311.218112.86243.306238.473128.69442.884124.569170.194337.436271.524335.762152.907106.921151.116234.6399.839
Kortetermijnbeleggingen 2,107.057219.678153.215119.063110.20346.22794.277736.499862.59855.0786.87996.3089500228.5223.252.986719.8111,993.2911,591.781,705.9791,995.7463,013.269
Liquide middelen en kortetermijnbeleggingen 2,751.368310.611446.649184.749168.414624.44131.755922.031,173.816167.93330.185334.781223.69442.884124.569398.715340.687274.511,055.5732,146.1991,698.7011,857.0952,230.3853,023.107
Nettovorderingen 577.836521.273453.396483.827522.056421.532387.313399.916423.668399.78392.572462.826427.716310.761337.99283.574345.825474.454365.398190.237149.484140.55695.8472.621
Voorraad 88.35570.90249.63753.22125.63213.34413.06910.5879.3819.23210.5367.7457.8799.5599.28418.255.197124.648149.33588.28338.064.66400
Overige vlottende activa 61.8566.566.2084.8698.67329.20738.12731.03433.84961.06345.6423.86574.492111.611693.04154.18667.68576.43132.096197.03986.315119.859104.24120.073
Totaal vlottende activa 3,479.4151,424.3351,446.7221,167.181,150.321,469.278889.1371,384.3961,664.21716.49800.636848.032733.776874.8151,164.884754.676809.394950.0421,717.3972,621.7581,972.5612,122.1732,430.4653,215.801
Niet-vlottende activa:
Materiële vaste activa, netto 22,235.95820,030.11518,430.81717,641.88815,260.94714,382.22714,228.39214,062.21113,265.97611,747.77811,177.47310,034.5299,045.8777,790.9327,166.3496,758.9537,313.7267,693.2395,631.0454,054.444,042.8773,616.732,884.3082,264.44
Goodwill 103.283103.283103.283103.283103.283103.283103.283103.283103.28300000152.248162.701171.05179.398187.768196.206204.489208.034216.2721.666
Immateriële activa 2,632.6862,934.2623,147.0553,344.953,531.0733,643.9743,702.7343,692.7253,831.8971,725.359153.016160.762711.347143.899000069.72300000
Goodwill en immateriële activa 2,735.9693,037.5453,250.3383,448.2333,634.3563,747.2573,806.0173,796.0083,935.181,725.359153.016160.762711.347143.899152.248162.701171.05179.398257.491196.206204.489208.034216.2721.666
Langetermijnbeleggingen 231.48240.663239.707270.783809.271513.228531.245593.007738.32991.4791.4791.4791.4793.54694.46485.47895.87895.388276.11286.08686.22285.38885.38885.388
Belastingvorderingen 21.39814.3116.76222.8424.06621.93622.23424.05123.28812.6936.619.67623.063542.318556.752642.199642.1990000000
Overige niet-vlottende activa 372.44350.826304.526302.853301.9196.9775.5920.7220.48949.6541,256.0071,295.615178.94425.08813.082926.921790.718736.225226.855136.961232.796211.221118.07691.799
Totaal niet-vlottende activa 25,597.24523,673.45922,242.15121,686.59720,030.5618,671.62418,593.47918,475.99917,963.25314,526.95512,684.57711,592.05310,050.6968,995.7847,982.8958,576.2529,013.578,704.256,391.5034,473.6924,566.3834,121.3723,304.0432,443.292
Totaal activa 29,076.6625,097.79423,688.87322,853.77721,180.87920,140.90219,482.61619,860.39519,627.46415,243.44513,485.21312,440.08510,784.4729,870.5999,147.7789,330.9289,822.9639,654.2928,108.9017,095.4516,538.9446,243.5455,734.5085,659.094
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 157.335250.89219.584169.298146.235109.28139.728133.254133.93130.003144.147157.561105.664100.9165.59473.087142.598244.599151.404100.262101.0532.11211.28590.017
Kortlopende schulden 2,318.8033,119.2862,733.77953.541,133.0991,642.321892.82,409.6072,355.056798.288724.911850.71435.382928.818559.704495.9473,082.21623082.598.2842,217.5000
Belastingschulden 33.40879.933142.844128.751155.824118.46131.181129.308149.495129.535131.519135.653192.792133.787092.91770.692108.949106.45481.74759.33846.66200
Uitgestelde opbrengsten 4.9024.107501.1942,016.1931,843.2118.46389.627424.265388.265763.628528.901294.118459.13474.2810277.411122.565145.594133.587110.02199.211000
Overige kortlopende verplichtingen 579.0662.056-349.822-291.996-294.166131.558-200.143-203.166-222.467-210.112-218.387-237.361367.976-226.719342.865-136.00376.91213.251701.812228.21-35.621203.659172.15386.046
Totaal kortlopende verplichtingen 3,250.8483,707.1633,467.1553,145.0833,130.4272,229.3591,492.9223,026.522,938.211,741.3441,455.2381,358.2451,266.6091,511.9861,033.756876.4473,637.581986.9921,327.16718.7872,542.527314.544194.723266.079
Langlopende verplichtingen:
Langetermijnschulden 12,514.5739,063.3558,013.6157,839.4876,229.6155,565.946,392.5995,598.226,407.4654,651.8583,841.7513,456.5822,327.351,634.8881,770.3062,440.0191,475.5254,281.1432,7372,769.5243.6922,35000
Uitgestelde opbrengsten niet-vlottend 63.71465.946444.271447.077428.2471,158.712400.165375.5210000129.91700000000000
Uitgestelde belastingverplichtingen niet-vlottend 285.553305.451306.443322.506341.297364.611385.21410.097421.23442.44738.52632.5337.91500000000000
Overige niet-vlottende verplichtingen 1,323.627388.21530.42930.42937.47917.129381.814401.735360.992290.726222.317272.26886.481106.804037.9910027.81913.928342.996339.51200
Totaal niet-vlottende verplichtingen 14,187.4679,822.9678,794.7588,639.4987,036.6377,106.3927,559.7886,785.5747,189.694,985.0314,102.5943,761.382,581.6621,741.6921,770.3062,478.011,475.5254,281.1432,764.8192,783.428586.6872,689.5122,526.1082,526.832
Totaal passiva 17,438.31513,530.12912,261.91311,784.58110,167.0649,335.7519,052.719,812.09410,127.9016,726.3755,557.8325,119.6253,848.2713,253.6792,804.0623,354.4575,113.1065,268.1354,091.9793,502.2153,129.2153,004.0562,720.8312,792.911
Eigen vermogen:
Preferente aandelen 000000000000000000000000
Gewone aandelen 1,663.7251,663.7251,663.7251,663.7251,663.7251,663.7251,663.7251,663.7251,663.7251,663.7251,663.7251,663.7251,663.7251,663.7251,663.7251,663.7251,346.3941,323.5031,299.6871,0001,0001,0001,0001,000
Ingehouden winsten 7,003.5886,959.686,842.656,510.7096,469.1246,293.046,219.7225,854.3145,303.2774,493.853,900.4773,316.4373,095.6822,773.3392,496.982,125.8921,970.3191,860.9381,518.1631,527.9351,282.3781,109.867944.041805.258
Overige gereserveerde algehele resultaten 686.787652.493621.964588.649560.229517.981205.816166.5166.5166.5166.5166.5038.5500000-15.29423.18835.5076.987.161
Overige totale aandeelhoudersvermogen 2,138.5222,138.5222,138.5222,138.5222,146.5242,149.912,153.2972,157.2182,161.1912,163.4822,166.8792,170.2772,173.6742,138.5222,180.4692,184.7231,350.3521,177.0641,178.8621,037.8761,041.3581,044.8291,049.0371,053.764
Totaal eigen vermogen van aandeelhouders 11,492.62211,414.4211,266.86210,901.60610,839.60310,624.65710,242.569,841.7579,294.6938,487.5577,897.5827,316.9396,933.0826,614.1366,341.1755,974.3414,667.0654,361.5053,996.7123,550.5173,346.9243,190.2033,000.0582,866.182
Totaal eigen vermogen 11,638.34511,567.66411,426.9611,069.19711,013.81610,805.15110,429.90610,048.3019,499.5638,517.077,927.3817,320.466,936.2016,616.9216,343.7165,976.4714,709.8574,386.1574,016.9223,593.2363,409.7293,239.4893,013.6782,866.182
Totaal passiva en aandeelhoudersvermogen 29,076.6625,097.79423,688.87322,853.77721,180.87920,140.90219,482.61619,860.39519,627.46415,243.44513,485.21312,440.08510,784.4729,870.5999,147.7789,330.9289,822.9639,654.2928,108.9017,095.4516,538.9446,243.5455,734.5085,659.094