Hansen Technologies Limited

ASX:HSN.AX

4.3 (AUD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 46.02154.27959.63152.13844.49238.28823.24515.01330.20321.9853.8299.65323.96721.36423.4520.51821.87111.9586.8950.8873.6234.6634.18810.492.146
Kortetermijnbeleggingen 0000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 46.02154.27959.63152.13844.49238.28823.24515.01330.20321.9853.8299.65323.96721.36423.4520.51821.87111.9586.8950.8873.6234.6634.18810.492.146
Nettovorderingen 99.33785.47180.591101.71669.86173.08542.48341.7525.37222.28216.99115.4169.2087.5968.1787.0165.5768.4227.9345.4715.1245.2089.3016.157.665
Voorraad 0000000000001.1251.561.1341.0890.8041.1910.9721.111.3540000
Overige vlottende activa 7.647.3039.04811.9328.3579.4535.5543.5783.0582.873.0191.4191.5371.3531.6830.8720.1630.250.8661.6530.6142.0932.40300
Totaal vlottende activa 152.998147.053149.27165.786122.71120.82671.28260.34158.63347.13723.83926.48835.83731.87334.44529.49528.41421.82116.6679.12110.71511.96415.89216.649.811
Niet-vlottende activa:
Materiële vaste activa, netto 32.09528.69927.41228.74731.50110.98610.5548.9126.7437.5564.3764.6994.5544.8573.4413.5883.3254.1824.76.7466.8198.34210.8725.2375.941
Goodwill 256.456220.232219.815217.147219.695227.863150.99287.49682.62180.43453.51135.99026.33623.67924.01613.3113.78613.78612.73617.43618.86719.5267.84672.662
Immateriële activa 116.953332.82344.475356.153377.66180.8392.44837.98323.43823.66915.2639.66429.5932.7673.8184.9966.5137.4388.1667.6935.71124.50826.6571.8572.662
Goodwill en immateriële activa 373.409553.052564.29573.3597.355408.693243.44125.479106.059104.10368.77445.65429.59329.10327.49729.01219.82321.22421.95220.42923.14724.50826.6571.8572.662
Langetermijnbeleggingen 116.953-220.232-219.815-217.147-219.695415.078249.933129.57108.772108.0672.70249.530023.67924.01600-2.7590.8931.180.99900-0.554
Belastingvorderingen 7.0136.5817.7819.4049.9714.6014.0614.8214.033.5990.4480.8230.5350.9071.0750.19601.5975.4875.0113.0531.7241.42200.554
Overige niet-vlottende activa -115.6361.4341.8891.0913.681-419.679-253.994-134.391-112.802-111.659-73.15-50.35300-23.679-24.0160.1450.1530.2430.0350.1550.4440.47600.554
Totaal niet-vlottende activa 413.834369.534381.557395.395422.813419.679253.994134.391112.802111.65973.1550.35334.68234.86732.01332.79623.29327.15629.62333.11434.35436.01739.4277.08779.157
Totaal activa 566.832516.587530.827561.181545.523548.229329.77199.553175.465162.39599.56777.66470.51966.7466.45862.29151.70748.97746.2942.23545.06947.98155.31293.72788.968
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 8.857.5685.3857.5994.79410.3493.4093.5722.0611.8851.3941.1270.6130.9210.9410.8631.21.5471.3882.1881.7656.049.9345.8213.778
Kortlopende schulden 4.8895.4345.662123.0596.2520.2260.1120.1010.09510.08710.055-4.3673.6034.5354.9355.50300.320.8350.9620.5560.2530.9670.8071.267
Belastingschulden 3.7270.509010.9835.6321.7563.1961.0512.1870000000000000000
Uitgestelde opbrengsten 38.83732.85436.82135.10824.47127.30522.91419.43511.17113.578.1334.3673.3973.3515.5474.38407.2046.9573.163.4386.594.4872.5050.077
Overige kortlopende verplichtingen 56.61932.09633.59456.9640.61631.32629.4617.25421.85218.79511.64616.4945.2354.8254.684.8318.1183.1153.3996.737.2425.1565.8333.9112.781
Totaal kortlopende verplichtingen 109.19577.95281.462222.72676.13369.20655.89540.36235.17944.33731.22817.62112.84813.63216.10315.5819.31812.18612.57913.0413.00118.03921.22113.0447.903
Langlopende verplichtingen:
Langetermijnschulden 70.22154.30987.91211.322157.852185.67427.0310.190.2910.37400000000.0610.331.1770.8930.3710.4360.5431.275
Uitgestelde opbrengsten niet-vlottend 1.8081.5144.030.0530.047141.38410.875-0-0000000000-2.759000000
Uitgestelde belastingverplichtingen niet-vlottend 33.30833.9635.58838.03843.44344.2916.1566.7074.814.0120000000.23302.7592.6991.9471.0370.6610.2540
Overige niet-vlottende verplichtingen 15.1559.9728.7270.52315.554-185.674-27.0310.6780.2050.143000.2440.2670.4580.8870.170.5040.5550.6210.4530.7822.0280.2010.296
Totaal niet-vlottende verplichtingen 120.49299.755136.25749.936216.896185.67427.0317.5755.3064.5290.1230.1760.2440.2670.4580.8870.4030.5650.8854.4973.2932.193.1250.9981.571
Totaal passiva 229.687177.707217.719272.662293.029299.35999.84747.93740.48348.86633.48117.79713.09213.89916.56116.4689.72112.75113.46417.53716.29420.22924.34614.0429.474
Eigen vermogen:
Preferente aandelen 00000000001.3580.9250000000000000
Gewone aandelen 150.599148.688146.857145.224140.952138.746136.89685.3578.6575.12745.12643.6542.57949.66948.71548.19947.91650.04849.95843.45296.15895.75292.03979.12279.122
Ingehouden winsten 171.399170.648148.086130.21996.74182.85373.18656.09844.91229.48922.31817.14217.545.6041.389-2.041-5.588-13.491-16.798-18.273-66.905-67.556-60.8660.5630.372
Overige gereserveerde algehele resultaten 15.14719.54418.16513.07614.80127.27119.84110.16811.4188.913-1.358-0.925-2.692-2.432-0.207-0.335-0.342-0.331-0.334-0.48-0.478-0.444-0.207-6.829-4.913
Overige totale aandeelhoudersvermogen 000000000.0020-1.358-0.925000000000006.8294.913
Totaal eigen vermogen van aandeelhouders 337.145338.88313.108288.519252.494248.87229.923151.616134.982113.52966.08659.86757.42752.84149.89745.82341.98636.22632.82624.69928.77527.75230.96679.68579.494
Totaal eigen vermogen 337.145338.88313.108288.519252.494248.87229.923151.616134.982113.52966.08659.86757.42752.84149.89745.82341.98636.22632.82624.69928.77527.75230.96679.68579.494
Totaal passiva en aandeelhoudersvermogen 566.832516.587530.827561.181545.523548.229329.77199.553175.465162.39597.43777.66470.51966.7466.45862.29151.70748.97746.2942.23645.06947.98155.31293.72788.968