Singapore Post Limited

SGX:S08.SI

0.47 (SGD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 476.738495.696280.438501.212492.997392.22314.05366.614126.64584.14404.43628.307617.357338.734390.22139.548104.14268.98153.258159.04898.363113.863128.113
Kortetermijnbeleggingen 008.0066.5059.5017.231.92120.388.97321.8786.42416.57774.79356.29-205.23600000000
Liquide middelen en kortetermijnbeleggingen 476.738495.696288.444507.717502.498399.45315.971386.994135.613606.018410.854644.884692.15395.024390.22139.548104.14268.98153.258159.04898.363113.863128.113
Nettovorderingen 252.43229.831234.06166.411262.067264.689271.583199.007210.177000084.4387.31169.30371.18363.65852.34637.888000
Voorraad 0.3430.5130.5230.5580.3310.6920.9594.454.4996.2985.0754.1631.9760.9190.8030.6780.1690.1180.0050.01800.1380.266
Overige vlottende activa 31.52737.46641.22518.70920.73721.39738.0617.17418.55700008.3486.80489.9836.45763.6322.951000
Totaal vlottende activa 761.038763.506564.252693.395785.633686.228626.573607.625368.846797.59555.501790.831799.279488.721485.138299.512181.951138.757109.241199.905128.593149.553184.091
Niet-vlottende activa:
Materiële vaste activa, netto 594.278458.493483.72475.611514.692466.798491.711565.583517.376329.984254.926235.9237.953240.684251.285252.408259.463492.237513.436533.946554.656580.651625.184
Goodwill 492.466415.659430.12270.903259.502265.402299.384305.118482.322267.278167.202165.478.03578.035000000000
Immateriële activa 143.796500.958529.441311.867294.242303.861381.683396.016588.59149.36416.42320.2559.64210.5989.5850.2520.2880.3240.360.3960.4320.4680.504
Goodwill en immateriële activa 636.262916.617959.561582.77553.744569.263681.067701.1341,070.913316.642183.625185.65587.67788.62589.5850.2520.2880.3240.360.3960.4320.4680.504
Langetermijnbeleggingen 1,131.2611,101.621,086.2581,228.0231,147.8361,152.7751,171.7871,136.41941.19895.946103.18289.20630.22216.883248.22500000000
Belastingvorderingen 3.7297.3618.6574.2482.2773.1943.1976.2184.1934.5410.5780.6320.4020.3770.35200000000
Overige niet-vlottende activa 9.36-409.827-423.044-262.28-252.547-259.018-290.2-300.387-476.04666.023642.674252.034274.655257.5630.317217.991305.6987.99787.82489.15688.61597.6191.901
Totaal niet-vlottende activa 2,374.892,074.2642,115.1522,028.3721,966.0021,933.0122,057.5622,108.9582,057.641,413.1361,184.985763.427630.909604.132589.764470.651565.441580.558601.62623.498643.703678.729717.589
Totaal activa 3,135.9282,837.772,679.4042,721.7672,751.6352,619.242,684.1352,716.5832,426.4862,210.7261,740.4861,554.2581,430.1881,092.8531,074.902770.163747.392719.315710.861823.403772.296828.282901.68
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 605.645371.291371.369351.544341.351301.491305.721201.328166.529153.517136.428100.11472.45269.929195.182159.358164.918150.91140.584134.332112.97319.7670
Kortlopende schulden 53.45633.522107.3633.122176.309281.84223.475148.78671.0916.94714.025316.42200000000000
Belastingschulden 10.59222.35924.54219.75240.53144.29139.17234.77441.11735.31837.37231.90332.69135.94434.17735.01436.95541.13538.41531.35631.15839.6750
Uitgestelde opbrengsten 28.20430.03729.39734.75931.95738.21437.92931.71229.89200000000000000
Overige kortlopende verplichtingen 10.697285.02323.307175.392207.064230.23228.918205.286238.444244.548201.102203.58173.426168.3545.98835.08437.02541.13538.41531.35631.15839.675255.048
Totaal kortlopende verplichtingen 698.002719.87831.433594.817756.681851.777596.043587.112505.955415.012351.555620.116245.878238.279241.17194.442201.943192.045178.999165.688144.128359.442255.048
Langlopende verplichtingen:
Langetermijnschulden 1,068.348874.524439.481659.672554.287355.86567.329562.025556.008221.38220.103220.128505.719503.009502.977302.969302.077319.487359.3743003001200
Uitgestelde opbrengsten niet-vlottend 5.6827.17715.39423.31930.71241.21748.2622.5742.31859.5699.5010.4550.7772.460.2810.3510.37400.0570.1480.2430.3380.433
Uitgestelde belastingverplichtingen niet-vlottend 61.70144.21448.81636.86534.43741.87552.39262.54760.83636.3420.7922.36818.01216.79317.28316.217.41418.62322.49123.57724.96230.31536.456
Overige niet-vlottende verplichtingen 132.76469.191202.17982.49780.02614.87420.6941.88829.90710.68824.08423.5940014.67600000001
Totaal niet-vlottende verplichtingen 1,268.495995.106705.87802.353699.462453.826688.673669.034649.069327.977274.478266.545524.508522.262535.217319.52319.865338.11381.922323.725325.205150.65337.889
Totaal passiva 1,966.4971,714.9761,537.3031,397.171,456.1431,305.6031,284.7161,256.1461,155.024742.989626.033886.661770.386760.541776.387513.962521.808530.155560.921489.413469.333510.095292.937
Eigen vermogen:
Preferente aandelen 130.7420000000000000000000000
Gewone aandelen 638.762638.762638.762638.762638.762638.762638.762638.756448.775429.98129.082121.109120.256118.789115.238114.6730000000
Ingehouden winsten 653.171598.558616.527564.708570.206579.633654.667650.007749.647682.639668.031241.285237.815216.171175.551130.984102.56173.41539.003229.661203.807219.5380
Overige gereserveerde algehele resultaten -130.742-77.6281.841103.00573.3175.53101.87971.7877.25800000000000000
Overige totale aandeelhoudersvermogen -159.985-29.516-29.724-29.724-29.724-27.68-36.235-1.227-2.116351.443315.172305.094301.739-8.8122.1325.7118.853112.03107.481101.4196.59896.5040
Totaal eigen vermogen van aandeelhouders 1,131.9481,130.1841,307.4061,276.7511,252.5541,266.2451,359.0731,359.3231,203.5641,464.0621,112.285667.488659.81326.148292.921251.357221.414185.445146.484331.071300.405316.042605.916
Totaal eigen vermogen 1,169.4311,122.7941,142.1011,324.5971,295.4921,313.6371,399.4191,410.8921,214.6771,467.7371,114.453667.597659.802332.312298.515256.201225.584189.16149.94333.99302.963318.187608.743
Totaal passiva en aandeelhoudersvermogen 3,135.9282,837.772,679.4042,721.7672,751.6352,619.242,684.1352,716.5832,426.4862,210.7261,740.4861,554.2581,430.1881,092.8531,074.902770.163747.392719.315710.861823.403772.296828.282901.68