Sembcorp Industries Ltd

SGX:U96.SI

5.01 (SGD) • At close November 8, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Operationele Activiteiten:
Nettowinst 1,020871300179217332244.712437.154454.4021,084.2821,097.2051,033.058809.282792.871682.664507.061651.342497.728415.226395.495285.135178.333245.213180.228179.052-515.10454.325
Afschrijvingen & Amortisatie 456461457579682595571.328453.713404.961314.834303.293281.62234.816242.139199.703195.069182.859170.348184.379182.189178.469170.932148.737135.192146.367145.876110.952
Uitgestelde Inkomstenbelasting -1,000010433-1-231-161.332-39.325115.748-109.065-198.961-193.71797.01586.7430000000000000
Aandelen Gebaseerde Vergoedingen 292714810111718.80722.89429.69827.21329.74626.55921.08523.501000000000000
Verandering in Werkkapitaal -1624-49-453-379-389-506.497-367.008-1,906.966-1,414.361140.655-670.27-321.161341.035-396.3181,320.28673.831-762.943275.59894.171-240.402150.347-448.815-19.099416.974-24.147306.704
Vorderingen 169276-483-214-240-1,577-1,018-618.624-455.306000000000000000000
Voorraden 2-51-28-50124-9235.009662.184-2,101.118-1,383.998-29.191-275.633-471.233449.259-723.1481,114.381-361.8480000-63.674-74.23-129.858000
Crediteuren -230-212498-302-206-215-527-410.568649.458000000000000000000
Overig Werkkapitaal 4311-36113-571,412803.49400-30.363169.846-394.637150.072-108.224326.83205.90500000214.021-374.5850000
Overige Niet-Contante Posten 860269393145448421484.34368.733205.12837.196100.852139.997128.499218.492446.724238.993-294.0018.66-47.792-143.39114.17730.22712.0430.32860.248599.66732.191
Kasstroom uit Operationele Activiteiten 1,3491,6521,219491977739650.336872.074-703.833-57.4161,470.257620.434975.011,702.365932.7732,261.409614.031-86.207827.411528.465337.379529.839-42.825326.649802.641206.292504.172
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -836-615-290-333-934-1,127-746.612-835.975-1,432.16-1,337.842-1,197.957-1,129.875-1,090.204-632.317-407.441-368.143-456.946-464.654-365.848-228.296-529.721-192.36-268.801-176.33-131.043-214.517-459.677
Netto Overnames -467-96813443-21-37234.564-131.82251.505-237.326-267.584-132.526-199.994-231.527-121.6712.447160.16484.87423.6311,223.9237.23716.92197.781-858.97335.29832.057-317.287
Aankoop van Beleggingen -822-567-293-165-567-310-165.951-226.644-165.979-7.341-13.03-70.58638.578-2.005-0.032207.561-46.187-120.46435.737-95.568-12.638-151.983-5.5-12.018-151.628-48.415-399.217
Verkoop/verval van Beleggingen 698617311150503315194.683227.447169.76711.3867.4690.7132.535101.97512.7229.209291.85475.725121.83170.7040259.95750.3727.594109.425195.21578.397
Overige Investeringsactiviteiten 35514838-976568277591.07166.36499.475129.69112.978102.422106.1942.477-79.91233.12145.839110.8484.796239.902217.056137.947112.531141.814132.82278.22837.086
Kasstroom uit Investeringsactiviteiten -1,072-1,385-100-1,281-451-1,217-92.246-800.63-1,277.392-1,441.433-1,358.124-1,229.852-1,142.891-761.397-474.631-115.80694.7286.321-99.8531,210.665-305.42870.482-13.619-877.91294.87442.568-1,060.698
Financieringsactiviteiten:
Schuldaflossingen -416-3,544-3,752-4,351-3,886-2,156-2,426.971-2,581.974-779.852-720.9-352.187-522.926-50.587-538.206-764.328-1,059.198-510.686-412.1210000000-80.1360
Uitgifte van Gewone Aandelen -2103,041-13,40810.6870.4261.3991.9591.9813.409108.007769.71314.98328.40425.8639.77146.5385.1930.9020110.912214.2675.2870.1228.329
Terugkoop van Gewone Aandelen -61-27-13-15-4-18-9.999-10.055-19.102-32.465-49.185-15.513-80.824-3.466679.213-144.57536.73500000000-36.0280
Uitgekeerde Dividenden -231-125-107-54-71-71-167-217.329-310.233-403.124-268.035-303.857-304.029-267.607-195.716-266.89-498.016-158.748-516.142-127.95-116.571-92.931-63.546-61.714-59.873-52.193-43.508
Overige Financieringsactiviteiten -173,493-245,294-1032,2332,879.8533,022.7023,019.3732,055.17729.237529.2563.97710.05-0.862445.043-26.7162.311-1,122.223-145.111173.395-493.301-180.833447.893-1,045.31970.313618.898
Kasstroom uit Financieringsactiviteiten -746-203-85555-692-256276.243213.771,911.585900.6461.811-309.631-323.456-29.516-266.71-997.211-581.028-56.666-1,591.827-267.868173.395-586.232-133.467600.439-1,029.905-97.922583.719
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -18-79244-17-25-7.575-34.96614.6711.77822.121-16.629-1.061-21.0885.126-43.441-4.695-1.754-727.5585.512-31.9510.2330.597-0.1230.188-0.054-0.588
Netto Kasstroomverandering -487-51288-731-183-759826.758250.248-54.969-596.431196.065-935.678-492.398890.364196.5581,104.951123.028-58.306-868.6811,476.774206.81214.322-255.58149.05567.798150.88426.605
Kaspositie aan het Einde van de Periode 7671,2461,2971,0091,7401,9232,681.4711,854.7131,604.4651,659.4342,255.8652,059.82,995.4783,487.8762,597.5122,400.9541,296.0031,172.9751,231.2812,099.962623.188416.376402.054657.635608.58540.782389.898