Venture Corporation Limited

SGX:V03.SI

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,056.303812.593807.934928.74714.467712.826752.447499.736459.254393.256390.889453.424513.218441.7567.068144.699493.326329.006556.586609.607780.133419.733314.116199.766
Kortetermijnbeleggingen 0000-0.138-0.455302.794-4.231119.3290000-1.6575.038156.27846.08519.52638.75642.1790000
Liquide middelen en kortetermijnbeleggingen 1,056.303812.593807.934928.74714.467712.826752.447499.736459.254393.256390.889453.424513.218441.7572.106300.977539.411348.532595.342609.607780.133419.733314.116199.766
Nettovorderingen 711.43931.031860.289723.087915.351755.167803.59734.69589.0550000543.751625.16700668.868000000
Voorraad 822.8951,065.31,049.429656.453706.15808.166699.63622.988556.471552.747527.923497.352513.66513.126475.83280.248547.343581.39408.136353.538254.164217.803151.274227.419
Overige vlottende activa 14.623.98219.86915.059.368785.164824.079751.269603.793593.249562.534463.292505.393.31410.114126.175650.46912.5620.812509.43470.273480.34300
Totaal vlottende activa 2,605.2282,832.9062,737.5212,323.332,345.3362,306.1562,276.1561,873.9931,619.5181,539.2521,481.3461,414.0681,532.2681,501.8911,683.219507.41,737.2231,611.291,624.291,472.5751,504.571,117.879725.723616.881
Niet-vlottende activa:
Materiële vaste activa, netto 273.373247.679227.613246.831259.211230.686197.86203.152186.481187.691152.644138.568143.895144.987162.96711.716206.798221.492168.114167.714159.362162.43114.26105.719
Goodwill 639.708639.708639.708639.708639.708639.708639.708639.708639.708639.708639.708639.708639.708640.593640.593640.593630.415630.41579.08666.56157.51551.4661.9362.005
Immateriële activa 01.0530.6230.3120.1720.1810.2091.28321.5141.39260.88978.65196.413117.847131.7052.682153.937174.1994.8518.37417.56825.10123.21812.615
Goodwill en immateriële activa 639.708640.761640.331640.02639.88639.889639.917640.991661.218681.1700.597718.359736.121758.44772.2982.682784.352804.61483.93774.93575.08376.56725.15414.62
Langetermijnbeleggingen 26.34726.22826.08225.77926.12824.11926.60432.57253.4030000141.71117.5581,205.219272.982352.196257.135267.604070.22820.84821.944
Belastingvorderingen 9.1453.8293.7143.6073.693.7473.6687.8147.6977.4016.8855.3153.9570.0611.0061.0381.0370.7440-267.60403.4584.1883.646
Overige niet-vlottende activa 0.98200000000112.767100.89396.332139.194-1.6577.438155.2446.08519.52638.756309.78370.318-3.458-4.188-3.646
Totaal niet-vlottende activa 949.555918.497897.74916.237928.909898.441868.049884.529908.799988.959961.019958.5741,023.1671,043.5411,061.2671,375.8951,311.2541,398.572547.942552.432304.763309.225160.262142.283
Totaal activa 3,554.7833,751.4033,635.2613,239.5673,274.2453,204.5973,144.2052,758.5222,528.3172,528.2112,442.3652,372.6422,555.4352,545.4322,744.4861,883.2953,048.4773,009.8622,172.2322,025.0071,809.3331,427.104885.985759.164
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 391.577533.137643.591397.544490.329529.015591.254490.936353.329385.683335.124288.592331.592353.484509.95393.087474.292445.408386.709372.237380372.841144.902154.892
Kortlopende schulden 8.98110.88.73110.10511.6591.79830.82892.641108.542169161.795167.40284.19883.418223.688187.74254.418631.1965.8447.9959.8646.05414.8461.173
Belastingschulden 46.80554.56725.76434.18734.27440.37434.04318.23415.0589.5716.0987.6016.95.5572.492.1146.5713.4223.7814.0125.4277.7326.3445.463
Uitgestelde opbrengsten 94.731121.21173.05236.15249.3840.37434.04318.23415.0589.5716.0987.6016.95.5572.492.1146.5713.4223.7814.0125.4277.73200
Overige kortlopende verplichtingen 201.425227.991182.125192.427203.926279.253318.298192.376125.96492.915100.12195.665124.627104.882118.141161.671109.069108.24375.07564.67561.92871.59856.21963.863
Totaal kortlopende verplichtingen 696.714893.139907.499636.228755.294850.44974.423794.187602.893657.169603.138559.26547.317547.341854.272444.612844.3491,198.269471.409448.919457.219458.225215.967219.928
Langlopende verplichtingen:
Langetermijnschulden 013.4854.810.84517.31800026.475000119.881119.810119.854275.7533.66127.51700000
Uitgestelde opbrengsten niet-vlottend 0000000000000000-10.912-8.668-7.59500000
Uitgestelde belastingverplichtingen niet-vlottend 1.671.8883.5123.3653.042.0581.7181.8013.146.2379.98113.5817.50320.68724.60729.07432.93140.3052.5223.5772.746000
Overige niet-vlottende verplichtingen 18.54500000000000000-29.07410.9128.6687.595003.45800
Totaal niet-vlottende verplichtingen 20.21515.3738.31214.2120.3582.0581.7181.80129.6156.2379.98113.58137.384140.49724.607119.854308.68443.96630.0393.5772.7463.4584.1883.646
Totaal passiva 716.929908.512915.811650.438775.652852.498976.141795.988632.508663.406613.119572.84684.701687.838878.879564.4661,153.0331,242.235501.448452.496459.965461.683220.155223.574
Eigen vermogen:
Preferente aandelen 081.44648.76378.25969.47747.526211.921136.232141.242000000000000000
Gewone aandelen 838.055838.28832.827826.98811.082803.22761.706713.686693.333678.579678.37673.223673.223671.952671.906671.906671.9060000000
Ingehouden winsten 2,148.6942,098.3851,948.3491,854.4031,774.5861,613.2531,617.8441,385.231,343.2151,396.9561,393.9381,399.4511,409.6271,402.2541,350.252630.8471,308.8581,162.4221,055.4711,036.215871.857649.955480.493357.362
Overige gereserveerde algehele resultaten -130.213-81.446-48.763-78.259-69.477-47.526-211.921-136.232-141.242000000000000000
Overige totale aandeelhoudersvermogen -22.429-96.981-64.824-94.933-89.47-66.607-213.8-138.801-143.323-213.196-245.479-275.322-215.288-219.616-159.40816.076-96.232596.537607.718534.05469.201293.015184.896177.488
Totaal eigen vermogen van aandeelhouders 2,834.1072,839.6842,716.3522,586.452,496.1982,349.8662,165.751,960.1151,893.2251,862.3391,826.8291,797.3521,867.5621,854.591,862.751,318.8291,884.5321,758.9591,663.1891,570.2651,341.058942.97665.389534.85
Totaal eigen vermogen 2,837.8542,842.8912,719.452,589.1292,498.5932,352.0992,168.0641,962.5341,895.8091,864.8051,829.2461,799.8021,870.7341,857.5941,865.6071,322.0371,895.4441,767.6271,670.7841,572.5111,349.368965.421665.83535.59
Totaal passiva en aandeelhoudersvermogen 3,554.7833,751.4033,635.2613,239.5673,274.2453,204.5973,144.2052,758.5222,528.3172,528.2112,442.3652,372.6422,555.4352,545.4322,744.4861,883.2953,048.4773,009.8622,172.2322,025.0071,809.3331,427.104885.985759.164