2024-07-05  8:05:21 AM Chg. 0.0000 Volume Bid6:55:19 PM Ask5:15:25 PM Market Capitalization Dividend Y. P/E Ratio
0.9300EUR 0.00% 0
Turnover: 0.0000
-Bid Size: - -Ask Size: - 9.64 bill.EUR - -

Assets

2022
IFRS
in mill. HKD
2023
IFRS
in mill. HKD
2024
IFRS
in mill. HKD
Property and Equipment
  6,717.5000   6,840.8000   4,526.8000
Intangible Assets
  109   66.3000   25
Long-Term Investments
  203.7000   323.1000   405
Fixed Assets
  9,611.7000   10,073.7000   9,636.6000
Inventories
  57,254   59,290.4000   64,647
Accounts Receivable
  5,914   6,192.9000   6,825
Cash and Cash Equivalents
  14,942.2000   11,695   7,695.4000
Current Assets
  78,125.6000   77,266.8000   79,182.4000
Total Assets
  87,737.3000   87,340.5000   88,819

 

Liabilities

2022
IFRS
in mill. HKD
2023
IFRS
in mill. HKD
2024
IFRS
in mill. HKD
Accounts Payable
  25,166.1000   30,088.9000   30,529.6000
Long-term debt
  1,788.8000   1,488.1000   3,342.3000
Liabilities to Banks
  -   -   -
Provisions
  918.2000   645.2000   348.7000
Liabilities
  53,182.6000   53,980.7000   62,073.4000
Share Capital
  -   -   -
Total Equity
  33,619.3000   32,397.4000   25,715
Minority Interests
  935.4000   962.4000   1,030.6000
Total liabilities equity
  87,737.3000   87,340.5000   88,819

 

Income Statement

2022
IFRS
in mill. HKD
2023
IFRS
in mill. HKD
2024
IFRS
in mill. HKD
Revenues
  98,937.7000   94,684.4000   108,713
Depreciation (total)
  -   -   -
Operating Result
  -   -   -
Interest Income
  -267.9000   -357.6000   -521.5000
Income Before Taxes
  -   -   -
Income Taxes
  2,103.1000   1,957   2,121.1000
Minority Interests Profit
  -167.6000   105.1000   107.9000
Net Income
  6,712.3000   5,384.4000   6,499.3000

 

Per Share

2022
IFRS
in HKD
2023
IFRS
in HKD
2024
IFRS
in HKD
Earnings per Share
  0.6710   0.5380   0.6500
Dividend per Share
  0.5000   1.2200   0.5500

 

Cash Flow

2022
IFRS
in mill. HKD
2023
IFRS
in mill. HKD
2024
IFRS
in mill. HKD
Cash Flow from Operating Activities
  13,938.2000   10,065.9000   13,835.6000
Cash Flow from Investing Activities
  -1,457.7000   -1,782.3000   -716.6000
Cash Flow from Financing
  -3,792.6000   -10,704.7000   -16,830.1000
Decrease / Increase in Cash
  -   -   -
Employees
  28,400   28,900   28,200