00226 力宝
实时 按盘价 升0.820 +0.010 (+1.235%)
最新  |  全年  |  中期
2023/12 - 末期
港元()
与去年末期
比较
2022/12
港元()
2021/12
港元()
2020/12
港元()
2020/03
港元()
非流动资产
投资物业663,438,000-4.131%692,027,000742,695,000748,055,000763,652,000
物业、厂房、设备及其他1,038,253,000-4.513%1,087,324,0001,143,894,0001,185,997,0001,158,151,000
租賃土地161,372,0003.199%156,370,000156,443,000128,096,000133,715,000
无形资产21,034,0000.000%21,034,00021,034,00021,034,00021,034,000
联营公司及共同控制公司权益11,664,516,0000.126%11,649,859,00012,005,114,00011,417,626,00011,380,678,000
其他非流动资产543,071,000-5.318%573,576,000757,566,000592,668,000556,692,000
14,091,684,000-0.624%14,180,190,00014,826,746,00014,093,476,00014,013,922,000
流动资产
存货23,962,000-4.898%25,196,00018,697,00015,839,00010,389,000
现金及银行结存454,717,000-47.646%868,547,000957,004,0001,202,629,0001,175,208,000
其他流动资产559,510,0008.046%517,844,000794,161,0001,011,691,000958,066,000
持作出售资产0--0000
1,038,189,000-26.452%1,411,587,0001,769,862,0002,230,159,0002,143,663,000
流动负债
其他流动负债786,459,000-36.341%1,235,423,000912,243,0001,321,819,0001,459,816,000
持作出售资产相关负债0--0000
786,459,000-36.341%1,235,423,000912,243,0001,321,819,0001,459,816,000
流动资产净值251,730,00042.895%176,164,000857,619,000908,340,000683,847,000
资产总额减流动负债14,343,414,000-0.090%14,356,354,00015,684,365,00015,001,816,00014,697,769,000
非流动负债
1,433,749,00025.836%1,139,375,0001,546,928,0001,362,099,0001,169,250,000
资本及储备
  股本986,598,0000.000%986,598,000986,598,000986,598,000986,598,000
  储备8,088,633,000-2.704%8,313,410,0008,961,180,0008,614,631,0008,521,586,000
  其他0--0000
股东资金9,075,231,000-2.417%9,300,008,0009,947,778,0009,601,229,0009,508,184,000
非控股权益3,834,434,000-2.107%3,916,971,0004,189,659,0004,038,488,0004,020,335,000
其他0--0000
12,909,665,000-2.325%13,216,979,00014,137,437,00013,639,717,00013,528,519,000
承担及或然负债
承担----121,187,000114,166,000100,121,000208,065,000
或然负债----3,822,0003,664,0003,750,00020,049,000
备注: 实时报价更新时间为31/05/2024 17:59
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公司名称(中/英/关键字)
行业
 
股东应占溢利/(亏损) ()HKD -35,381,000
增长率--
每股盈利/(亏损)HKD -0.070
每股账面资产净值 ($)HKD 18.402