00683 嘉里建设
实时 按盘价 升13.860 +0.160 (+1.168%)
最新  |  全年  |  中期
2023/12 - 末期
港元(千)
与去年末期
比较
2022/12
港元(千)
2021/12
港元(千)
2020/12
港元(千)
2019/12
港元(千)
非流动资产
投资物业76,964,829-0.127%77,063,00887,201,87983,823,97680,209,689
物业、厂房、设备及其他43,546,11620.517%36,132,88126,817,27213,531,01922,943,646
租賃土地1,679,757-8.223%1,830,2511,965,6092,010,5952,004,077
无形资产122,5040.000%122,504122,504122,504122,504
联营公司及共同控制公司权益24,823,141-3.794%25,802,01228,326,93530,598,43028,426,306
其他非流动资产2,889,699-10.552%3,230,5793,601,77918,857,86413,635,195
150,026,0464.054%144,181,235148,035,978148,944,388147,341,417
流动资产
存货42,059,919-2.515%43,144,93331,168,97527,747,25616,227,514
现金及银行结存13,539,63119.327%11,346,64516,513,64516,429,49411,743,843
其他流动资产2,806,7860.173%2,801,9464,336,9582,648,0282,571,239
持作出售资产0--0000
58,406,3361.942%57,293,52452,019,57846,824,77830,542,596
流动负债
其他流动负债25,845,85232.562%19,497,19822,442,76420,617,00019,835,482
持作出售资产相关负债0--0000
25,845,85232.562%19,497,19822,442,76420,617,00019,835,482
流动资产净值32,560,484-13.853%37,796,32629,576,81426,207,77810,707,114
资产总额减流动负债182,586,5300.335%181,977,561177,612,792175,152,166158,048,531
非流动负债
61,429,7093.251%59,495,40045,299,66650,495,82642,665,504
资本及储备
  股本1,451,3060.000%1,451,3061,454,4721,456,5011,456,501
  储备105,805,274-1.426%107,335,544115,374,423108,416,036100,248,009
  其他0--0000
股东资金107,256,580-1.407%108,786,850116,828,895109,872,537101,704,510
非控股权益13,900,2411.496%13,695,31115,484,23114,783,80313,678,517
其他0--0000
121,156,821-1.082%122,482,161132,313,126124,656,340115,383,027
承担及或然负债
承担----9,658,30618,495,8679,642,92917,396,566
或然负债----6,047,4157,104,0116,171,4624,528,593
备注: 实时报价更新时间为14/06/2024 13:44
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证券代号
公司名称(中/英/关键字)
行业
 
股东应占溢利/(亏损) (千)HKD 3,243,327
增长率17.735%
每股盈利/(亏损)HKD 2.230
每股账面资产净值 ($)HKD 73.904