00659 新创建集团
实时 按盘价 升7.470 +0.230 (+3.177%)
最新  |  全年  |  中期
2023/06 - 末期
港元(千)
与去年末期
比较
2022/06
港元(千)
2021/06
港元(千)
2020/06
港元(千)
2019/06
港元(千)
非流动资产
投资物业5,875,00021.329%4,842,2001,681,4001,703,1001,726,500
物业、厂房、设备及其他1,317,0000.099%1,315,7001,186,0004,881,5005,413,400
租賃土地1,192,200-12.383%1,360,7001,359,9001,999,7000
无形资产19,169,6001.042%18,972,00020,271,80019,990,70010,779,500
联营公司及共同控制公司权益22,481,6002.858%21,856,90016,858,80025,641,00028,197,400
其他非流动资产69,434,00017.844%58,920,30065,153,50056,010,30010,463,000
119,469,40011.375%107,267,800106,511,400110,226,30056,579,800
流动资产
存货239,60040.941%170,000207,000328,600428,600
现金及银行结存19,242,20043.184%13,438,80010,804,60013,221,80015,058,900
其他流动资产23,023,100-17.463%27,894,20029,104,20026,163,10013,997,700
持作出售资产0--05,945,700112,2000
42,504,9002.414%41,503,00046,061,50039,825,70029,485,200
流动负债
其他流动负债70,644,40024.062%56,942,80049,355,40046,888,60013,729,100
持作出售资产相关负债0--0000
70,644,40024.062%56,942,80049,355,40046,888,60013,729,100
流动资产净值(28,139,500)82.253%(15,439,800)(3,293,900)(7,062,900)15,756,100
资产总额减流动负债91,329,900-0.542%91,828,000103,217,500103,163,40072,335,900
非流动负债
41,188,8008.560%37,940,90044,763,50045,705,70015,089,300
资本及储备
  股本3,910,500-0.015%3,911,1003,911,1003,911,1003,911,100
  储备35,826,200-9.065%39,397,40044,002,30042,455,90045,134,900
  其他0--0000
股东资金39,736,700-8.247%43,308,50047,913,40046,367,00049,046,000
非控股权益50,8001.397%50,10012,100562,200160,800
其他10,353,600-1.661%10,528,50010,528,50010,528,5008,039,800
50,141,100-6.952%53,887,10058,454,00057,457,70057,246,600
承担及或然负债
承担3,309,400-75.567%13,545,00010,531,10012,719,20030,958,900
或然负债2,140,100-38.333%3,470,4003,881,8003,807,9003,712,600
备注: 实时报价更新时间为22/05/2024 15:57
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公司名称(中/英/关键字)
行业
 
股东应占溢利/(亏损) (千)HKD 1,008,800
增长率18.251%
每股盈利/(亏损)HKD 0.280
每股账面资产净值 ($)HKD 11.717