00007 智富资源投资
实时 按盘价 不变0.032 0.000 (0.000%)
最新  |  全年  |  中期
2023/06 - 中期
港元()
与去年末期
比较
2022/12
港元()
2021/12
港元()
2020/12
港元()
2019/12
港元()
非流动资产
投资物业4,034,963,000-4.406%4,220,922,0002,536,919,0002,368,672,0002,387,597,000
物业、厂房、设备及其他42,780,000-4.910%44,989,00050,211,00055,060,00094,255,000
租賃土地1,446,000-34.362%2,203,0001,351,0003,990,0005,693,000
无形资产0--0000
联营公司及共同控制公司权益0--0000
其他非流动资产144,385,000-4.813%151,685,000102,022,000116,398,00082,192,000
4,223,574,000-4.440%4,419,799,0002,690,503,0002,544,120,0002,569,737,000
流动资产
存货37,059,0009402.308%390,00052,630,00000
现金及银行结存21,453,000-27.986%29,790,00031,859,00020,610,00020,680,000
其他流动资产1,175,353,0002.444%1,147,312,0002,352,730,0002,411,082,0002,081,648,000
持作出售资产0--0385,660,00000
1,233,865,0004.788%1,177,492,0002,822,879,0002,431,692,0002,102,328,000
流动负债
其他流动负债956,859,0005.642%905,757,000900,939,000835,798,000568,500,000
持作出售资产相关负债0--05,806,00000
956,859,0005.642%905,757,000906,745,000835,798,000568,500,000
流动资产净值277,006,0001.940%271,735,0001,916,134,0001,595,894,0001,533,828,000
资产总额减流动负债4,500,580,000-4.070%4,691,534,0004,606,637,0004,140,014,0004,103,565,000
非流动负债
521,899,000-4.454%546,229,000502,772,000443,384,000431,240,000
资本及储备
  股本632,028,0008.890%580,428,000400,000,000400,000,000400,000,000
  储备3,345,314,000-6.114%3,563,174,0003,691,298,0003,292,454,0003,267,376,000
  其他0--0000
股东资金3,977,342,000-4.012%4,143,602,0004,091,298,0003,692,454,0003,667,376,000
非控股权益1,339,000-21.374%1,703,00012,567,0004,176,0004,949,000
其他0--0000
3,978,681,000-4.020%4,145,305,0004,103,865,0003,696,630,0003,672,325,000
承担及或然负债
承担----4,406,324,0004,185,708,00000
或然负债----0000
备注: 实时报价更新时间为03/06/2024 16:27
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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) ()HKD -45,696,000
增长率--
每股盈利/(亏损)HKD -0.009
每股账面资产净值 ($)HKD 1.259