Public company info - Lippo Ltd. , 00226.HK

Input the stock code or the company name     Search  
 
 Profile   Information   Data   Financial Ratios   Profit Loss   Cash Flow   Balance   Earnings   Dividend 

Lippo Ltd., 00226.HK - Balance Sheet 2022-12 2021-12 2020-12 2020-03 2019-03 2018-03 2017-03 2016-03 2015-03 2014-03 2013-03 2011-12 2010-12 2009-12 2008-12 2007-12 2006-12 2005-12
Fixed Assets 1,244 1,300 1,314 1,292 2,015 1,953 1,702 1,668 1,894 2,712 5,122 4,959 4,581 4,629 4,423 4,386 4,434 4,052
Investments 12,894 13,486 12,740 12,685 12,437 12,334 10,480 9,957 8,888 8,944 9,629 9,884 8,992 4,574 4,846 5,362 3,368 1,487
Current Assets 1,412 1,770 2,230 2,144 4,024 5,010 6,020 5,564 8,088 7,556 8,714 4,457 3,405 2,729 3,126 3,132 3,347 3,667
Other Assets 42 40 39 37 222 264 282 310 687 727 867 113 111 106 152 123 94 244
Total Assets 15,592 16,597 16,324 16,158 18,698 19,562 18,484 17,499 19,557 19,940 24,332 19,413 17,089 12,038 12,546 13,003 11,242 9,450
Long Term Debt 1,097 1,494 1,305 1,117 1,439 1,759 478 887 487 133 2,329 2,294 1,471 1,805 1,555 1,332 1,851 962
Other Long Term Liabilities 43 53 57 52 91 104 91 110 135 250 892 564 491 684 600 592 3,658 3,744
Current Liabilities 1,235 912 1,322 1,460 1,957 2,521 3,701 2,002 3,840 4,074 5,255 2,129 1,853 1,505 2,300 2,700 1,993 1,374
Share Capital 987 987 987 987 987 987 987 987 987 987 49 50 50 50 53 43 43 43
Reserves 8,313 8,961 8,615 8,522 9,223 9,346 8,057 8,174 8,499 7,645 8,799 8,448 7,732 4,651 4,637 4,747 3,697 3,326
Equity 9,300 9,948 9,601 9,508 10,210 10,333 9,043 9,160 9,486 8,631 8,849 8,498 7,782 4,701 4,690 4,790 3,740 3,370
Currency Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar Hong Kong Dollar
Unit Million Million Million Million Million Million Million
Major Items
Inventory 117 118 117 122 127 425 365 655 1,812 1,654 2,961 1,544 1,026 37 599 526 394 196
Cash On Hand 869 1,033 1,332 1,293 2,960 1,942 3,072 2,961 4,537 4,299 3,669 1,552 979 1,313 1,468 748 1,509 1,747
Short Term Debt 867 492 797 962 1,289 722 1,540 402 1,310 1,207 653 291 589 211 699 932 760 251
Total Debt 1,964 1,986 2,101 2,080 2,728 2,481 2,018 1,289 1,797 1,341 2,982 2,585 2,060 2,016 2,254 2,264 2,611 1,213
Auditor's Opinion 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1

Notes:1–Unqualified; 2–Unqualified ( not qualified in respect of fundamental uncertainly because of proper disclosure); 3–Qualified

 

88iv | Home |  Login
Mobile | Full
Forum rule | About Us | Contact Info | Terms & Conditions | Privacy Statment | Disclaimer
Copyright (C) 2024
Suntek Computer Systems Limited.
All rights reserved