Public company info - AIA Group Ltd. , 01299.HK

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

AIA Group Ltd., 01299.HK - Balance Sheet 2023-12 2022-12 2021-12 2020-12 2019-12 2018-12 2017-11 2016-11 2015-11 2014-11 2013-11 2012-11 2011-11 2010-11 2009-11 2008-11 2007-11
Fixed Assets 4,058 2,844 2,744 2,722 2,865 6,027 5,578 5,042 4,238 1,925 1,608 1,447 1,255 1,261 570 549 542
Investments 100,335 234,290 277,960 276,712 238,812 186,752 176,862 151,648 139,220 138,940 121,447 111,672 51,079 45,898 37,837 30,068 33,538
Current Assets 170,807 23,857 18,187 16,115 13,584 10,405 9,531 7,736 7,365 7,299 7,282 6,882 49,029 48,446 41,043 31,113 43,868
Other Assets 11,119 42,057 40,983 30,572 28,871 26,622 23,720 20,648 18,935 18,755 17,065 14,438 13,098 12,260 11,209 10,279 10,244
Total Assets 286,319 303,048 339,874 326,121 284,132 229,806 215,691 185,074 169,758 166,919 147,402 134,439 114,461 107,865 90,659 72,009 88,192
Long Term Debt 11,800 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Long Term Liabilities 216,238 238,048 265,789 250,651 220,085 182,820 166,462 143,213 130,851 128,655 118,218 104,480 91,309 86,026 74,134 59,190 67,387
Current Liabilities 16,687 26,450 13,151 11,802 8,652 7,580 6,857 6,551 7,485 7,309 4,357 3,131 1,737 2,204 1,566 3,901 7,314
Share Capital 14,176 14,171 14,160 14,155 14,129 14,073 14,065 13,998 13,971 13,962 12,044 12,044 12,044 12,044 12,044 12,000 12,000
Reserves 26,935 23,925 46,307 49,045 40,818 24,933 27,929 20,986 17,148 16,844 12,638 14,653 9,269 7,511 2,864 -3,092 1,440
Equity 41,111 38,096 60,467 63,200 54,947 39,006 41,994 34,984 31,119 30,806 24,682 26,697 21,313 19,555 14,908 8,908 13,440
Currency U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar U.S. Dollar
Unit Million Million Million Million Million
Major Items
Inventory 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Cash On Hand 11,525 8,020 4,989 5,619 3,941 2,451 2,289 1,642 1,992 1,835 2,316 2,948 4,303 2,595 3,405 4,164 2,583
Short Term Debt 365 11,206 9,588 8,559 5,757 4,954 3,958 3,460 3,195 2,934 1,950 766 559 597 688 661 1,461
Total Debt 12,165 11,206 9,588 8,559 5,757 4,954 3,958 3,460 3,195 2,934 1,950 766 559 597 688 661 1,461
Auditor's Opinion 0 1 1 1 1 1 1 1 1 1 1 1 1 1 0 0 0

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