00563 上实城市开发
实时 按盘价 不变0.415 0.000 (0.000%)
最新  |  全年  |  中期
2023/06 - 中期
港元(千)
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20,679,03419,067,86819,314,72816,102,33712,746,876
物业、厂房、设备及其他2,087,6232,155,7802,469,9342,231,7652,106,886
租賃土地440,719470,150232,838----
无形资产78,89183,34485,13255,93958,100
联营公司及共同控制公司权益4,251,1024,799,8624,909,1823,496,9281,885,516
其他非流动资产435,804434,493546,0701,672,3531,556,277
27,973,17327,011,49727,557,88423,559,32218,353,655
流动资产
存货22,628,47222,454,47333,726,36727,492,50630,783,840
现金及银行结存6,131,3018,807,6859,039,3437,740,4499,950,728
其他流动资产1,735,8752,474,3541,491,4491,204,2511,798,817
持作出售资产00000
30,495,64833,736,51244,257,15936,437,20642,533,385
流动负债
其他流动负债21,872,87427,286,19627,069,23020,459,60219,720,717
持作出售资产相关负债00000
21,872,87427,286,19627,069,23020,459,60219,720,717
流动资产净值8,622,7746,450,31617,187,92915,977,60422,812,668
资产总额减流动负债36,595,94733,461,81344,745,81339,536,92641,166,323
非流动负债
17,261,98912,022,72319,089,57816,298,41517,468,185
资本及储备
  股本191,659192,253192,253192,253192,439
  储备13,280,37614,104,90814,197,93112,771,88312,985,567
  其他00000
股东资金13,472,03514,297,16114,390,18412,964,13613,178,006
非控股权益5,861,9237,141,92911,266,05110,274,37510,520,132
其他00000
19,333,95821,439,09025,656,23523,238,51123,698,138
承担及或然负债
承担----------
或然负债----------
备注: 实时报价更新时间为17/07/2024 17:59
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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 494,570
增长率21.569%
每股盈利/(亏损)HKD 0.103
每股账面资产净值 ($)HKD 2.924