CK Hutchison Limited

OTC: CKHUF · Real-Time Price · USD
6.83
0.29 (4.43%)
At close: Aug 14, 2025, 2:42 PM

CK Hutchison Balance Sheet Statement

Financials in HKD. Fiscal year is January - December.
Fiscal Year Q4 2024 Q2 2024 Q4 2023 Q2 2023 Q4 2022 Q2 2022 Q4 2021 Q2 2021
Period Ending Dec 31, 2024 Jun 30, 2024 Dec 31, 2023 Jun 30, 2023 Dec 31, 2022 Jun 30, 2022 Dec 31, 2021 Jun 30, 2021
Cash & Equivalents
121.3B 131.6B 127.32B 128.74B 138.09B 112.31B 153.13B 182.13B
Short-Term Investments
n/a 38M n/a n/a 887M 938M 61M 56M
Long-Term Investments
n/a 312.26B 324.44B 323.62B 316.3B 313.49B 296.75B 302.74B
Other Long-Term Assets
322.41B 38.95B 11.19B -264.8B -266.7B -278.16B -288.31B -289.67B
Receivables
31.41B 18.65B 20.05B 19.05B 32.73B 34.17B 36.77B 35.76B
Inventory
24.92B 25.16B 24.47B 24.74B 23.28B 23.46B 23.63B 24.16B
Other Current Assets
644M 14.05B 14.18B 17.48B 7.2B 4.02B 1.55B 790M
Total Current Assets
192.19B 203.64B 202.39B 211.76B 224.28B 190.66B 234.49B 262.61B
Property-Plant & Equipment
169.37B 171.19B 181.02B 179.65B 171.99B 181.08B 207.95B 207.64B
Goodwill & Intangibles
410.44B 412.45B 418.8B 688.96B 684.06B 711.23B 741.46B 749.78B
Total Long-Term Assets
920.35B 934.85B 956.52B 947.07B 924.16B 947.12B 979.04B 993.01B
Total Assets
1,112.5B 1,138.5B 1,158.9B 1,158.8B 1,148.4B 1,137.8B 1,213.5B 1,255.6B
Account Payables
21.86B 21.82B 23.02B 21.78B 21.36B 23.5B 23.38B 25.23B
Deferred Revenue
n/a n/a 5.95B 6.59B 6.03B 5.83B 6.93B 6.66B
Short-Term Debt
33.18B 71.66B 58.76B 44.06B 70.6B 47.67B 66.93B 75.38B
Other Current Liabilities
41.33B 27.73B 30.66B 30.58B 36.43B 31.17B 34.38B 38.02B
Total Current Liabilities
130.99B 166.8B 162.53B 144.46B 176.51B 151.5B 181.41B 194.49B
Long-Term Debt
227.03B 209.82B 216.84B 242.29B 216.76B 240.59B 260.2B 277.65B
Other Long-Term Liabilities
31.58B 53.22B 39.67B 39.12B 39.19B 38.13B 53.7B 65.08B
Total Long-Term Liabilities
328.96B 314.73B 330.39B 356.57B 329.17B 353.64B 400.27B 430.64B
Total Liabilities
459.95B 481.53B 492.92B 501.03B 505.69B 505.14B 581.68B 625.13B
Total Debt
324.73B 345.59B 347.66B 358.96B 357.51B 363.61B 424.05B 453.11B
Common Stock
3.83B 3.83B 3.83B 3.83B 3.83B 3.83B 3.83B 3.85B
Retained Earnings
n/a 671.94B 669.17B 660.8B 657.44B 644.14B 631.18B 617.89B
Comprehensive Income
n/a -379.3B -369.11B -370.25B -377.26B -376.81B -366.61B -351.92B
Shareholders Equity
534.72B 539.44B 544.03B 537.35B 523.51B 514.33B 513.15B 513.73B
Total Investments
304.92B 312.3B 324.44B 323.62B 316.3B 313.49B 296.75B 302.74B