CK Hutchison Holdings

0001 · HKEX · HKD

67,25 $Variación respecto al cierre anterior: −2,04 %Variación absoluta: −1,40 $

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
−0,47 %
2025 frente a 2024
Crecimiento del beneficio neto
−30,71 %
2025 frente a 2024
Margen neto
4,2 %
2024: 6,1 %

Datos financieros

Importes en millones de HKD; valores por acción en HKD; acciones en millones.

Balance · Trimestral
PartidaT2 2026T4 2025T2 2025T4 2024T2 2024T4 2023T2 2023T4 2022T2 2022T4 2021
Activo total1.154.2591.155.6731.137.5861.112.5421.138.4871.158.9031.158.8341.148.4371.137.7701.213.526
Activo corriente288.884212.743198.735192.193203.639202.386211.764224.275190.655234.489
Efectivo y equivalentes179.343143.748129.613121.303131.599127.323128.740138.085112.315153.133
Cuentas por cobrar30.46829.55229.22431.51731.84233.66636.35532.72534.16636.766
Existencias27.91026.68827.22824.92325.16224.47324.74223.28323.46123.625
Inmovilizado material neto154.482159.240156.946169.366171.190181.024179.646171.987181.082207.951
Fondo de comercio272.953274.553273.906267.325268.714271.136270.548268.008282.543289.340
Otros activos intangibles123.287125.852126.642143.110143.735147.660147.861144.383146.144159.004
Inversiones a largo plazo297.519365.838363.441304.009312.260316.233316.307306.041307.007289.664
Pasivo corriente129.019135.399117.590130.985166.797162.525144.457176.515151.498181.413
Proveedores23.77022.63222.60221.86121.81723.01721.77621.35623.49523.382
Deuda a largo plazo219.070229.708239.866227.033209.824216.843242.289216.763240.596260.729
Deuda total316.987334.611327.403———————
Pasivo total444.871467.281461.721459.950481.527488.354496.548501.128500.653569.271
Patrimonio neto (incl. minoritarios)709.388688.392675.865652.592656.960670.549662.286647.309637.117644.255
Reservas660.224639.856630.444636.053671.941629.309660.797657.443644.143631.181
Intereses minoritarios130.909125.620121.075117.877117.519121.948120.455119.235118.303118.689