Sun Hung Kai Properties Limited (SUHJY) Balance Sheet Analysis - Assets, Liabilities & Financial Position - Stocknear

Sun Hung Kai Properties L...

OTC: SUHJY · Real-Time Price · USD
12.12
0.06 (0.50%)
At close: Oct 03, 2025, 3:58 PM
12.25
1.07%
After-hours: Oct 03, 2025, 03:47 PM EDT

Sun Hung Kai Properties Balance Sheet Statement

Financials in HKD. Fiscal year is July - June.
Fiscal Year FY 2025 FY 2024 FY 2023 FY 2022 FY 2021
Period Ending Jun 30, 2025 Jun 30, 2024 Jun 30, 2023 Jun 30, 2022 Jun 30, 2021
Cash & Equivalents
n/a 16.22B 14.32B 18.33B 21.65B
Short-Term Investments
17.74B 748M 1.57B 2.69B 1.51B
Long-Term Investments
105.88B 102.74B 103.47B 104.95B 104.84B
Other Long-Term Assets
420.77B 412.17B 1.54B 1.58B 5.51B
Receivables
3.25B 4.35B 4.33B 9.15B 3.17B
Inventory
197.87B 214.58B 212.14B 207.61B 201.3B
Other Current Assets
16.85B 12.81B 23.24B 11.86B 30.55B
Total Current Assets
235.71B 248.66B 242.78B 249.65B 242.83B
Property-Plant & Equipment
50.69B 50.19B 47.17B 44.95B 42.92B
Goodwill & Intangibles
3.84B 4.34B 5.23B 5.96B 4.4B
Total Long-Term Assets
581.18B 569.43B 155.59B 155.19B 151.9B
Total Assets
816.89B 818.09B 805.99B 807.57B 796.42B
Account Payables
2.48B 3.07B 3.26B 3.24B 2.71B
Deferred Revenue
n/a n/a 957M 658M 630M
Short-Term Debt
14.38B 10.5B 7.51B 15.86B 20.98B
Other Current Liabilities
53.23B 12.4B 41.27B 42.47B 48.15B
Total Current Liabilities
70.09B 62.01B 53.41B 62.38B 73.2B
Long-Term Debt
95.83B 116.59B 117.55B 109.08B 95.95B
Other Long-Term Liabilities
28.59B 2.82B 2.7B 2.81B 26.59B
Total Long-Term Liabilities
124.43B 145.01B 145.78B 138.45B 123.59B
Total Liabilities
194.52B 207.02B 199.19B 200.82B 196.79B
Total Debt
110.22B 129.65B 128.05B 126.77B 118.61B
Book Value
622.37B 611.07B 606.8B 606.74B 599.63B
Book Value Per Share
214.78 210.88 209.40 209.38 206.93
Common Stock
70.7B 70.7B 70.7B 70.7B 70.7B
Retained Earnings
n/a 544.53B 538.93B 529.02B 517.72B
Comprehensive Income
547.15B -8.52B -7.58B 2.22B 5.4B
Shareholders Equity
617.85B 606.72B 602.05B 601.95B 593.82B
Total Investments
123.62B 102.74B 105.04B 107.64B 106.36B