HKT Trust and HKT Limited (FRA:4HK)
Germany flag Germany · Delayed Price · Currency is EUR
1.216
+0.007 (0.55%)
At close: Jan 27, 2026

HKT Trust and HKT Balance Sheet

Millions HKD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
1,4371,8501,6301,9972,4112,092
Short-Term Investments
503688443459832856
Cash & Short-Term Investments
1,9402,5382,0732,4563,2432,948
Cash Growth
16.38%22.43%-15.59%-24.27%10.01%-6.86%
Accounts Receivable
3,0313,3313,3713,9164,6833,950
Other Receivables
772-85
Receivables
3,0383,3383,3733,9164,6913,955
Inventory
1,5291,5039591,6071,218820
Prepaid Expenses
4,0001,032796989785826
Restricted Cash
169179211375187107
Other Current Assets
112,2952,0311,8171,0111,081
Total Current Assets
10,68710,8859,44311,16011,1359,737
Property, Plant & Equipment
30,92630,19429,26628,18327,33726,449
Long-Term Investments
1,8752,1091,1491,0841,077986
Goodwill
49,81349,79949,80649,80349,80949,816
Other Intangible Assets
20,92318,62817,59217,18216,37611,975
Long-Term Accounts Receivable
217261324285300354
Long-Term Deferred Tax Assets
738790895968758841
Long-Term Deferred Charges
2,1873,0522,9201,7551,6111,521
Other Long-Term Assets
1,1331,0957237751,2091,492
Total Assets
118,499116,813112,118111,195109,612103,171
Accounts Payable
11,26310,1418,1307,5497,2125,530
Accrued Expenses
6,4036,9916,3406,3044,5364,299
Short-Term Debt
1354,0161,1334,0041261,594
Current Portion of Long-Term Debt
--15198-21
Current Portion of Leases
9201,0281,0701,0491,0231,251
Current Income Taxes Payable
1,8511,8881,5761,9091,5231,001
Current Unearned Revenue
1,3801,4151,4501,4101,5131,423
Other Current Liabilities
298342279286270250
Total Current Liabilities
22,25025,82120,12922,60916,20315,369
Long-Term Debt
43,38437,42143,51840,11143,75640,847
Long-Term Leases
9768259799251,1621,458
Long-Term Unearned Revenue
9489739801,0311,1591,074
Long-Term Deferred Tax Liabilities
5,9475,7465,4985,0484,6744,253
Other Long-Term Liabilities
7,1146,3825,6325,0425,4612,270
Total Liabilities
80,61977,16876,73674,76672,41565,271
Common Stock
3.79883.793.793.79
Additional Paid-In Capital
7,8607,8607,86034,11034,06734,067
Retained Earnings
5,0766,4861,7512,4583,1203,741
Treasury Stock
-27-42-52-64-33-46
Comprehensive Income & Other
23,38623,97025,745-142.58-20.5868.43
Total Common Equity
36,29938,28235,31236,36537,13737,834
Minority Interest
1,5771,36370605662
Shareholders' Equity
37,88039,64535,38236,42937,19737,900
Total Liabilities & Equity
118,499116,813112,118111,195109,612103,171
Total Debt
45,41543,29046,85146,18746,06745,171
Net Cash (Debt)
-43,475-40,752-44,778-43,731-42,824-42,223
Net Cash Per Share
-5.74-5.38-5.91-5.77-5.65-5.57
Filing Date Shares Outstanding
7,5767,5807,5797,5797,5757,575
Total Common Shares Outstanding
7,5767,5807,5797,5797,5757,575
Working Capital
-11,563-14,936-10,686-11,449-5,068-5,632
Book Value Per Share
4.795.054.664.804.904.99
Tangible Book Value
-34,437-30,145-32,086-30,620-29,048-23,957
Tangible Book Value Per Share
-4.55-3.98-4.23-4.04-3.83-3.16
Buildings
-1,3531,3531,3531,3531,389
Machinery
-71,82971,16970,37068,69067,223
Construction In Progress
-2,9932,6832,3212,2962,094
Source: S&P Global Market Intelligence. Standard template. Financial Sources.