Current, Quarterly or Annual Report by a Foreign Issuer — Form 6-K — SEA’34
Filing Table of Contents
Document/Exhibit Description Pages Size
1: 6-K Current, Quarterly or Annual Report by a Foreign HTML 52K
Issuer
2: EX-99.1 Miscellaneous Exhibit HTML 1.41M
9: R1 Cover Page HTML 59K
10: R2 Consolidated Income Statement HTML 134K
11: R3 Consolidated Statement of Comprehensive Income HTML 91K
12: R4 Consolidated Statement of Financial Position HTML 153K
13: R5 Consolidated Statement of Changes in Equity HTML 94K
14: R6 Consolidated Statement of Cash Flows HTML 153K
15: R7 Corporate information HTML 52K
16: R8 Statement of compliance HTML 47K
17: R9 Summary of significant accounting policies HTML 86K
18: R10 Use of estimates and judgments HTML 66K
19: R11 Segment reporting HTML 153K
20: R12 Acquisitions and disposals of subsidiaries HTML 108K
21: R13 Exceptional items HTML 64K
22: R14 Finance cost and income HTML 89K
23: R15 Income taxes HTML 111K
24: R16 Property, plant and equipment HTML 151K
25: R17 Goodwill HTML 127K
26: R18 Intangible assets HTML 211K
27: R19 Trade and other receivables HTML 125K
28: R20 Cash and cash equivalents and investment HTML 77K
securities
29: R21 Assets classified as held for sale, liabilities HTML 122K
associated with assets held for sale and
discontinued operations
30: R22 Investments in associates HTML 77K
31: R23 Inventories HTML 63K
32: R24 Changes in equity and earnings per share HTML 219K
33: R25 Interest-bearing loans and borrowings HTML 143K
34: R26 Share-based payments HTML 70K
35: R27 Trade and other payables HTML 76K
36: R28 Risks arising from financial instruments HTML 891K
37: R29 Collateral and contractual commitments for the HTML 56K
acquisition of property, plant and equipment,
loans to customers and other
38: R30 Contingencies HTML 100K
39: R31 Related parties HTML 47K
40: R32 Supplemental guarantor financial information HTML 1.03M
41: R33 Events after the balance sheet date HTML 82K
42: R34 Summary of significant accounting policies HTML 89K
(Policies)
43: R35 Summary of significant accounting policies HTML 72K
(Tables)
44: R36 Segment reporting (Tables) HTML 149K
45: R37 Acquisitions and disposals of subsidiaries HTML 107K
(Tables)
46: R38 Exceptional items (Tables) HTML 58K
47: R39 Finance cost and income (Tables) HTML 86K
48: R40 Income taxes (Tables) HTML 111K
49: R41 Property, plant and equipment (Tables) HTML 148K
50: R42 Goodwill (Tables) HTML 109K
51: R43 Intangible assets (Tables) HTML 206K
52: R44 Trade and other receivables (Tables) HTML 126K
53: R45 Cash and cash equivalents and investment HTML 76K
securities (Tables)
54: R46 Assets classified as held for sale, liabilities HTML 126K
associated with assets held for sale and
discontinued operations (Tables)
55: R47 Investments in associates (Tables) HTML 75K
56: R48 Inventories (Tables) HTML 61K
57: R49 Changes in equity and earnings per share (Tables) HTML 212K
58: R50 Interest-bearing loans and borrowings (Tables) HTML 144K
59: R51 Trade and other payables (Tables) HTML 75K
60: R52 Risks arising from financial instruments (Tables) HTML 881K
61: R53 Contingencies (Tables) HTML 56K
62: R54 Supplemental guarantor financial information HTML 999K
(Tables)
63: R55 Events after the balance sheet date (Tables) HTML 82K
64: R56 Corporate Information - Additional Information HTML 62K
(Detail)
65: R57 Summary of Significant Accounting Policies - HTML 53K
Additional Information (Detail)
66: R58 Summary of Significant Accounting Policies - HTML 75K
Summary of Exchange Rates (Detail)
67: R59 Use of Estimates and Judgments - Additional HTML 73K
Information (Detail)
68: R60 Segment Reporting - Additional Information HTML 65K
(Detail)
69: R61 Segment Reporting - Summary of Segment Reporting HTML 133K
(Detail)
70: R62 Acquisitions and Disposals of Subsidiaries - HTML 119K
Summary of Impact of Acquisitions and Disposals on
Consolidated Statements (Detail)
71: R63 Exceptional items - Summary of Exceptional Items HTML 57K
Included in Income Statement (Detail)
72: R64 Exceptional Items - Additional Information HTML 66K
(Detail)
73: R65 Finance Cost and Income - Summary of Finance Costs HTML 70K
Included in Income Statement (Detail)
74: R66 Finance Cost and Income - Additional Information HTML 72K
(Detail)
75: R67 Finance Cost and Income - Summary of Finance HTML 62K
Income Included in Income Statement (Detail)
76: R68 Income Taxes - Summary of Income Taxes (Detail) HTML 56K
77: R69 Income Taxes - Summary of Reconciliation of HTML 108K
Effective Tax Rate with Aggregated Weighted
Nominal Tax Rate (Detail)
78: R70 Income Taxes - Additional Information (Detail) HTML 51K
79: R71 Property, Plant and Equipment -Summary of HTML 52K
Property, Plant and Equipment owned and Leased
assets (Detail)
80: R72 Property, Plant and Equipment - Detailed HTML 111K
Information About Property, Plant and Equipment
(Detail)
81: R73 Property, Plant and Equipment - Additional HTML 84K
Information (Detail)
82: R74 Property, Plant and Equipment - Summary of HTML 55K
Property, Plant and Equipment Leased (Right- Of-
Use Assets) (Detail)
83: R75 Goodwill - Reconciliation of Goodwill (Detail) HTML 71K
84: R76 Goodwill - Additional Information (Detail) HTML 88K
85: R77 Goodwill - Summary of Weighted Average Cost of HTML 69K
Capital (Detail)
86: R78 Goodwill - Summary of Carrying Amount of Goodwill HTML 75K
Allocated to Different Cash-generating Units
(Detail)
87: R79 Intangible Assets - Summary of Intangible Assets HTML 107K
(Detail)
88: R80 Intangible Assets - Additional Information HTML 51K
(Detail)
89: R81 Trade and Other Receivables - Schedule of HTML 55K
Non-Current Trade and Other Receivables (Detail)
90: R82 Trade and Other Receivables - Schedule of Current HTML 60K
Trade and Other Receivables (Detail)
91: R83 Trade and Other Receivables - Schedule of Trade HTML 74K
Receivables and Other Receivables (Detail)
92: R84 Trade and Other Receivables - Additional HTML 48K
Information (Detail)
93: R85 Cash and cash equivalents and investment HTML 60K
securities - Summary of Cash and Cash Equivalents
and Investments in Short-Term Debt Securities
(Detail)
94: R86 Cash and cash equivalents and investment HTML 57K
securities - Additional Information (Detail)
95: R87 Cash and cash equivalents and investment HTML 54K
securities - Summary of Investments in Short-Term
Debt Securities (Detail)
96: R88 Assets Classified as Held for Sale, Liabilities HTML 54K
Associated With Assets Held for Sale and
Discontinued Operations - Schedule of Assets Held
for Sale (Detail)
97: R89 Assets Classified as Held for Sale, Liabilities HTML 53K
Associated With Assets Held for Sale and
Discontinued Operations - Summary of Liabilities
Associated With Assets Held for Sale (Detail)
98: R90 Assets Classified as Held for Sale, Liabilities HTML 65K
Associated With Assets Held for Sale and
Discontinued Operations - Additional Information
(Detail)
99: R91 Assets classified as held for sale, liabilities HTML 69K
associated with assets held for sale and
discontinued operations - Asset And liabilities
Held For Sale (Detail)
100: R92 Assets classified as held for sale, liabilities HTML 60K
associated with assets held for sale and
discontinued operations - Results From
Discontinued Operations (Detail)
101: R93 Assets classified as held for sale, liabilities HTML 58K
associated with assets held for sale and
discontinued operations - Cash Flow From
Discontinued Operations (Detail)
102: R94 Investments in Associates - Summarized Financial HTML 63K
Information to Carrying Amount of Company's
Interests in Material Associates (Detail)
103: R95 Investments in Associates - Additional Information HTML 48K
(Detail)
104: R96 Inventories - Summary of Inventories (Detail) HTML 63K
105: R97 Inventories - Additional Information (Detail) HTML 50K
106: R98 Changes in Equity and Earnings per Share - Summary HTML 75K
of Changes in Issued Capital and Treasury Shares
(Detail)
107: R99 Changes in Equity and Earnings per Share - HTML 106K
Additional Information (Detail)
108: R100 Changes in Equity and Earnings Per Share - Summary HTML 88K
of Changes in Other Comprehensive Income Reserves
(Detail)
109: R101 Changes in Equity and Earnings Per Share - Summary HTML 82K
of Weighted Average Number of Ordinary and
Restricted Shares (Detail)
110: R102 Changes in Equity and Earnings Per Share - Summary HTML 82K
of EPS (Detail)
111: R103 Interest-Bearing Loans and Borrowings - Summary of HTML 77K
Interest-bearing Loans and Borrowings (Detail)
112: R104 Interest-Bearing Loans and Borrowings - Additional HTML 74K
Information (Detail)
113: R105 Interest-Bearing Loans and Borrowings - Summary of HTML 78K
Series of Bonds (Detail)
114: R106 Interest-Bearing Loans and Borrowings - Summary of HTML 64K
Reconciliation of Net Debt (Detail)
115: R107 Interest-Bearing Loans and Borrowings - Summary of HTML 73K
Changes in the Company's Liabilities Arising from
Financing Activities (Detail)
116: R108 Share-Based Payments - Additional Information HTML 62K
(Detail)
117: R109 Share-Based Payments - LTI Stock Option Plan HTML 88K
Executives - Additional Information (Detail)
118: R110 Share-Based Payments - Performance Related HTML 51K
Incentive Plan For Disruptive Growth Function -
Additional Information (Detail)
119: R111 Share-Based Payments - Other Programs - Additional HTML 52K
Information (Detail)
120: R112 Share-Based Payments - Ambev Share-Based Payment HTML 56K
Programs - Additional Information (Detail)
121: R113 Share-Based Payments - Bud Weiser Apac Share-Based HTML 66K
Compensation Program (Detail)
122: R114 Trade and Other Payables - Summary of Trade and HTML 75K
Other Payables (Detail)
123: R115 Trade and Other Payables - Additional Information HTML 49K
(Detail)
124: R116 Risks Arising From Financial Instruments - HTML 86K
Disclosure of Financial Assets (Detail)
125: R117 Risks Arising From Financial Instruments - HTML 102K
Disclosure of Financial Liabilities (Detail)
126: R118 Risks Arising from Financial Instruments - Summary HTML 105K
of Notional Amounts of Derivatives Outstanding at
Year-end by Maturity Bucket (Detail)
127: R119 Risks Arising from Financial Instruments - Summary HTML 114K
of Foreign Exchange Risk on Operating Activities
(Detail)
128: R120 Risks Arising from Financial Instruments - Summary HTML 130K
of Currency Transactional Risk (Detail)
129: R121 Risks Arising From Financial Instruments - HTML 125K
Additional Information (Detail)
130: R122 Risks Arising from Financial Instruments - Summary HTML 106K
of Effective Interest Rates at Balance Sheet
(Detail)
131: R123 Risks Arising from Financial Instruments - Summary HTML 64K
of Floating Rate Debt after Hedging (Detail)
132: R124 Risks arising from Financial instruments - HTML 64K
Schedule of Commodity Derivatives Outstanding
(Detail)
133: R125 Risks Arising from Financial Instruments - Summary HTML 70K
of Estimated Impact on Changes in the Price of
Commodities (Detail)
134: R126 Risks Arising from Financial Instruments - Summary HTML 82K
of Carrying Amount of Financial Assets (Detail)
135: R127 Risks Arising from Financial Instruments - Summary HTML 66K
of Allowance for Impairment (Detail)
136: R128 Risks Arising from Financial Instruments - Summary HTML 125K
of Nominal Contractual Maturities of
Non-Derivative Financial Liabilities (Detail)
137: R129 Risks Arising from Financial Instruments - Summary HTML 94K
for Each Type of Derivative Fair Value Recognized
as Assets and Liabilities (Detail)
138: R130 Risks Arising from Financial Instruments - Summary HTML 66K
of Carrying Amount of Fixed Rate Interest-Bearing
Financial Liabilities and Fair Value (Detail)
139: R131 Risks Arising from Financial Instruments - HTML 86K
Analysis of Financial Instruments (Detail)
140: R132 Risks Arising from Financial Instruments - Summary HTML 59K
of Offsetting Financial Assets and Liabilities
(Detail)
141: R133 Collateral and Contractual Commitments for the HTML 63K
Acquisition of Property, Plant and Equipment,
Loans to Customers and Other - Additional
Information (Detail)
142: R134 Contingencies - Summary of Ab Inbev's Material Tax HTML 54K
Proceedings Related to Ambev and Its Subsidiaries
(Detail)
143: R135 Contingencies - Additional Information (Detail) HTML 141K
144: R136 Supplemental Guarantor Financial Information - HTML 319K
Additional Information (Detail)
145: R137 Supplemental Guarantor Financial Information - HTML 168K
Schedule of Condensed Consolidated Income
Statement (Detail)
146: R138 Supplemental Guarantor Financial Information - HTML 228K
Schedule of Condensed Consolidated Statement of
Financial Position (Detail)
147: R139 Supplemental Guarantor Financial Information - HTML 240K
Schedule of Condensed Consolidated Statement of
Cash Flows (Detail)
148: R140 Events After the Balance Sheet Date - Additional HTML 48K
Information (Detail)
149: R141 Events after the balance sheet date - Summary of HTML 85K
principal amount accepted in the tender offers
(Detail)
150: R142 Events after the balance sheet date - Summary of HTML 75K
exercising option to redeem outstanding principal
amount (Detail)
152: XML IDEA XML File -- Filing Summary XML 309K
151: EXCEL IDEA Workbook of Financial Reports XLSX 252K
3: EX-101.INS XBRL Instance -- bud-20200630 XML 11.83M
5: EX-101.CAL XBRL Calculations -- bud-20200630_cal XML 237K
6: EX-101.DEF XBRL Definitions -- bud-20200630_def XML 2.15M
7: EX-101.LAB XBRL Labels -- bud-20200630_lab XML 3.07M
8: EX-101.PRE XBRL Presentations -- bud-20200630_pre XML 2.62M
4: EX-101.SCH XBRL Schema -- bud-20200630 XSD 631K
153: ZIP XBRL Zipped Folder -- 0001193125-20-209350-xbrl Zip 567K
‘EXCEL’ — IDEA Workbook of Financial Reports
This is an IDEA Workbook.
1 Subsequent Filing that References this Filing
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