China Vanke Co., Ltd.

SZSE:000002.SZ

11.57 (CNY) • At close October 26, 2023
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) CNY.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operationele Activiteiten:
Nettowinst 20,455.55837,550.90938,069.52759,298.11655,131.61549,272.29537,208.38728,350.25525,949.43819,287.52418,297.5515,662.58811,599.6068,839.6116,430.0084,639.8695,317.5012,308.441,433.426912.654565.891398.048381.969311.177240.127202.093
Afschrijvingen & Amortisatie 9,080.7959,299.9628,063.326,984.9066,305.6022,921.9361,929.0381,148.632715.806548.904179.236182.621137.327116.807105.04494.169108.22851.67838.35237.53158.2540.04149.98816.947-10.81425.22
Uitgestelde Inkomstenbelasting -3,250-2,994.673-5,727.098-4,167.126-7,823.131-6,358.463-2,554.335-1,993.181-1,095.71900000000000000000
Aandelen Gebaseerde Vergoedingen 0000000002.57635.81488.23100000000000000
Verandering in Werkkapitaal -30,167.883-43,535.977-43,560.173-6,879.798-18,446.014-20,321.53446,031.05712,294.225-7,535.60924,826.084-16,540.458-12,140.759-8,328.437-6,383.9812,968.409-5,706.822-16,058.823-5,686.908-749.72644.687-2,213.092-339.974-1,595.318-252.07-178.376-405.853
Vorderingen 23,883.0344,432.582-12,747.893,636.9637,704.381-90,870.839-80,036.035-40,297.486-29,597.245-26,988.299-14,459.73-14,806.59300000000000000
Voorraden 234,157.963196,480.397-38,303.884-38,165.029-107,689.498-111,125.483-106,024.834-53,401.027-11,174.577-6,039.624-75,798.278-38,870.392-64,093.766-35,529.2331,556.571-12,401.019-32,392.688-7,856.661-2,414.225-1,576.469-2,664.457-1,237.39-1,300.035-957.333-262.684-635.948
Crediteuren -284,958.88-241,467.04113,218.69931,815.39489,362.235188,033.251234,646.262107,985.9234,331.93200000000000000000
Overig Werkkapitaal -3,250-2,981.915-5,727.098-4,167.126-7,823.13190,803.949152,055.89165,695.2523,638.96830,865.70759,257.8226,729.63355,765.32929,145.2521,411.8376,694.19716,333.8642,169.7541,664.4991,621.156451.364897.416-295.284705.26384.307230.095
Overige Niet-Contante Posten 7,793.854-564.4451,540.487-6,215.2022,695.6071,745.487-2,845.648-2,226.983-3,083.614-2,937.693-12.45821.508-19.071-335.182-250.109938.632195.378302.667121.38853.719110.56830.727-41.1889.994-8.15138.266
Kasstroom uit Operationele Activiteiten 3,912.3242,750.4494,113.16153,188.02245,686.8133,618.18382,322.83439,566.12916,046.02141,724.8191,923.8693,725.9583,389.4252,237.2559,253.351-34.152-10,437.716-3,024.121843.4391,048.59-1,478.384128.843-1,204.54986.04842.786-140.275
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -8,334.153-12,826.706-9,577.908-7,208.298-6,244.192-5,896.749-2,360.481-2,146.786-2,063.001-1,830.746-2,439.392-150.668-261.561-261.939-806.062-215.284-257.898-136.018-47.44-34.024-41.498-51.807-30.163-63.038-79.916-72.872
Netto Overnames -1,185.74-7,134.126-13,632.678560.715-6,044.821-16,698.211-18,124.54-14,227.02-4,918.0554,975.071-1,048.528-2,860.843-4,075.842-1,346.877-2,856.778-2,683.50870.716147.46857.62436.486014.7556.98467.68189.41179.808
Aankoop van Beleggingen -8,527.928-10,158.297-15,250.059-12,937.284-27,924.969-47,295.234-46,833.228-31,771.133-11,713.434-2,612.465-6,554.187-500.45-1,195.068-2,183.848-1,577.467-1,366.214-536.167-1,853.392-523.604-449.2180-8.6-86.949-28.996-33.25-5.995
Verkoop/verval van Beleggingen 10,569.64414,524.6666,813.0968,540.054,672.5496,009.024,618.7923,075.831,813.298375.6651,480.963179.176226.652650.224602.4821,116.739149.413426.139183.10221.911.2141.135460.28150.92951.23787.939
Overige Investeringsactiviteiten 2,862.5362,564.1935,366.76216,841.8856,914.699-3,483.26111,086.2241,680.058-4,066.289-4,394.897606.727879.333-346.749950.781447.165304.129-4,030.099-136.018-47.44-34.02433.11910.822-121.947-63.038-79.916-72.872
Kasstroom uit Investeringsactiviteiten -4,615.642-13,030.271-26,280.7865,797.067-28,626.735-67,364.436-51,613.233-43,389.05-20,947.481-3,487.371-7,954.417-2,453.452-5,652.568-2,191.659-4,190.661-2,844.137-4,604.035-1,551.821-377.757-458.87-7.165-33.695228.207-36.462-52.43316.009
Financieringsactiviteiten:
Schuldaflossingen -88,395.575-100,872.403-114,594.233-110,431.891-100,715.561-73,854.371-41,254.32-38,826.22-5,805.713-7,843.037-48,430.257-26,864.417-19,974.613-11,985.375-21,640.511-11,690.595-7,156.93-3,681.697-2,313.45-3,635.6-1,622-3,657.3-2,194-2,157.234-763.25-1,007.977
Uitgifte van Gewone Aandelen 015,775.07323,221.62211,885.7029,316.22919,491.29914,253.8239,735.254,296.0462,422.3853,183.5362,991.12401,979.021829.085472.93611,949.7695,501.691910.1102625.38500
Terugkoop van Gewone Aandelen -15,143.128-15,775.073-23,221.622-11,885.702-9,316.22999,194.33287,740.45467,375.29-2,024.663-3,199.38148,105.68642,917.286024,452.52819,774.79819,442.9746,510.8375,920.3492,542.4265,533.1793,102.14,1533,1601,227.61500
Uitgekeerde Dividenden -8,063.272-11,276.622-14,522.165-11,810.739-11,811.893-23,899.187-15,932.486-12,716.662-10,756.604-10,650.823-8,100.146-5,749.607-5,271.599-3,400.667-2,821.112-2,831.911-1,892.444-1,177.874-600.298-277.252-205.124-197.096-183.733-146.352-116.82-109.564
Overige Financieringsactiviteiten -16,958.901127,884.52118,342.592105,169.62893,052.77623,865.57610,457.4255,728.9921,871.6432,075.9893,183.5362,991.12426,053.0711,979.021829.085472.93611,949.7695,501.6919-47.436-8.747-21.681.707624.0241,073.8781,105.9
Kasstroom uit Financieringsactiviteiten -36,813.1643,438.919-23,103.767-32,504.26-33,338.2144,797.64855,264.89631,296.651-5,103.911-19,617.252-2,057.64616,285.509806.85813,024.53-3,028.6555,866.34121,361.00212,064.16-353.3221,573.8911,266.33286.924785.974173.438193.809-11.641
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 34.39557.114317.472-557.101348.623290.761-1,138.505268.66499.67328.974-27.881-51.903-26.53924.035-9.546-56.27-16.4416.4434.675-0.3970.598-0.0470.005-0.1110.2460.757
Netto Kasstroomverandering -37,482.093-6,283.789-44,953.9225,923.728-15,929.51211,342.15684,835.99227,742.394-9,905.69918,649.17-8,116.07517,506.112-1,482.82413,094.162,024.4892,931.7816,302.8097,494.66117.0352,163.215-218.621382.024-190.364222.913184.407-135.149
Kaspositie aan het Einde van de Periode 96,942.577134,424.67140,708.459185,662.38159,738.651175,668.164164,326.00779,490.01551,747.62161,653.3243,004.14951,120.22433,614.11235,096.93522,002.77519,978.28617,046.50510,743.6953,249.0353,132968.7851,187.406805.381995.745760.923576.516