North Huajin Chemical Industries Co.,Ltd

SZSE:000059.SZ

5.62 (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 70.3600.785937.189344.9821,048.9761,123.7351,941.1551,848.144362.531-1,582.885-161.98719.933842.002412.658196.106384.84240.189.314240.463140.0945.84-58.2063.933.807110.68823.312
Afschrijvingen & Amortisatie 1,549.3021,578.2551,388.7561,377.5531,481.351,366.5991,363.8961,305.0041,384.1751,445.7321,416.5891,313.0481,199.3231,008.093280.766281.0840241.197174.225154.664148.872146.633144.139149.084158.695156.182
Uitgestelde Inkomstenbelasting 00.343-11.158-17.67711.443-25.778-15.786-57.356-59.16500000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal -1,402.528-1,130.479-445.422149.624-821.657-1,163.986-1,505.079-763.2521,630.072-1,541.619-148.884-4,445.255357.03-705.177-119.344-34.3170-190.12216.997123.67725.857241.1754.8214.098-4.76-327.835
Vorderingen -491.21199.993-1,215.45880.221,455.871-879.373-478.213-1,203.791349.927-741.034845.451-34.58300000000000000
Voorraden -911.317-865.688-1,892.54619.936132.314-524.393-989.464-123.9622,532.61-577.4041,811.678-2,030.972-252.054-3,809.30730.31-22.5550-35.898-63.75342.747-3.917-24.44723.534-37.5965.485-7.333
Crediteuren 127.478-365.1262,694.857-532.856-2,421.285295.962-21.617621.856-1,193.29900000000000000000
Overig Werkkapitaal -127.4780.343-32.281-17.67711.443-639.593-515.615-639.29-902.538-964.214-1,960.562-2,414.283609.0843,104.13-149.654-11.7620-154.22380.7580.9329.774265.622-18.71451.694-10.245-320.502
Overige Niet-Contante Posten 753.168705.665924.237942.4781,014.8061,046.8041,165.031,833.9481,300.1791,314.232714.8771,008.79798.429765.765162.798187.172-240.1149.539-10.62783.767121.282118.94435.61436.318-29.232114.996
Kasstroom uit Operationele Activiteiten 970.2421,754.2262,804.7592,814.6372,723.4752,373.1522,965.0024,223.8444,676.956-364.5391,820.595-2,103.4853,196.7841,481.339520.326818.7790289.928421.058502.202301.851448.546188.502203.307235.392-33.345
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -317.914-205.21-364.487-326.477-218.356-392.022-525.672-973.434-775.962-480.711-1,314.735-1,171.984-1,273.385-406.801-5,928.244-4,546.78-81.399-159.973-1,005.761-550.951-314.325-403.169-153.77-56.938-35.415-42.979
Netto Overnames 0-75.588122.83241.066220.076152.8212.233-498.708-974.592000000-267.338-90.190000000.02300
Aankoop van Beleggingen -43.9575.588-122.832-41.066-100000.094-3,900000-220.433-120-201.949000-35.73000-3.7-1.3-0.7-0.8
Verkoop/verval van Beleggingen 5.212.4810.4105.9985.21,021.641194.484131.442315.013000000000030.15003.29500
Overige Investeringsactiviteiten 5.3111.5631.21218.332-218.356153.9312,457.768-444.767-2,975.62-480.711-1,314.735-1,171.98410.885.0024.48321.658.01-159.973-1,005.761-550.951-314.325-403.169-153.77-265.291.815-42.979
Kasstroom uit Investeringsactiviteiten -351.353-191.167-352.874-202.147-311.436783.552,126.58-1,785.372-4,411.161-480.711-1,314.735-1,171.984-1,483.018-441.799-6,125.71-4,792.468-163.579-159.973-1,041.491-547.951-314.175-403.169-157.47-320.211-34.301-43.779
Financieringsactiviteiten:
Schuldaflossingen -634-505.817-153.401-1,090.914-2,804.45-446.707-1,866.341-949.924-1,279.684368.976-959.6116,373.828-1,311.0431,414.2442,350.464,416.439290.308106.45-479.895.364131.33944.729-10.042-9.216-9.921-160.675
Uitgifte van Gewone Aandelen 00000000000000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000000
Uitgekeerde Dividenden -514.621-348.678-585.331-375.869-399.861-509.092-1,003.122-725.172-755.019-859.76-884.339-992.648-810.166-929.278-622.153-473.86-144.702-120.841-47.461-46.417-44.726-45.961-48.268-6.664-77.768-142.248
Overige Financieringsactiviteiten -80.389-77.89488.035-9.228-303.928138.2555.39165.586-52.1322,954.101-920.529-22.54630.1211,011.162-21.713-23.0223,707.988-3.1851,302.549-00011.755-00270.647
Kasstroom uit Financieringsactiviteiten -1,229.01-1,278.099-650.697-1,960.796-4,025.939-843.786-2,864.073-1,509.51-2,086.8352,601.644-1,880.145,358.634-2,101.087566.851,706.5943,919.5563,853.594-17.576775.28748.94886.613-1.232-46.555-15.88-87.689-32.276
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.8260.0240.821-0.50.2520-0-23.41845.52800-000000000-0001.0475.143.096
Netto Kasstroomverandering -610.947284.9841,802.01651.194-1,613.6482,312.9172,227.509905.544-1,775.5121,756.394-1,374.282,083.166-387.3221,606.39-3,898.79-54.1334,206.582112.378154.8543.19974.28844.146-15.523-131.737118.502-66.305
Kaspositie aan het Einde van de Periode 9,428.99410,039.9419,568.9467,766.9367,115.7428,640.8666,327.9494,100.4413,194.8974,400.4952,644.1014,018.381,930.6862,318.007688.5234,587.3134,641.446434.864322.486167.632164.43390.14545.99961.522193.25974.757