Zoomlion Heavy Industry Science and Technology Co., Ltd.

SZSE:000157.SZ

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

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

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Operationele Activiteiten:
Nettowinst 3,520.3783,770.9222,384.6386,386.0267,355.2394,275.1151,956.6311,247.983-904.80891.157627.8753,951.8817,528.9648,173.3424,587.9562,418.8221,593.7311,331.088482.268309.454378.963231.424155.004105.08752.866
Afschrijvingen & Amortisatie 1,006.6691,390.1321,153.1691,001.177904.883864.981836.545968.488985.166830.031645.815561.851501.337458.408414.307289.085145.96896.52692.08663.77950.19221.1713.5645.6694.022
Uitgestelde Inkomstenbelasting 00-305.726241.284-186.31830.79226.503-282.334-283.789-239.738000000000000000
Aandelen Gebaseerde Vergoedingen 0278.7090426.81000000000000000000000
Verandering in Werkkapitaal -3,765.785-3,837.974-2,802.348-5,766.25-2,236.784-328.2081,249.73909.243140.067-6,951.319-10,973.352-5,326.482-6,427.544-7,196.072-5,588.886-1,802.948-1,863.603-1,117.112-219.4444.959-277.333-309.305-149.906-72.131-42.228
Vorderingen 4,789.295-3,362.804-1,035.222-10,537.96-16,733.036-8,521.277-356.436-3,169.834-1,086.464,046.283-3,396.971-6,590.782-8,609.992000000000000
Voorraden 646.996-7,383.09-564.3071,148.447-2,963.227-2,420.959-848.271938.3581,078.528-3,238.449-1,696.1752,984.004-2,264.105-1,049.924-2,430.563-1,091.052-2,191.517-847.283-520.629-45.933-260.933-175.214-84.557-46.487-16.84
Crediteuren 07,322.003-897.0933,381.97917,645.79810,583.2362,427.9343,423.053431.788-7,519.415000000000000000
Overig Werkkapitaal -9,202.077-414.083-305.726241.284-186.31830.7922,098.001-29.115-938.461-3,712.87-9,277.177-8,310.487-4,163.439-6,146.147-3,158.323-711.895327.915-269.829301.18550.892-16.4-134.091-65.35-25.645-25.388
Overige Niet-Contante Posten 1,380.7941,110.7631,824.706335.6791,398.4161,407.4621,021.214-274.6261,948.1362,695.6362,009.531,549.5191,357.533657.5561,131.8428.342436.526149.41582.16884.53481.23424.31910.482-2.709-10.525
Kasstroom uit Operationele Activiteiten 2,142.0552,712.5522,424.6322,624.7267,421.7546,219.3495,064.1192,851.0862,168.56-3,334.495-7,690.133736.772,960.292,093.235545.1781,333.302312.622459.916437.077462.725233.055-32.39129.14435.9164.135
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -4,035.317-1,900.029-1,529.796-2,913.608-1,100.972-1,336.699-530.551-763.745-481.657-681.914-974.854-1,137.577-1,835.07-1,576.559-1,177.563-1,061.681-1,060.659-509.969-235.025-243.099-253.405-127.071-186.715-83.885-24.485
Netto Overnames 00-723.7851,444.87487.593-165.707010,427.664-159.59136.7-234.4622.11766.0833.50355.773-28.811-4,062.096-270.374262.53000083.9870
Aankoop van Beleggingen -1,543.132-7,201.377-13,932.134-24,828.638-15,148.786-19,728.022-38,506.85-6,618.239-1,250.401-1,000-2,134.293-22.294-257.11-7.42-45.296-17.01232.33590.734-12.225-2.3-34.374-7.72-49.524-22-2
Verkoop/verval van Beleggingen 1,886.3389,198.90316,554.65722,693.2416,494.20129,641.23631,556.52669.185410.9941,367.39348.96213.4176.520.1716.7988.0860.452212.20911.165000022.4060
Overige Investeringsactiviteiten 770.581-375.9198.4251,770.11353.4291,322.976-108.134522.699709.6472,670.447683.245-241.46-1,379.8849.731-773.24442.19-5.94-509.969-235.02511.6821.701-178.719-63.275-83.8850.001
Kasstroom uit Investeringsactiviteiten -2,921.529-278.402567.367-1,834.023785.4659,733.783-7,589.0093,637.564-771.0092,392.625-2,611.402-1,385.796-3,399.46-1,500.574-1,933.532-1,057.228-5,095.912-487.368-208.58-233.716-286.078-313.51-299.515-83.376-26.484
Financieringsactiviteiten:
Schuldaflossingen 3,969.456194.4352,750.77780.914-2,281.742-14,001.1316,906.179-3,570.989-3,717.11838.88410,579.6621,258.6717,222.52-2,392.21,933.053,868.6986,611.811221.808-697.502-979.776188.496348.551186.0340-15
Uitgifte van Gewone Aandelen 00001.577043.135388.07590.1021.61556.16-151.56516,341.44129.6951,047.040.35000032.850629.267
Terugkoop van Gewone Aandelen 0-1,084.787-1,556.2150-1.577-2,159.04000-127.604000000000000000
Uitgekeerde Dividenden -3,427.505-2,641.291-2,777.281-2,777.846-1,661.95-1,861.075-2,735.489-2,668.628-2,690.8-2,052.446-2,289.688-2,496.99-2,643.86-2,350.867-1,447.865-574.619-328.182-85.105-63.842-254.534-46.052-13.609-52.5-21.5-26.52
Overige Financieringsactiviteiten -1,221.271888.424-1,123.6126,092.6261,652.63219.226-68.305335.93328.12-701.238-17.947-1,516.599-122.8921,619.695-685.568-495.959-479.092-113.428828.188915.309-0006.015-0
Kasstroom uit Financieringsactiviteiten -679.321-2,643.219-2,494.4732,420.619-3,243.744-19,648.7874,102.385-5,904.777-6,379.79-2,042.4048,229.516-2,753.3034,511.92-3,274.9416,761.08-177.2437,103.70888.449110.406-84.747142.444334.943166.384-15.485587.748
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 8.36323.989103.163-107.28449.47814.5828.696-10.40170.15-12.392-101.983-24.2239.01-73.784-53.659-0.547-3.964-0.8970-00-00-00
Netto Kasstroomverandering -1,450.432-185.08600.6893,104.0375,012.953-3,681.0751,606.192573.473-4,912.088-2,996.666-2,174.002-3,426.5524,081.76-2,756.06415,319.06698.2832,316.45460.1338.903144.26289.421-10.959-103.987-62.946565.399
Kaspositie aan het Einde van de Periode 12,155.4213,605.85213,790.93213,190.24310,086.2065,073.2538,754.3287,148.1366,574.66311,486.75114,483.41716,657.41920,083.9716,002.20818,758.2723,465.1643,366.8821,050.427989.929651.026506.764417.343428.302532.289595.235