Weichai Power Co., Ltd.

SZSE:000338.SZ

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Operationele Activiteiten:
Nettowinst 9,013.8945,682.69111,561.8911,274.8411,907.00711,625.7349,178.3673,596.2542,162.6745,784.4963,817.6363,234.2676,319.9967,999.1043,947.512,411.822,798.081746.241306.506536.87273.937
Afschrijvingen & Amortisatie 11,989.18311,064.70110,537.3178,786.6818,007.5427,336.7477,272.7345,939.6255,280.1613,758.1331,960.1761,479.1371,378.3491,201.543868.852793.568624.708269.492188.655132.48836.919
Uitgestelde Inkomstenbelasting -1,366.514-581.735-272.468-1,397.589-661.147-740.396-1,732.823-389.963-166.308000000000000
Aandelen Gebaseerde Vergoedingen 173.596-161.301277.4276.547.0487.5417.31995.25189.1595.53300000000000
Verandering in Werkkapitaal 1,340.242-20,324.386-8,767.0871,113.8582,602.6982,332.289-2,791.67-3,069.484-1,978.3052,464.055-1,075.183-2,917.114-733.668868.356-329.952514.16-1,647.738689.297-485.659521.205643.633
Vorderingen -3,312.92-9,925.836-1,867.274-6,381.017-6,418.084-306.078-15,139.701-11,326.3315,518.89521.77-5,181.247648.635000000000
Voorraden -5,375.5111,556.726-873.081-6,082.067-4,285.01-1,347.53-4,300.721-3,344.03600.066672.052-1,204.0382,691.795-1,634.822-3,205.704-15.064-1,788.193-1,540.089-248.137-211.496-170.287-65.931
Crediteuren 10,028.673-11,373.54-1,076.69815,018.35313,966.9394,726.29218,566.35711,990.84-7,930.953000000000000
Overig Werkkapitaal -17.173-581.735-4,950.035-1,441.41-661.1473,679.8181,509.051274.546-2,578.3711,792.003128.855-5,608.909901.1544,074.059-314.8882,302.354-107.649937.434-274.162691.492709.564
Overige Niet-Contante Posten 29,671.4951,968.1431,320.4813,143.8251,971.546966.8592,598.9011,784.0391,309.371-834.9561,065.782959.879-1,011.996-1,366.338-2,047.116-1,844.651527.953-59.1219.66622.51328.811
Kasstroom uit Operationele Activiteiten 28,010.177-2,349.49814,657.55922,928.15623,834.69322,261.62916,258.3328,250.4336,773.90211,171.7285,768.4112,756.1695,952.6818,702.6642,439.2941,874.8972,303.0031,645.9119.1681,213.077983.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -7,199.787-6,635.161-6,011.074-5,765.623-5,393.918-3,683.603-2,541.67-4,459.7-4,345.337-3,309.696-1,468.38-2,218.845-3,421.105-1,812.629-1,347.03-1,682.832-1,415.392-876.689-679.749-832.713-358.428
Netto Overnames -417.36451.442-476.221-938.59-875.56495.863-53.54-15,514.67-429.19237.1153.989-1,710.867-140.65940.9710.9734.71472.677-0000
Aankoop van Beleggingen -40,100.208-39,403.774-31,822.929-28,513.875-21,094.588-15,814.013-6,457.132-2,328.923-383.291-1,153.789-3,282.213-4,454.745-167.163-435.305-9.916-270.129-49.48-684.75-560.25-200
Verkoop/verval van Beleggingen 40,844.32935,287.94632,666.30225,291.48118,879.39312,185.0153,847.5141,720.421354.278589.985465.464348.39649.22595.6753.53617.5738.642.633000
Overige Investeringsactiviteiten -140.3011,754.36235.343509.73593.82235.775167.593952.375688.5611,706.625291.33344.25939.382103.912.214-9.163.6631,078.590.0010.0115.197
Kasstroom uit Investeringsactiviteiten -7,013.327-8,545.187-5,408.579-9,416.871-8,390.855-7,180.964-5,037.234-19,630.496-4,114.98-2,129.76-3,989.808-7,991.801-3,640.319-2,007.387-1,340.223-1,939.834-1,379.893-480.216-1,239.999-852.702-353.231
Financieringsactiviteiten:
Schuldaflossingen -8,492.07-20,027.235-13,161.861-43,093.891-34,858.451-18,798.296-10,025.067-25,930.018-13,095.798-8,302.541-1,959.329-2,550.992-1,375.771-2,519.428-4,691.453-4,399.438-3,065.696-160-68.446-151.72-151.72
Uitgifte van Gewone Aandelen 01,036.0220000000067.91000000060.900
Terugkoop van Gewone Aandelen 0-1,036.022000-527.598-34.14600000000000253.34100
Uitgekeerde Dividenden -4,753.305-4,394.323-5,059.766-2,269.088-3,411.566-4,193.098-3,048.202-1,858.31-1,470.41-1,276.298-1,077.08-614.538-867.073-553.214-342.008-333.304-289.369-130.023-112.232-72.56-28.427
Overige Financieringsactiviteiten 953.28529,273.60420,508.18243,094.26231,360.55116,011.0986,509.67639,529.92512,390.5924,511.916-187.5879,210.9684,158.9761,613.5234,443.7115,439.2413,015.046176.49160.91,241.758143.872
Kasstroom uit Financieringsactiviteiten -12,292.094,852.0463,123.459-2,985.86-7,567.23-6,980.295-6,597.73911,741.597-2,175.616-5,066.923694.6616,045.4391,916.132-1,459.118-589.75706.499-340.019-113.531194.4641,017.478-36.275
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 154.475177.437-111.444-76.95729.03824.97932.39982.6436.342-77.36824.526-28.015-13.787-2.5643.378-1.016-1.3210.211-0.631.0150
Netto Kasstroomverandering 22,015.178-5,865.20312,260.99510,448.4687,905.6478,125.3484,655.758444.174519.6483,897.6772,497.79781.7914,214.7075,233.595512.699640.546581.7711,052.374-1,026.9971,378.867593.794
Kaspositie aan het Einde van de Periode 92,856.86962,761.07865,134.03452,734.05342,285.58534,379.93826,254.5921,598.83221,014.26620,494.61816,596.94114,099.15113,317.369,102.6543,869.0583,356.3592,715.8132,134.0421,081.6682,108.665729.797