Shenyang Machine Tool Co., Ltd.

SZSE:000410.SZ

7.57 (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 29.18610.801-940.728-734.179-3,116.595-864.093108.353-1,437.442-639.87422.08434.34733.839110.082139.53752.60142.31873.331144.879121.31862.1888.8554.57516.97516.123.37171.612
Afschrijvingen & Amortisatie 98.32675.492266.982200.552453.161435.257471.396381.606334.049320.179295.881322.995300.224337.827247.178-174.60459.873139.221140.191181.532149.97111.5944.28649.09729.08426.673
Uitgestelde Inkomstenbelasting 021.9995.6934.25128.06736.794-83.646-69.659-128.56100000000000000000
Aandelen Gebaseerde Vergoedingen 0-21.999-5.693-4.251-28.067000000000000000000000
Verandering in Werkkapitaal 17.886-277.252-78.297-471.576,480.211-866.633-1,399.422-2,336.772-3,728.87-2,762.334-2,254.279-2,130.482-665.864-1,053.243-1,669.454-836.016-494.565-108.648-71.141-142.425-195.618-159.021-43.617-68.072-64.647-201.885
Vorderingen 259.089-162.569406.882-75.1452,500.035-36.0783,542.839-1,901.527-1,903.081-2,989.314-2,587.355-6,543.73800000000000000
Voorraden 8.77537.35-135.049-176.5994,949.032-650.088-1,037.807-1,695.991-1,188.313-906.752-579.021123.191-672.343-1,152.829372.29837.046-1,551.417-343.06-278.118-211.322-62.223-35.323-36.82-65.179-37.78493.015
Crediteuren -249.977-174.032-355.823-224.076-996.924-217.262-3,820.811,330.405-508.91500000000000000000
Overig Werkkapitaal 021.9995.6934.25128.067-216.546-361.616-640.781-2,540.557-1,855.581-1,675.258-2,253.6736.4899.586-2,041.753-873.0611,056.852234.412206.97768.897-133.395-123.698-6.797-2.893-26.863-294.9
Overige Niet-Contante Posten 2.652-67.062442.64997.01-3,854.4861,238.556-303.5951,456.9221,173.621776.974580.478498.593437.443316.695261.078190.632137.10668.728176.41156.271127.52135.70337.9257.61622.90221.107
Kasstroom uit Operationele Activiteiten 148.05-258.022-309.393-908.187-37.709-56.914-1,123.269-1,935.685-2,861.074-1,643.096-1,343.573-1,275.056181.885-259.184-1,108.597-777.67-224.255244.179366.779257.56690.72792.84755.5684.7410.709-82.494
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -30.056-68.877-12.861-4.115-21.457-82.48-328.474-494.805-30.887-308.543-81.759-201.869-213.157-469.03-568.585-297.89-74.204-332.943-178.944-24.426-41.312-88.776-81.223-115.715-67.621-277.602
Netto Overnames 36.825-0.01228.8524.8520.642116.4516,746.0370.0740.0630000-21.454007.023332.98601.60902.81501.8190.5730.431
Aankoop van Beleggingen 00.01-228.852-4.85-10.259-1.250-100000-10.740-6.3780-8.102-3.1530-2-14.02-4.50-12-23.03-24.872
Verkoop/verval van Beleggingen 0.0170.8890.4140.33910.5010.6110.8380000.120.700000.0190.4333.2240.10902.4531.3010.2880.350.153
Overige Investeringsactiviteiten 1-0.01228.8524.85157.207-82.486,746.0370.0740.0630.1190.1590.23525.41452.391-1101.21885.15-332.943243.518-27.1852.073-0.3380.711-0.526-0.0070.942
Kasstroom uit Investeringsactiviteiten 7.785-67.998216.4051.075156.634-49.1496,428.401-504.731-30.824-308.424-81.479-200.934-198.483-438.094-575.962-196.6729.885-335.6267.798-51.893-53.259-88.346-79.211-126.134-89.736-300.948
Financieringsactiviteiten:
Schuldaflossingen -303.845-629.888-245.793-317.488-177.814-1,339.779-2,433.1252,715.1933,349.0961,8971,823.1761,372.31,042.71,110.151,997.4621,168.5881,043.117529.248-115.03976.91769.25642.88740.177200.9235.964273.973
Uitgifte van Gewone Aandelen 00000000000000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000000
Uitgekeerde Dividenden -32.194-59.549-63.183-83.094-101.696-887.064-1,007.177-891.562-807.36-686.916-511.566-463.153-316.463-264.278-166.333-175.223-82.335-107.231-104.266-120.283-57.567-57.138-31.06-24.877-34.221-51.546
Overige Financieringsactiviteiten -14.8121,488.784-90-10.7912,031.97893.62-0244.502263.952222.0681,046.44-56.934-71.3190.8-107.231-7.417-597.36-232.078.18488.17528.14719.33234.851-6129.488139.071
Kasstroom uit Financieringsactiviteiten -350.852799.347-398.976-411.3731,752.468-2,133.222-3,440.3012,068.1332,805.6891,432.1522,358.05852.213654.918846.6721,842.284985.948254.922189.947-211.12144.80939.8365.08143.968115.04331.231361.498
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000-0.620-0.985-0.551-0.7750.397-1.4650.11400-000-00-0.035-000-0
Netto Kasstroomverandering -195.016473.328-491.964-1,318.4841,871.392-2,239.2851,864.211-372.282-87.194-519.919932.223-623.38636.855149.508157.72511.60640.55298.507223.456250.48277.3049.54620.326-6.351-47.795-21.944
Kaspositie aan het Einde van de Periode 371.625566.64193.314585.2781,903.76232.372,271.655407.444779.726866.921,386.839454.6161,077.996441.141287.35129.625742.491701.939603.432379.975129.49352.18942.64321.90330.21878.013