Bohai Leasing Co., Ltd.

SZSE:000415.SZ

2.4 (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 1,281.291-2,370.445-1,128.954-8,595.523,322.9462,664.2753,156.1262,841.2091,788.2361,178.6441,333.844630.821367.2112.095-85.44-89.08613.14910.8885.15610.53-98.2440.49129.89845.87670.11136.568
Afschrijvingen & Amortisatie 10,060.1279,613.1329,549.8310,863.769,448.9968,907.9568,766.2514,951.5662,305.0261,521.8411,504.784346.8980.14918.6719.48718.6719.4755.92715.18535.23222.26412.7217.2157.0165.4550
Uitgestelde Inkomstenbelasting 510.338287.129-256.974-1,865.531339.617-56.1773.63834.56264.81500000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal 2,348.268883.112-2,488.96-5,803.378-1,557.083-1,833.79814.6161,525.009398.305326.206266.998-291.14362.58612.013238.082-79.8260.1321.37334.19-11.01-46.585-166.6232.954-232.637-58.9690
Vorderingen 739.4484.053-649.433-3,643.038-489.158-584.41-43,855.597303.073-41.126-57.671305.839566.61600000000000000
Voorraden -129.104-29.015-10.6311.868-4.244-8.470.585-0.8211.603-1.841-0.87800-35.705-51.594-78.524-41.894012.8822.6983.677-32.3493.438-160.3330.4380
Crediteuren 1,737.924620.945-1,571.923-306.677-1,403.298-1,184.74843,795.991,188.195373.01300000000000000000
Overig Werkkapitaal 2,248.262287.129-256.974-1,865.531339.617-1,825.32814.0311,525.83396.702328.047267.8760047.718289.676-1.30342.024021.308-13.708-50.262-134.27129.517-72.305-59.4080
Overige Niet-Contante Posten 29,242.22412,886.53210,160.27117,981.8298,660.77710,696.4199,086.2374,626.82,522.5851,708.0211,514.097497.01572.6243.56446.37786.3339.04690.98921.92628.54115.43814.1137.0351.834-3.443-36.568
Kasstroom uit Operationele Activiteiten 25,670.26221,012.33116,092.18714,446.69119,875.63620,434.85221,023.2313,944.5847,014.1524,734.7124,619.7231,183.593802.56936.342218.506-63.9141.799129.17776.45763.292-7.128-139.29677.102-177.9113.1540
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -16,660.371-15,430.892-24,612.52-15,227.237-21,270.956-18,017.641-42,513.595-61,428.925-32,894.447-18,427.754-15,936.988-11,031.522-6,136.677-15.938-43.191-57.614-69.274-75.611-43.091-112.66-189.946-84.637-101.803-25.713-9.86-16.355
Netto Overnames 8,041.0639,364.5745,983.6855,826.951750.04214,639.002-66,751.35-12,453.414-6,649.263-981.703-3,330.903-1,615.8796,136.67744.08707639.55675.78930.073190.0460.031101.80326.21310.1140.047
Aankoop van Beleggingen 0-9,364.574-182.411-73.379-0.457-256.722-42.642-3,863.456-651.49400-94.178-298.28300-0.15-7-35.48-110.705-19.7-3.837-93.728-15-71.067-119-150.143
Verkoop/verval van Beleggingen 2,494.4622.19356.234121.235323.42,669.5729.8961,762.236.644003,333.732877.8720020.57824.701113.904118.47162.60731.97113.66665.50425.2542.67128.102
Overige Investeringsactiviteiten -229.1526,417.975-5,065.2673,472.3277,140.6043,085.69224,186.35220,398.81510,970.0086,811.0724,329.876151.862-6,136.6770.310.782-5.0140.478-75.611-0.457-9.013-189.946-17.942-101.803-25.713-9.8621.454
Kasstroom uit Investeringsactiviteiten -6,353.998-9,010.724-23,820.279-5,880.103-13,057.3672,119.901-85,091.339-55,584.75-29,218.552-12,598.385-14,938.015-9,255.986-5,557.08728.46-42.4133.8-11.5382.99-32.78321.307-161.712-82.61-51.299-71.03-85.936-116.895
Financieringsactiviteiten:
Schuldaflossingen -9,667.39-5,930.806-29,881.768-67,771.201-52,044.226-104,931.962-97,515.013-63,958.404-31,695.623-21,417.669-12,816.806-2,444.665-763.486-101.5-239.5-280.105-249.76-337.7-198-312.327-251-222-322.3-126-115-30
Uitgifte van Gewone Aandelen 000059.907000000000000000000000
Terugkoop van Gewone Aandelen 0000-59.907000000000000000000000
Uitgekeerde Dividenden -9,079.451-6,853.979-7,048.713-7,149.092-8,470.409-10,076.095-8,678.743-4,163.161-1,732.48-1,053.753-835.103-223.7640-11.815-17.585-19.171-23.229-26.811-21.412-40.137-26.485-22.91-26.439-13.844-4.959-2.625
Overige Financieringsactiviteiten -9,718.742462.27434,029.93177,389.72853,463.01486,149.584171,835.83794,040.49878,151.77330,583.03524,850.3496,599.2326,992.754157.081153.888328.929231.52211.26175.172267.921432.35414.886412.6331.196232.001111.858
Kasstroom uit Financieringsactiviteiten -19,460.104-12,322.511-2,900.552,469.435-7,051.621-28,858.47365,642.08125,918.93344,723.678,111.61311,198.443,930.8036,229.26743.766-103.19729.652-41.469-153.251-44.239-84.544154.865169.97563.861191.352112.04279.234
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 117.044496.183-243.816-731.352130.394170902.792453.24377.8412.008-6.546-2.501-0.3160-000000000-0-00
Netto Kasstroomverandering 277.676175.279-10,872.45810,304.671-102.958-6,133.722,476.764-15,267.99322,897.111249.948873.602-4,144.0911,474.433108.56872.899-0.457-11.208-21.083-0.5650.055-13.975-51.93189.664-57.58839.26-37.661
Kaspositie aan het Einde van de Periode 7,341.1985,849.4065,674.12716,546.5856,241.9146,344.87212,478.59210,001.82825,269.8212,372.712,122.7621,795.8855,151.641217.219108.65135.75236.20944.93366.01666.58166.52580.5132.43143.91774.097-37.661