Nanjing Public Utilities Development Co., Ltd.

SZSE:000421.SZ

4.99 (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 -90.27486.985167.747592.012182.401241.022249.276289.028360.467168.03497.037110.18498.46641.50573.6460.502110.106107.5-111.24518.89534.43328.94727.1426.45927.89137.44
Afschrijvingen & Amortisatie 296.756273.219210.322190.561199.128184.302181.408209.803205.004116.971116.985135.884153.869220.23246.035269.903210.801128.772114.12894.68272.22458.23950.88747.96837.6528.113
Uitgestelde Inkomstenbelasting 06.027-12.312-8.049-5.864-7.433-24.831-22.75317.97900000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal 2,599.187-1,152.585584.238-2,954.114-1,323.333472.2792,643.583-664.149-721.99669.508-17.52153.801-102.374140.268-40.968-17.04-236.419427.713-110.051-323.103-154.04988.122-54.79240.954-46.182-9.284
Vorderingen -524.871945.79782.777494.278-263.275362.162-912.0741,638.9-749.507-359.538-6.531-10.59500000000000000
Voorraden 135.021-1,284.47-1,748.261307.807-1,267.61-143.548-177.612-1,400.12976.839328.67381.142146.757-307.545-8.994-34.789-74.2756.72-57.151-154.044-208.078-12.40489.569-149.969-14.07334.456-34.784
Crediteuren 3,014.949-819.9311,562.035-3,748.149213.416261.0983,758.1-880.167-67.30700000000000000000
Overig Werkkapitaal -25.9126.027-12.312-8.049-5.864615.8262,821.195735.98-798.835-259.165-98.6627.043205.171149.262-6.1857.235-243.139484.86443.993-115.026-141.645-1.44795.17655.027-80.63825.5
Overige Niet-Contante Posten 217.075208.24981.92288.24635.1642.20449.54128.25753.428-62.47-5.703-29.5678.11845.68756.92932.83417.852-33.429156.48446.4014.72116.92913.3651.708-3.6936.534
Kasstroom uit Operationele Activiteiten 3,022.743-584.1321,044.227-1,883.295-906.644939.8063,123.809-137.062-103.097292.043190.799370.302158.079447.69335.635346.2102.34630.55649.316-163.126-42.671192.23836.6117.08815.66862.802
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -311.399-435.156-360.719-345.398-480.085-318.58-333.212-308.79-292.329-46.368-35.465-83.629-138.878-217.692-117.112-190.64-112.232-143.319-179.057-118.094-161.076-105.045-75.192-170.059-58.944-135.32
Netto Overnames -18.45833.9749.0762.56313.2730.521-5.079404.474-117.06125.59438.5613.98838.898270.345.981289.6825.9159.482181.591126.455163.254109.43278.9248.39761.4123.129
Aankoop van Beleggingen -5.019-359.174-3.56-7.56-344.144-82.381-313.656-189.235-330.928-222.755-255.309-90-1.35-0.150-23.5-13.5-4.15-16.773-61.836-13.712-6.605-72.154-138.686-56.97-36.855
Verkoop/verval van Beleggingen 39.04107.47869.7982.77484.54669.669306.673206.836311.207152.8230.54221.9065.2021.80251.4181.1872.34933.3282.17228.74444.8382.03281.468132.3829.3111.251
Overige Investeringsactiviteiten -57.148114.289248.41298.1583.5354.731-1,284.329-308.79107.2134.661-35.46511.711-3.366-217.692-128.269-190.64141.84815.542-179.057-118.094-161.076-105.045-75.192-7-58.94427.11
Kasstroom uit Investeringsactiviteiten -352.984-538.589-37.001-169.471-642.9123.96-1,629.603-195.505-321.89813.933-57.136-136.025-99.494-163.431-147.983-113.91344.38-89.117-191.125-142.825-127.772-105.232-62.147-174.969-84.134-140.685
Financieringsactiviteiten:
Schuldaflossingen -1,899.993700.45264.0431,718.695-202.227-1,331.265717.575438.389237.178-328.672-170-185.286-114.437-52.47-113.431-132.939-100.971-234.138126.2530207.64-72.48359.28870.91.288.4
Uitgifte van Gewone Aandelen 00000000000000000000000000
Terugkoop van Gewone Aandelen -0.1670000000000000000000000000
Uitgekeerde Dividenden -57.746-57.793-37.222-37.222-57.265-131.429-185.213-231.686-91.137-29.721-29.893-63.213-55.812-86.142-63.621-83.453-73.088-83.186-39.863-37.299-29.523-33.986-34.808-32.872-11.466-11.309
Overige Financieringsactiviteiten -437.0298.503-13.676745.703864.817-231.053-180.587-10.728504.671-165.809-21.982-13.795140.903-047.4985.061-6.934-74.341-0.809315.7666.7112.4460.31512.835104.7115.87
Kasstroom uit Financieringsactiviteiten -2,394.758567.868-142.4712,427.176605.325-1,693.747351.774195.975650.712-258.995-221.875-262.294-29.345-138.612-129.554-211.331-180.992-391.66585.58305.907184.828-104.02324.79550.86394.44582.961
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.0010.008-0.286-0.8321.7941.31-0.040.049-0.0120.157-0.137-0.7930.4040.207-0.052.7840.655-0.248-0.001-0.00100-0-0-0-0
Netto Kasstroomverandering 275.001-554.846864.468373.578-942.434-728.6711,845.94-136.543225.70547.138-88.349-28.8129.644145.85458.04923.74-33.618149.526-56.231-0.04414.386-17.017-0.752-7.01925.9785.078
Kaspositie aan het Einde van de Periode 1,753.3511,478.352,033.1951,168.727795.1491,737.5842,466.254620.314756.857374.071326.933415.282444.091414.447268.593210.544186.804217.13100.455156.68584.72970.34387.3688.11295.1368.732