XCMG Construction Machinery Co., Ltd.

SZSE:000425.SZ

5.95 (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 5,236.0964,294.6665,647.2233,745.6833,645.3772,055.6511,028.762216.591-62.682406.9221,547.9972,465.7793,378.5952,918.4031,712.27101.84824.60710.333-128.25165.293119.585108.19487.61875.1679.96952.338
Afschrijvingen & Amortisatie 3,947.263,548.8781,385.5831,167.9781,055.0181,046.025864.073760.986799.668731.943623.171407.518320.828270.829212.47158.3948.56263.17670.6457.08250.11345.28435.68533.1544.96723.801
Uitgestelde Inkomstenbelasting -677.581-226.393-109.5-310.45-80.723-87.195-33.931-73.214-82.50100000000000000000
Aandelen Gebaseerde Vergoedingen 85.5170000000000000000000000000
Verandering in Werkkapitaal -7,628.783-7,652.3161,033.825-3,900.291118.165-355.529773.05452.934-1,008.017-1,620.01-3,724.423-7,345.147-6,043.165-2,935.2731,094.86698150.107-48.407159.585-399.258-176.26366.37-115.149-77.061-43.995-53.614
Vorderingen 3,303.612,521.269-2,340.961-10,607.557-10,599.266-4,501.395-1,154.061371.583-2,563.345870.894-2,296.114-9,900.40600000000000000
Voorraden 2,597.456-7,746.1563,979.946-2,676.254-184.375-931.595-2,819.701-938.6862,074.565232.285-192.271174.458-808.788-2,334.391146.956-184.292252.765-11.756240.149-78.072-393.643-260.291-108.05818.182-265.991-31.542
Crediteuren -12,852.268-2,201.0366,247.6129,693.9710,982.5295,164.6574,780.7431,093.251-436.73700000000000000000
Overig Werkkapitaal -329.373-226.393-6,852.772-310.45-80.723576.0673,592.7511,391.62-3,082.582-1,852.295-3,532.152-7,519.606-5,234.376-600.882947.911282.292-102.658-36.651-80.564-321.187217.38326.661-7.09-95.243221.996-22.072
Overige Niet-Contante Posten 1,599.6771,391.6766.0221,775.822317.034562.565487.526814.829378.7731,218.8131,170.195998.457313.985221.78160.537-102.89345.04147.09421.72784.30154.96920.07527.6121.8432.17530.939
Kasstroom uit Operationele Activiteiten 3,570.9131,582.9048,072.6522,789.1925,135.5943,308.7133,153.4112,245.34107.742737.668-383.061-3,473.395-2,029.756475.7393,180.145155.345268.31772.196123.701-192.58148.405239.92435.76453.09283.11653.465
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -5,966.784-7,985.552-3,272.712-2,052.845-2,353.153-1,788.654-653.018-507.271-410.385-855.306-2,237.037-2,585.332-2,821.986-887.009-470.121-132.873-185.462-149.719-74.027-115.469-163.136-281.491-79.821-45.47-122.831-14.441
Netto Overnames 64.041-56.4392.234-3.19445.306173.14768.058338.09-351.77738.4332,247.1542,592.2-31291.731223.615-156.97472.82464.41474.1710163.8418.6010.7062.392124.3380.011
Aankoop van Beleggingen -10,774.565-13,895.663-1,949.763-490.188-56.5-1,220-177-2,094.9-1,475.81-533-12.5-252.52,845.942-0.164-5.08495.011-2-9.2-12.990-12-30-74.5-14.83-0.451-1.947
Verkoop/verval van Beleggingen 16,579.58412,735.6551,454.149638.121606.243274.758456.763693.387323.20783.29971.6593.8390.3760.110.607162.3818.1696.91975.8757.1740.40863.3370.08100.450.022
Overige Investeringsactiviteiten 1,509.1113,547.088-4,358.494889.17-1,478.753-355.886-997.209230.659162.782395.532-2,237.037-2,585.332-2,821.98610.16924.0256.68-185.462277.369-74.0270.472-163.1362.9880.181-23.213-122.8311.163
Kasstroom uit Investeringsactiviteiten 1,411.389-5,654.91-8,124.586-1,018.931-2,836.856-2,916.635-1,302.406-1,340.035-1,751.983-871.042-2,167.76-2,827.125-3,109.654-785.172-216.959-25.773118.07189.783-10.998-107.823-174.024-236.566-153.354-71.122-121.324-15.193
Financieringsactiviteiten:
Schuldaflossingen -3,629.497-30,761.112-29,587.569-4,869.677-566.906-7,116.269-3,032.429-11,303.991-6,976.714-9,123.185-9,549.136-9,732.962-7,241.366-2,240.935-2,493.192-1,490-1,518.8-1,833.8-1,709.5-1,752.16-1,107.8-541.009-465.333-335.298-338.697-170.285
Uitgifte van Gewone Aandelen 002,0002,700-1.646-12.835-13.7150000000000000000000
Terugkoop van Gewone Aandelen -852.3970-2,000-2,7000000000000000000000000
Uitgekeerde Dividenden -1,771.078-2,717.718-484.819-470.02-470.02-740.934-460.103-542.303-907.122-909.741-1,016.963-979.667-1,412.351-544.42-716.836-67.852-41.881-50.883-56.986-88.26-57.495-53.636-60.544-30.094-28.414-54.177
Overige Financieringsactiviteiten -883.02837,604.6732,489.9176,481.5571,154.91911,420.4252,692.14511,145.0099,554.1388,197.32112,772.75415,612.13213,005.3317,176.3452,260.4261,5001,2551,782.5731,609.2982,0861,284582.53840.976353.212469.13169.479
Kasstroom uit Financieringsactiviteiten -7,778.4073,088.7181,507.225411.254682.383,563.222-800.387-701.2851,670.301-1,835.6052,206.6554,899.5034,351.6154,390.989-949.602-57.852-305.681-102.11-157.188245.58118.705-12.115315.099-12.181102.019-54.983
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -177.407270.263-15.483-30.71921.67212.899-43.848-17.886-49.735-41.726-35.34715.798-9.237-17.919-2.969-0-0.015-0.03800-0-0-0-000
Netto Kasstroomverandering -2,973.511-713.0251,439.8092,150.7963,002.7893,968.1991,006.771186.135-23.675-2,010.705-379.513-1,385.219-797.0324,063.6372,010.61571.7280.691159.832-44.485-54.824-6.914-8.757197.509-30.2163.812-16.712
Kaspositie aan het Einde van de Periode 18,421.16421,394.67516,504.84415,065.03512,914.2399,911.455,943.2514,936.484,731.8094,755.4846,605.4956,982.4228,367.6419,096.5515,032.914458.057386.336305.645145.813190.298245.123252.037260.79463.28593.49629.684