Changhong Meiling Co., Ltd.

SZSE:000521.SZ

5.89 (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 773.203277.09887.093-79.12243.51234.87636.095220.1721.22280.407276.136161.17789.037326.495301.17625.63617.71312.5497.10117.162-197.8348.108-349.555.52674.78183.49
Afschrijvingen & Amortisatie 388.195387.987377.591363.386310.487237.66190.976179.324173.934160.889173.464140.242195.908157.812137.31774.39972.90575.88163.13860.65363.3940.33540.12532.46335.07928.436
Uitgestelde Inkomstenbelasting 3.53-6.062-21.208-25.41417.909-18.416-8.234-4.0135.39200000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal 901.636665.235-174.8961,168.751919.195-443.606-548.366823.91898.929-193.17115.304104.728-699.3424.762-287.0237.27652.418-108.417-31.71435.263110.215-52.608163.85715.534-139.277-84.873
Vorderingen -788.861343.605-56.907196.371253.957-127.833-1,383.611-41.454-209.296159.704-109.039-208.56900000000000000
Voorraden -322.601-347.146384.574-249.696739.888725.174-974.511-414.604216.078-169.225-75.21346.191-276.188-530.599-487.141-21.304-334.03146.832-132.318-47.36560.42233.35666.43820.89628.613-34.519
Crediteuren 2,009.568674.838-481.3551,247.49-92.559-1,022.5311,817.991,283.9986.75500000000000000000
Overig Werkkapitaal 3.53-6.062-21.208-25.41417.909-1,168.78426.1451,238.522-117.149-23.945190.514-241.464-423.152555.361200.12158.58386.449-155.248100.60482.62949.792-85.96497.419-5.362-167.89-50.354
Overige Niet-Contante Posten 19.31134.835-128.865-49.49911.809-49.49-230.206-238.02-82.616-82.664-25.91213.417-0.784-135.002-158.86352.6127.28833.46325.08734.771118.53668.557119.734.3869.8512.358
Kasstroom uit Operationele Activiteiten 2,082.3431,465.156160.9231,403.5161,285.004-220.561-551.502985.391211.468165.463538.992419.564-415.179374.068-7.39189.921170.32313.47663.611147.84994.30664.391-25.83857.909-19.56739.411
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -274.018-276.171-262.328-364.99-326.109-632.592-536.727-134.749-89.663-88.797-81.336-164.071-220.181-129.826-199.716-138.522-75.379-5.633-24.971-34.821-4.178-46.521-56.659-22.856-37.828-47.638
Netto Overnames 4.12278.3411.791.19420.786016.38323.3152.7490.21419.36810.646-0.979-343.989418.53136.43100.0500000000
Aankoop van Beleggingen -1,531.781-1,300-1,809-1,435.33-2,010.087-3,944-4,389.654-1,490.784-987.05-3.028-4.562-0.05-11.87-24.944-122.14-20.3670-2000-50.442-2.24000
Verkoop/verval van Beleggingen 1,328.159965.2791,836.235981.563,144.5083,518.175,285.151509.534404.443.2862.4541.2054.681149.544225.2872.13541.6820.10.7681.7430.001000.8120.98310.745
Overige Investeringsactiviteiten 73.80826.166251.227187.26147.946103.501115.498157.508121.076162.09186.83923.823118.39213.162211.1123.5753.12413.1010.0210.1894.2030.032-1.8830.0032.9590.034
Kasstroom uit Investeringsactiviteiten -399.71-506.38517.924-630.305877.044-954.921490.651-935.177-548.44873.76622.763-128.447-109.956-336.053533.074-116.748-30.5745.618-24.183-32.8890.027-96.931-60.782-22.041-33.885-36.858
Financieringsactiviteiten:
Schuldaflossingen -1,489.564-1,522.041-2,320.385-1,617.428-2,820.687-2,514.013-1,568.796-1,351.233-1,889.925-1,538.68-591.218-415.741-399.401-309.951-472.099-478.756-563.563-903.257-508.24-640.75-668.575-653.63-679.25-799.86-676.47-816.068
Uitgifte van Gewone Aandelen 00.73716.5079.9350000.003000000000000000000
Terugkoop van Gewone Aandelen 0-0.737-16.507-9.9350000000000000000000000
Uitgekeerde Dividenden -92.693-51.496-51.776-52.267-62.676-128.393-104.008-67.343-54.421-64.184-43.068-39.633-36.624-13.614-28.429-30.571-22.734-31.546-41.248-34.777-0.154-35.04-33.607-2.599-43.312-2.539
Overige Financieringsactiviteiten 281.508851.3931,670.322,032.4151,696.9093,209.3782,879.443,184.3151,661.3191,758.898590.243458.028369.1661,524.388313.077379.339558.52902.908501.732620.89638.368786.145758.83785.563712.026836.844
Kasstroom uit Financieringsactiviteiten 581.869-754.911-750.485301.271-1,269.748566.9721,206.6351,765.74-283.026156.034-44.0422.654-66.8591,200.823-187.451-129.988-27.778-31.895-47.756-54.637-30.36197.47545.973-16.895-7.75618.237
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 13.40469.167-13.697-34.768.8653.388-42.11648.98327.43711.73319.8645.8627.2290.03-0.514-9.085-8.497-6.49-00.1080-00-000
Netto Kasstroomverandering 2,277.907273.027-585.3351,039.722901.164-605.1231,103.6671,864.937-592.569406.995537.577299.633-584.7661,238.868337.718-65.901103.475-19.292-8.32760.43163.97264.935-40.64718.973-61.20920.789
Kaspositie aan het Einde van de Periode 8,391.1296,113.2225,840.1956,425.535,385.8074,484.6435,089.7663,986.0982,053.312,645.8792,238.8841,701.3081,401.6751,986.441747.572338.231390.637287.162306.453314.781254.35190.378125.442166.089147.116208.326