Pangang Group Vanadium & Titanium Resources Co., Ltd.

SZSE:000629.SZ

3.42 (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 1,072.1491,365.7181,455.559242.6841,456.483,163.07919.902-6,570.228-2,422.458-5,971.691562.089598.51212.6291,062.104-1,635.634-394.213995.253836.402833.747824.412578.019490.432481.318461.049317.747493.51
Afschrijvingen & Amortisatie 340.245320.902318.502252.222253.455241.939231.5371,154.921,017.377973.042919.49843.5973,567.4573,054.2272,718.6051,580.6991,493.5521,083.018896.865916.281493.306439.911367.168428.808489.255552.816
Uitgestelde Inkomstenbelasting 0-48.49499.623130.33333.801-291.026-0.0710.23989.60100000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal -1,148.9196.106-51.88581.381,468.374-1,900.953-1,568.625-977.418-211.715-422.718-1,843.3-633.771,384.868-507.869-1,751.005-930.703-2,086.478-1,073.227742.954-521.939-159.329470.503146.509551.949-1,228.138-1,511.914
Vorderingen -686.474-170.326-235.175-51.1631,105.649-249.784-1,113.4011,757.561-697.67642.657-1,381.453114.33600000000000000
Voorraden -74.69145.276-227.484-23.149198.377-225.581-278.18382.495473.413-540.208-109.349105.9058,221.899-1,127.9891,642.174-339.25369.098-483.072-682.336-48.161-285.54850.41787.532256.101-64.014-179.392
Crediteuren -395.054369.649311.152-87.492130.548-1,134.562-176.97-2,817.474-77.05200000000000000000
Overig Werkkapitaal 7.318-48.49499.623243.18333.801-1,675.372-1,290.441-1,059.913-685.127117.491-1,733.951-739.675-6,837.03620.12-3,393.179-591.45-2,155.576-590.1551,425.29-473.777126.219420.08658.977295.848-1,164.124-1,332.522
Overige Niet-Contante Posten -0.73477.16754.14723.788103.512274.75936.8636,056.6151,646.357,092.901689.274752.697907.4751,117.0271,389.671570.132543.608270.68149.869288.311109.172223.306366.506323.544265.848268.463
Kasstroom uit Operationele Activiteiten 262.761,959.8931,776.324600.0733,281.8221,778.815-380.322-336.11129.5541,671.535327.5541,561.0375,872.434,725.489721.638825.916945.9361,116.8752,523.4351,507.0671,021.1681,624.1511,361.51,765.35-155.289-197.126
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -479.373-148.097-38.233-71.087-44.721-123.393-171.151-508.288-2,158.121-3,631.847-1,471.17-2,558.255-4,010.911-3,589.278-4,361.11-1,348.783-1,192.384-3,762.69-2,528.006-1,854.677-1,627.51-1,530.396-658.703-342.066-99.525-45.742
Netto Overnames -57.525-0-0.1-31.81245.9980.083153.78447.196205.765431.75756.5051.732.008173.0225.8371,348.801002.1141,916.236000346.91300
Aankoop van Beleggingen -2,671.01-7.05-0.45-45.03-45.99800459.6310-526.841-169.67-1,451.169-1,431.419-666.35-71.592-65000-73.425-4.5000-97.7500
Verkoop/verval van Beleggingen 4.9564.6313432.433.21260.76459.6264.3745.6538.7865.74310.66716.28331.76356.0780.30.33.724.8456.9664.4245.12900.0220.0240.024
Overige Investeringsactiviteiten -6.226138.16911.816-0.1645.998-81.119564.243-898.625-94.235475.361-1,164.06823.055-1,008.926158.02841.5520.017-413.316-1,620.92849.94261.5596.766-1,530.3962.4044.8470.4620.505
Kasstroom uit Investeringsactiviteiten -3,209.179-12.3477.033-115.68934.488-143.747452.719-1,355.342-2,246.703-3,674.54-2,799.164-3,975.701-6,402.964-4,065.837-4,329.235-1,998.466-1,605.401-5,379.898-2,546.643-1,790.652-1,616.32-1,525.267-656.3-434.947-99.04-45.213
Financieringsactiviteiten:
Schuldaflossingen 4.845.69-89.492-1,229-1,066.018-586.794-1352,010.8994,188.5925,676.2222,130.462175.0372,549.993-649.5853,217.6687.196319.1131,503.81809.27574.58-690.62228.2-588.08-1,014.24576.509-471.945
Uitgifte van Gewone Aandelen 00000000000000000000000000
Terugkoop van Gewone Aandelen -0.901-1.209000000000000000000000000
Uitgekeerde Dividenden -5.684-5.194-5.651-27.308-70.411-90.075-95.979-1,828.519-1,685.715-1,117.349-619.451-2,149.205-1,889.514-1,067.913-1,597.786-294.503-547.297-333.426-586.635-277.095-175.746-267.897-144.966-230.982-321.669-227.985
Overige Financieringsactiviteiten 2,211.062-227.941-4,476.991-321.811-30.874.373715.5135.507-914.376-2,123.7921,937.8961,003.21,819.216432.6981,251.9343,210.803776.713,156.0480.528-1.51,556.8400.1800949.563
Kasstroom uit Financieringsactiviteiten 2,210.178-188.653-4,572.134-1,441.919-1,167.229-602.496444.876317.8871,588.5022,435.0813,448.907-970.9692,479.694-1,284.82,871.8162,652.152548.5264,326.432223.163295.985690.474-39.697-732.866-1,245.222254.84249.633
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 5.9514.9761.136-2.0730.3355.856-6.35276.791-41.116-79.995-54.994-55.365-9.039-12.699-1.98220.0490.352-1.860.8550000000
Netto Kasstroomverandering -725.3331,763.869-2,787.641-959.6072,149.4161,038.428510.92-1,296.776-669.763352.081922.304-3,440.9981,940.121-637.847-737.7631,499.651-110.58661.548200.80912.39995.32259.187-27.66585.1820.5117.295
Kaspositie aan het Einde van de Periode 1,644.0532,369.386605.5173,393.1584,352.7652,203.3491,164.921654.0011,950.7772,620.542,268.4591,346.1554,787.1531,253.2511,891.0981,897.183397.531508.117446.569245.76233.361138.03978.852106.51821.33620.824