BOE Technology Group Company Limited

SZSE:000725.SZ

3.81 (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 2,411.71-1,737.17530,431.6694,528.27-476.2412,879.8747,860.4122,045.1711,638.112,715.9142,972.129184.383693.677-2,268.033-65.264-996.771690.946-1,740.618-1,587.087287.757481.282169.036104.044147.696.2967.021
Afschrijvingen & Amortisatie 34,839.02734,417.34734,617.42522,439.37318,863.0913,775.41311,865.73910,306.7178,039.095,725.5734,572.7683,891.1212,897.2311,750.161,270.8751,148.3671,144.7541,621.1351,252.201739.534635.142148.2764.83850.6932.54615.581
Uitgestelde Inkomstenbelasting 151.924162.0782,937.3592,351.68323.807743.425133.883-24.88554.45300000000000000000
Aandelen Gebaseerde Vergoedingen 307.161649.428640.69315.7790000000000000000000000
Verandering in Werkkapitaal -882.4945,691.393-13,186.2673,856.2992,285.4555,278.8323,263.599-5,734.109-972.645-1,137.87390.158-1,964.563-949.047-944.39-138.734399.386-291.2741,111.679-1,305.457-647.227-636.088-160.358148.252-353.156-136.662-11.308
Vorderingen -3,904.927,975.232-8,905.0742,870.5121,113.155828.1092,126.578-9,061.142-506.006-1,258.009311.148-3,967.5500000000000000
Voorraden -1,825.979-3,360.777-13,339.89-6,687.902-2,397.147-3,709.308-3,028.555-2,266.462-3,807.241-1,952.893-1,255.861-969.15-1,444.448-718.122-371.0058.167492.862-64.103-1,037.363-482.135-381.001-152.47963.614-156.376-75.88-11.73
Crediteuren 4,781.933914.868,943.317,656.8493,545.6417,416.6054,031.6925,618.3793,286.14900000000000000000
Overig Werkkapitaal 66.472162.078115.38716.8423.8078,988.1396,292.154-3,467.6482,834.596815.021,346.019-995.413495.401-226.268232.271391.219-784.1361,175.782-268.094-165.092-255.087-7.8884.639-196.78-60.7820.422
Overige Niet-Contante Posten 3,702.6283,838.8986,829.6796,060.3695,410.7753,749.9293,277.2373,455.5081,788.831792.2121,321.384977.935-3,420.392408.948-256.869576.988747.673-149.083656.784-172.343267.20260.73279.581-21.977-36.91-24.474
Kasstroom uit Operationele Activiteiten 40,529.95643,021.96762,270.55639,251.77326,083.07925,684.04726,266.98610,073.28710,493.3858,095.8268,956.4393,088.876-778.531-1,053.315810.0091,127.972,292.098843.113-983.559207.721747.537217.68396.715-176.842-44.73646.82
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -24,807.796-29,398.245-35,669.946-44,215.335-49,415.898-54,520.545-47,741.901-30,702.615-18,607.146-21,290.003-18,326.663-4,233.463-18,331.564-14,114.102-3,740.445-1,085.482-374.009-755.763-3,976.39-5,630.154-660.211-290.05-321.023-228.809-134.316-76.584
Netto Overnames -4,181.158936.759-2.816-1,559.03719.82298.6456.907214.137-404.844-809.412-377.6251,399.91,902.632-147.251272.103-12.12664.4677.61237.49107.27915.7160.1790.7761.3280.56277.27
Aankoop van Beleggingen -79,608.954-92,205.577-41,638.46-20,725.326-33,949.915-60,819.721-44,667.994-28,468.267-14,339.728-3,390.172-209.791-32-0.35-6.25-48-54.5-5.454-52.38-62.185-6.834-1,180.267-119.731-162.556-7.037-61.53-12.249
Verkoop/verval van Beleggingen 70,648.49383,500.36633,251.37423,118.29333,609.04459,567.58829,425.14131,307.00112,699.586459.3910.0138.8334.40942.02764.9982,245.256180.563146.876148.73921.8316.43741.65927.1561.3629.763
Overige Investeringsactiviteiten 2,281.6081,193.8983,347.219-25.5622,320.8198,610.4983,915.8213,154.8121,057.7281,275.786747.684679.3781,050.0851,126.989149.728115.07586.341353.083-566.619-238.387-2,397.901-443.28-0.3145.911-5-76.584
Kasstroom uit Investeringsactiviteiten -35,667.808-35,972.799-40,712.629-43,406.967-47,416.127-47,063.535-59,062.026-24,494.931-19,594.404-23,754.411-18,156.382-2,177.351-15,374.789-13,136.614-3,364.588-972.0362,016.594-196.886-4,420.829-5,619.357-4,200.832-846.444-441.458-201.451-198.924-58.384
Financieringsactiviteiten:
Schuldaflossingen -8,750.03-59,681.667-48,435.579-38,547.043-36,944.543-21,274.319-18,337.522-15,306.11-11,506.938-16,602.35-6,482.384-16,200.87-15,026.116-6,181.125-3,926.703-2,677.374-5,493.864-5,095.272-8,288.467-7,902.355-5,352.148-1,787.367-943.2-407.083-268.042-96
Uitgifte van Gewone Aandelen 00000000000000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000000
Uitgekeerde Dividenden -2,296.367-7,958.923-3,476.074-695.968-1,043.952-5,802.005-3,852.764-2,265.069-1,574.407-1,553.303-1,369.703-753.767-456.195-176.137-258.38-296.541-513.323-794.018-653.584-315.879-229.675-130.686-106.095-65.203-13.743-63.16
Overige Financieringsactiviteiten -6,009.96652,297.54346,480.51368,796.01871,458.44142,642.89455,115.65843,712.27121,210.27253,797.04420,115.78916,656.76125,461.04624,407.29618,442.0924,907.2871,713.9865,554.69514,029.82312,934.628,792.0323,580.383870.6731,935.446521.981197.601
Kasstroom uit Financieringsactiviteiten -17,523.5-21,173.252-12,181.8723,817.7327,778.64515,566.5732,925.37226,141.0938,128.92735,641.39112,263.701-297.8769,978.73518,050.03414,257.0091,933.372-4,293.201-334.5945,087.7724,716.3863,210.2091,662.33-178.6221,463.16240.19638.441
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 372.2961,882.635-817.308-1,868.122474.0281,250.327-1,571.8551,452.623650.12246.925-145.269-16.69536.1697.354-0.537-12.869-16.046-17.577-55.30259.624-17.98416.502-01.329-0.94-1.155
Netto Kasstroomverandering 3,667.085-12,241.4488,558.7517,794.4156,919.625-4,562.591-1,441.52313,172.072-321.96920,029.7312,918.489596.953-6,138.4153,867.45811,701.8932,076.438-0.554294.055-371.918-635.627-261.0691,050.069-223.3651,086.196-4.40425.722
Kaspositie aan het Einde van de Periode 72,467.39364,382.03876,623.48668,064.73650,270.32243,350.69747,913.28849,354.8136,182.73836,504.70716,474.97613,556.48712,959.53419,097.94915,230.4913,528.5981,452.161,458.1071,164.0521,535.971,971.5972,232.6661,182.5981,415.667329.471333.875