China Zhenhua (Group) Science & Technology Co., Ltd

SZSE:000733.SZ

64.15 (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 2,683.3952,383.0451,496.965602.498295.311257.112207.672187.952186.238133.592101.71392.60849.07946.60642.72337.56724.43737.08917.11317.25932.09737.73377.33383.79371.2792.38
Afschrijvingen & Amortisatie 281.119268.931228.018193.018172.649224.228200.515157.434143.057132.925109.547108.063109.08199.22394.41889.20985.59470.26772.33457.17254.13838.29137.09439.55428.44422.016
Uitgestelde Inkomstenbelasting 012.658-9.075-0.65714.264-13.359-2.773-9.967-7.88600000000000000000
Aandelen Gebaseerde Vergoedingen 08.02918.8300000000000000000000000
Verandering in Werkkapitaal -1,901.399-2,118.78-590.035-1,223.651-597.486-340.534-1,048.842-263.524-92.189-262.591-186.496-218.276-217.74-159.664-106.933-50.544-138.532-76.291-135.915-90.0616.5175.866-31.255-43.82674.422-108.759
Vorderingen -1,504.862-1,626.973-427.262-402.197-279.5-95.118-1,373.082-245.814-764.166355.664239.002-283.06600000000000000
Voorraden 117.654-545.211-823.264-159.172496.993-100.047431.403-544.614-314.625-37.996-43.09740.485-99.752-80.145-21.153-77.946-98.08-74.767-78.54940.55113.175-47.557-43.548-47.44-43.044-62.715
Crediteuren -514.19240.745669.566-661.624-829.244-122.479-104.39536.871994.48700000000000000000
Overig Werkkapitaal 012.658-9.075-0.65714.264-240.488-1,480.246281.09222.435-224.595-143.398-258.761-117.989-79.519-85.78127.402-40.452-1.524-57.366-130.612-6.65953.42312.2943.614117.466-46.044
Overige Niet-Contante Posten 188.486267.404190.656358.895389.032177.32594.53985.557117.11774.58960.35440.00256.29174.3750.26718.12286.34399.966105.02339.4134.2526.972-9.5880.611-11.062-2.03
Kasstroom uit Operationele Activiteiten 1,251.6821.2871,335.359-69.239259.506318.131-546.116167.419354.22378.51585.11922.397-3.28860.53680.47494.35457.843131.03158.55523.78397.00388.86373.58580.133163.0753.607
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -464.34-438.229-476.596-400.281-330.037-258.109-379.098-362.774-392.441-351.505-160.282-132.509-126.828-151.394-84.176-62.56-118.152-120.56-129.818-111.685-191.256-102.67-168.333-85.258-159.34-127.818
Netto Overnames 010.3013.994401.2141.37912.36596.216363.8115.138-15.540.8537.6510154.84487.31700121.406131.745115.278193.353103.1146.1370.16163.838127.873
Aankoop van Beleggingen -5,100-178-598.87-1,915-2,717.135-449.210-227.347-205.566-715.799-35.949-3.6070-13.25-3.61200-1-1.574-41.5-48.62-226.506-329.811-10.278-217.2-51.1
Verkoop/verval van Beleggingen 3,019.737217.654689.1982,144.9233,027.31110.67249.31716.384225.012714.08912.84910.1037.66412.3643.84316.0844.9919.1875.47658.876151.801222.891176.724101.6457.956142.416
Overige Investeringsactiviteiten 26.4192.2980-400.281-179.586-1.483.442-362.7740.743-2.2579.582.2733.183-151.394-84.1760.7014.592-120.56-129.818-111.685-191.256-102.670.235-5.935-159.34-127.818
Kasstroom uit Investeringsactiviteiten -2,518.184-385.976-382.274-169.425-198.067-685.762-326.339-572.701-367.113-370.972-132.948-116.088-115.981-148.83-80.805-45.774-108.569-111.526-123.988-90.716-85.978-105.841-315.0480.33-314.087-36.446
Financieringsactiviteiten:
Schuldaflossingen 204.999-115.09-143.881-99.33968.69481.922527.119496.807189.53121.45-33.155-38.85143.047144.65733.30160.0441.2541.4430.222-69.891-29.048-55.183-1.34739.87340.549-141.032
Uitgifte van Gewone Aandelen 00000000000000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000000
Uitgekeerde Dividenden -595.873-155.44-77.221-25.74-25.74-83.041-60.04-47.627-42.703-48.795-36.54-41.334-23.11-17.133-18.978-19.057-50.185-14.821-8.193-10.679-12.236-51.586-77.883-19.781-21.771-50.14
Overige Financieringsactiviteiten 2,520.348-40.61431.1154.769115.079352.757116.32538.46448.651652.31933.897140.009-23.308-73.34266.55539.37624.40854.8682.48212.72621.2960.15682.976-1.601184.52339.782
Kasstroom uit Financieringsactiviteiten 2,129.473-337.133-227.366-174.67992.594751.639583.403487.645195.478724.974-77.29859.82596.62954.18280.87880.35915.47484.78524.51-67.844-19.988-106.619603.74618.49203.301-151.391
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.2320.444-0.1780.0740.1390.1360.1262.36-1.454-1.7130.5010.125-0.691-6.2280.511.466-0.2350.128-1.102-0.052-0-0.013-0.02100.012-0.008
Netto Kasstroomverandering 843.38598.622725.541-413.269154.171384.143-288.92684.723181.134430.804-124.625-33.741-23.332-40.34181.057130.404-35.488104.417-42.025-134.828-8.963-123.611362.26198.95352.301-184.238
Kaspositie aan het Einde van de Periode 2,582.6531,739.2681,640.646915.1051,328.3741,174.202790.0591,078.985994.261813.127330.652455.277489.018512.35552.691471.633341.229376.717294.948336.973471.802480.764604.375242.114143.56184.675