GF Securities Co., Ltd.

SZSE:000776.SZ

14.6 (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 6,291.9188,898.00412,054.90610,770.8958,110.2624,632.0459,083.3718,409.32213,612.3535,145.5132,812.5662,190.3392,058.4874,198.223-7.71812.62711.26411.19515.91727.261-34.507-218.55925.9929.56255.08748.15
Afschrijvingen & Amortisatie 929.475775.82711.587741.959606.228297.271270.313246.516225.876201.985185.335188.746178.229178.14123.28523.07725.72126.89824.1932.15126.92740.02136.20427.14724.0014.313
Uitgestelde Inkomstenbelasting -260.847-361.221-553.383-80.32370.677-269.252-37.855-273.569-22.46200000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal 38,704.94238,149.299-40,407.9758,170.81831,815.97225,973.854-46,233.944-29,930.19425,604.62620,774.116-11,386.726-8,279.973-34,497.713-7,927.5322.1491.312-24.12221.0852.9-9.622-11.933-49.83-5.22-6.6653.2441.333
Vorderingen -7,682.44-2,759.975-15,313.322-24,810.10714,436.918-13,015.096-22,892.15922,247.29-66,845.237-54,100.888-23,235.918-12,103.15500000000000000
Voorraden -52,444.10800-0000000000000-2.02800.026-0.226-0.216-0.013000.7170.32
Crediteuren 46,387.38277,576.49928,892.97833,061.24817,308.37739,258.202-23,303.93-51,903.91592,472.32600000000000000000
Overig Werkkapitaal 52,444.108-36,667.225-53,987.631-80.32370.67700000000000-22.09402.873-9.396-11.716-49.817002.5281.013
Overige Niet-Contante Posten -29,601.6852,198.644318.065147.907-323.5282,335.965-1,762.402122.15-1,294.536-704.66-299.196-1,064.454-435.356-2,007.97310.604-3.8973.611-14.7516.5288.84747.428253.35718.98221.0472.745-33.87
Kasstroom uit Operationele Activiteiten 52,909.79450,021.767-27,323.41719,831.57940,208.93333,239.135-38,642.663-21,152.20638,148.3225,416.953-8,688.021-6,965.343-32,696.353-5,559.14128.3233.11916.47444.42749.53558.63627.91524.98975.95571.09285.07619.927
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -941.479-717.791-670.947-3,047.082-391.646-646.558-538.474-389.46-390.179-234.736-238.867-338.242-261.841-221.848-8.277-9.786-2.001-7.544-17.264-5.337-10.33-9.87-7.432-36.471-206.351-71.109
Netto Overnames 1.2892.279485.64342.042161.9015.6621,989.567-37.15919.9842.31494.647773.1794,780.926121.327000001.2024.74200.22600.05733.054
Aankoop van Beleggingen -58,241.833-34,836.476-721.561-22,084.271-19,169.866-25,970.045-2,246.464-2,629.116-59,866.476-11,443.759-8,647.471-1,047.856-5,205.748-1,960.81800000-0.005-0.102-0.822-75-3-60-33
Verkoop/verval van Beleggingen 695.9274,151.45622,140.2495,639.89,266.99211,295.835,718.6657,229.3742,650.1291,544.37764.168816.413507.091611.112000000.440.7980.03221.0110221.724
Overige Investeringsactiviteiten 4,284.15206.69904.392.4186.562-80.294-33.8091,408.4314.981-771.856-4,774.588-6,159.3304.20.0830.010.160.1210.0120.4021.953-6.276614.411
Kasstroom uit Investeringsactiviteiten -58,486.096-31,400.53221,240.083-19,449.511-10,128.229-15,312.7015,009.8554,093.345-57,620.351-8,723.379-8,022.541-568.362-4,954.16-7,609.557-8.277-5.586-1.918-7.534-17.104-3.579-4.881-10.258-59.242-45.748-258.294-34.92
Financieringsactiviteiten:
Schuldaflossingen -239.384-88,645.499-50,163.963-59,564.604-62,228.405-39,995.545-48,426.118-9,027.946-41,600-29.4-13,676.3070000-10-40-15-31.5-75.672-109.8-96.6-90.5-77.833-138.505-60.605
Uitgifte van Gewone Aandelen 0233.60900000-366.257-57.15300000000000000000
Terugkoop van Gewone Aandelen 0-233.609000000000000000000000000
Uitgekeerde Dividenden -2,662.046-3,802.923-3,429.489-2,667.381-1,524.218-7,666.513-6,980.462-11,131.892-4,049.056-2,416.981-1,292.535-1,483.647-1,253.523-1,014.0910-0.077-2.12-3.462-4.638-9.831-10.002-12.643-37.108-10.795-3.893-5.622
Overige Financieringsactiviteiten 4,059.0587,262.45789,343.1487,098.05858,403.24831,607.00861,714.587-16,627.237112,328.90238,553.00313,664.6917,497.74711,877.861-34.618004.69101.51416.531102.578.812857.469249.222146.579
Kasstroom uit Financieringsactiviteiten 1,636.388-11,167.61431,018.68820,256.348-9,976.871-16,055.0496,308.006-18,731.18466,679.84636,106.62212,372.1556,014.09910,624.338-1,048.710-10.077-37.43-8.462-34.624-68.972-17.302-30.4430.392-31.158106.82480.352
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 113.131608.71-165.348-332.80497.02222.331-316.153357.641440.551-6.426-28.1669.231-34.564-26.37500-0-0-0-00-0-000-0
Netto Kasstroomverandering 2,406.9098,062.3324,770.00620,305.61320,200.8532,093.715-27,640.954-35,432.40347,648.36652,793.77-4,366.573-1,510.374-27,060.739-14,243.78320.04317.456-22.87428.431-2.194-13.9155.732-15.71217.105-5.814-66.39465.359
Kaspositie aan het Einde van de Periode 23,976.538149,831.673141,769.343116,999.33796,693.72476,492.87174,399.156102,040.11137,472.51489,824.14837,030.37841,396.95142,907.32669,968.06546.18926.1468.68931.5633.1335.32619.24113.50929.22112.11617.9384.324