Changjiang Securities Company Limited

SZSE:000783.SZ

5.7 (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 1,656.3211,530.3542,414.8872,086.2681,582.708226.971,543.3442,216.8763,495.9491,705.8121,006.213683.014434.9831,282.9931,372.002701.6272,365.759-1,580.408-711.42836.86159.48-182.4236.915-198.213103.679273.486
Afschrijvingen & Amortisatie 354.863305.963281.135140.321102.946105.7195.12881.8861.76354.02648.37551.13150.07769.23152.70648.70237.806132.093136.52135.278127.401116.81484.118106.57471.94867.391
Uitgestelde Inkomstenbelasting -349.708-197.99495.135-208.37955.504-320.535-6.406-14.414-59.81100000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal 10,473.357-1,748.3825,090.73,410.125240.05215,972.284-20,278.02-15,838.7992,948.98913,634.091-5,629.273-2,404.099-11,742.332-511.0988,230.126-5,152.9368,436.575-276.4922.474185.441156.736-48.25631.38532.49-307.717-220.989
Vorderingen -562.6356,331.093-753.291-10,384.803-1,226.39823,705.875-5,539.957-10,116.366-11,245.835-17,796.694-3,262.759-2,514.78800000000000000
Voorraden -11.226-0.845-5,172.209-208.3796.81467.578-74.3920000000000-10.841-554.486-174.519-29.2340200.882-392.42427.50972.252
Crediteuren 11,048.008-2,445.37210,966.20114,003.3074,055.594-7,480.634-5,170.665-5,708.01914,254.63400000000000000000
Overig Werkkapitaal -0.791-5,633.25849.9990-2,595.95815,904.706-20,203.628004.51827.038000000-265.651556.959359.96185.970-169.498424.914-335.227-293.241
Overige Niet-Contante Posten -9,533.0422,233.711,214.208-10,135.714796.088-4,756.1691,001.722-187.38-5,199.664-4,470.0162,248.593-124.74273.906206.411-337.521-116.118158.51476.69667.667-22.5741.84277.95113.109148.148-3.168178.788
Kasstroom uit Operationele Activiteiten 12,366.2132,321.6459,000.931-4,498.9992,721.79511,548.795-17,637.827-13,727.4231,307.03710,923.913-2,326.092-1,794.696-11,183.3661,047.5379,317.312-4,518.72410,998.653-1,648.111-504.767335.01385.457164.084235.52789-135.258298.675
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -254.276-240.98-1,143.286-167.037-179.406-157.827-265.603-181.079-193.247-105.005-127.737-101.007-123.409-129.478-87.94-81.429-60.463-61.254-111.323-84.073-104.32-86.812-79.372-97.692-34.138-12.842
Netto Overnames 2.0060.3620.8570.5370.71300.0052.6842.01-2-131.150000-0-0-19.54100000000
Aankoop van Beleggingen -609.175-1,492.998-475.579-439.044-112.031-296.537-1,522.992-3,043.998-1,632.104-416.052-427.127-218.22-302.084-201.705-51.795-29.338-229.698-15000000-166.02-196.995
Verkoop/verval van Beleggingen 299.605222.282954.554312.893591.0451,791.9553,707.9881,494.3151,171.535493.759370.03261.32869.63650.05962.2593.525.67742.762012.0580130136.261.0241.0220.096
Overige Investeringsactiviteiten -185.45200000.839-86.1750.7032.010.8551.84175.22144.67367.8250.7650.810.1321.6568.150.1126.3011.6080.01100-0
Kasstroom uit Investeringsactiviteiten -561.839-1,511.333-663.453-292.651300.3211,338.431,833.223-1,727.375-651.806-28.443-314.141-182.678-311.184-213.298-76.721-16.437-284.352-51.376-103.173-71.903-98.01944.79656.899-96.672-159.136-209.741
Financieringsactiviteiten:
Schuldaflossingen -253.507-22,749.21-32,422.75-24,705.556-15,154.957-34,187.168-21,474.607-19,054.697-13,478.844-6,653.816-2,000000000-3,819.35-4,100.59-91.42-1.57-89.432-341.4-690.853-4260
Uitgifte van Gewone Aandelen 000000-9.5660000000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000000
Uitgekeerde Dividenden -663.595-1,658.987-829.491-829.435-110.591-2,592.561-2,046.912-2,676.227-1,149.888-687.662-501.445-237.123-711.37-868.494-167.48-837.901-0.612-39.888-22.62-11.665-5.69-3.998-15.327-63.499-25.044-11.921
Overige Financieringsactiviteiten -1,442.92522,568.85335,417.83234,540.11220,391.8427,306.3231,481.10632,263.5627,339.54410,095.0884,029.36802,481.37403,212.262005,400.1254,079.32791.420.570.7201.4572.56635.1880
Kasstroom uit Financieringsactiviteiten -2,545.433-3,320.924651.8617,730.6574,206.302-9,473.417,959.58710,532.63612,710.8122,753.611,527.923-237.1231,770.003-868.4943,044.782-837.901-0.6121,540.887-43.883-11.665-6.69-92.73-155.327-181.792184.144-11.921
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 5.58849.698-35.005-84.6599.24833.062-40.95439.12118.081.595-6.852-0.067-6.804-1.569-0-14.433-19.52-8.149000000-00
Netto Kasstroomverandering 1,347.506-2,460.9148,954.3332,854.3487,237.6653,446.877-7,885.97-4,883.04213,384.12313,650.675-1,119.162-2,214.564-9,731.351-35.82412,285.373-5,387.49610,694.17-158.6-651.824251.442280.748116.15137.098-189.465-110.2577.013
Kaspositie aan het Einde van de Periode 8,584.9646,614.71549,075.6340,121.29637,266.94930,029.28426,582.40634,468.37639,351.41825,967.29512,316.6213,435.78215,650.34625,381.69825,417.52213,132.14918,519.64413.964172.564824.388572.946292.198176.04838.95228.414338.664