Huawen Media Group

SZSE:000793.SZ

2.06 (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 -1,099.797-842.52367.016-2,140.372365.236-4,934.306422.6711,040.738896.7971,049.879902.938533.634507.7432.286305.47332.602269.41865.06760.98676.08999.77591.59794.17998.90845.88861.889
Afschrijvingen & Amortisatie 54.08532.01931.28140.81267.995101.418100.454136.7147.338129.65110.799106.281103.59392.95887.54574.40373.19841.84736.29631.53620.74623.21911.3787.5057.7375.581
Uitgestelde Inkomstenbelasting 07.70345.512-132.24977.729-13.003-4.484-35.301-12.69700000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal 198.021-83.486-129.83-179.857-613.826-647.97935.381101.175-248.52-27.554310.277-463.102-2.357224.381-108.443126.306261.007387.752185.919-397.62-415.70420.284272.826-58.029-209.649-122.269
Vorderingen 151.164-60.768-92.973628.543345.998-1,568.408122.997-130.45614.285-480.779144.949370.30200000000000000
Voorraden 3.576105.50837.54337.879393.94537.732-311.822-8.70563.121-65.364137.566-984.02340.226.045-276.786-87.655-13.166-13.035-0.832-1.686-8.6551.4366.76741.1675.817112.427
Crediteuren 0-135.93-119.912-714.03-1,431.497897.066228.69275.637-313.22800000000000000000
Overig Werkkapitaal 43.2817.70345.512-132.24977.729-685.711347.203109.88-311.64137.811172.71520.921-42.557198.336168.343213.961274.173400.787186.752-395.934-407.04818.848266.059-99.197-215.466-234.696
Overige Niet-Contante Posten 1,052.766760.71-82.5562,177.795-126.7475,119.44699.359-598.02927.028-352.807-392.4699.13824.758-115.141-6.47420.205-61.53839.29584.075-0.92453.44141.74943.575-8.507-44.2346.444
Kasstroom uit Operationele Activiteiten 205.074-133.28-114.089-101.621-307.342-361.421657.865680.584822.643799.167931.544185.952633.694634.485278.099553.517542.084533.961367.276-290.918-241.742176.849421.95739.877-200.257-48.355
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -51.322-49.717-66.728-93.558-233.801-860.75-130.496-166.968-226.055-242.615-244.683-305.364-125.364-156.154-158.217-197.369-144.13-52.919-87.704-532.095-651.497-430.686-540.878-280.143-29.352-30.401
Netto Overnames 34.133190.936318.793845.90797.193-1,719.095429.87-2.2880.278-447.319-478.54858.3410.053157.896-27.7692.494177.722.1080.062532.1574.4415.583558.57900.0180
Aankoop van Beleggingen -27.51-152.5-453.804-469.048-883.473-4,211.432-9,493.236-5,419.461-4,005.925-3,388.464-4,138.233-2,862.616-3,567.471-522.375-236.122-160.795-251.575-426.917-93.321-311.138-2-85.675-55.0590-104.8750
Verkoop/verval van Beleggingen 90.314319.6822,692.901601.2511,184.3794,301.0966,206.6754,890.6764,153.2213,112.9964,255.2482,614.9872,955.513449.736144.325151.754279.991251.649222.374182.5586.12356.69416.00473.712164.56755
Overige Investeringsactiviteiten 10.983-3.2812.115193.13166.5354.5136.599-159.624-189.4330.88247.9961.7092.494-156.1540.920.9382.1581.3221.261-532.0950.14-118.993-540.878-5.865-19.498-0.462
Kasstroom uit Investeringsactiviteiten 56.598305.122,493.2771,077.683230.833-2,485.667-2,980.587-857.665-267.915-964.522-358.22-492.943-734.775-227.051-276.862-202.97864.165-224.75842.672-660.614-642.793-573.077-562.232-212.29610.8624.137
Financieringsactiviteiten:
Schuldaflossingen -425.234-122.946-2,313.339-371.939-363.726-47.82,953.44810-75.28589.92-135.823362.172333.452.690-270-32058-252.06574333.456308.8159.354259.94135.626.411
Uitgifte van Gewone Aandelen 00000000000000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000000
Uitgekeerde Dividenden -101.72-110.833-164.33-352.811-315.95-274.353-186.536-181.826-168.196-119.664-67.905-82.493-75.787-98.548-32.629-104.305-127.907-58.222-117.277-66.624-101.198-79.963-28.153-65.382-13.71-5.411
Overige Financieringsactiviteiten 30.412-31.901-65.268-149.92264.0871,303.948-330.353-30.7681,050.8856.648-12.988-111.986-185.228-66.568-101.5761.86215.1-39.4580-0709.501229.92-0.496483.4666.1492.731
Kasstroom uit Financieringsactiviteiten -496.543-265.68-2,542.936-874.67-415.589981.7952,436.559-202.594807.409476.904-226.71568.94472.436-162.516-44.205-320.725-432.807-7.222-369.337507.376941.759458.757130.705678.023128.03923.731
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.0090.014-0-0.005-0-0.231-0.0030.2830.004-0-0.0450.014-0.053-00-0-00-0-0-0-0-0.035000
Netto Kasstroomverandering -234.862-93.826-163.749101.386-492.098-1,865.525113.834-379.3921,362.141311.549346.564-238.033-28.698244.917-42.96829.814173.442301.98140.611-444.15657.22462.528-9.604505.604-61.358-0.488
Kaspositie aan het Einde van de Periode 119.883354.745448.57612.319510.9331,003.0312,868.5552,754.7213,134.1131,771.9721,452.6021,039.2121,277.2451,305.9431,061.0251,103.9941,051.553601.2299.218258.608702.764645.54583.011597.25394.604155.368