FAW Jiefang Group Co., Ltd

SZSE:000800.SZ

9.22 (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 763.025367.7453,899.8552,640.62638.28227.162317.904-1,002.73760.572137.0531,033.112-752.509191.6561,925.8271,645.3861,098.964566.486350.318343.67310.774447.718248.70524.327276.2522.791453.009
Afschrijvingen & Amortisatie 1,894.3631,755.1961,580.781,687.6681,003.4011,002.7481,094.5911,115.7621,084.2711,088.916826.762869.399843.935610.029437.541326.253365.075347.576333.736398.525140.508119.983105.0291.029117.191109.752
Uitgestelde Inkomstenbelasting -428.687-424.869241.00817.384-314.388-82.347-12.458-33.502-12.59600000000000000000
Aandelen Gebaseerde Vergoedingen -24.7760000000000000000000000000
Verandering in Werkkapitaal 2,738.473-6,225.9911,029.51-4,576.5971,339.995-541.6921,075.366381.51-243.674-867.036-350.1411,401.813-1,486.503-95.36882.141-305.225-1,303.635-192.682,113.356-2,466.1241,351.995555.3736.85187.424143.17740.976
Vorderingen -1,777.5592,956.78,260.4688,521.37817,743.472665.207-594.655-1,939.991,461.0821,019.963-3,884.6361,392.6800000000000000
Voorraden -3,023.5012,466.93210,473.313-5,488.437-1,968.604-41.182388.537274.789881.786-1,602.447-173.656-269.853-339.964-446.369-210.654468.746-787.235-393.2110.227-39.395230.89989.383-242.621206.897-50.549-215.876
Crediteuren 7,728.945-11,224.753-7,945.279-7,626.9213,233.408-1,074.8391,293.9422,080.213-2,573.94600000000000000000
Overig Werkkapitaal -189.413-424.869241.00817.384-17,668.281-500.509686.829106.721-1,125.46735.41-176.4861,671.665-1,146.539351292.795-773.971-516.401200.5312,113.129-2,426.7291,121.096465.99249.472-19.472193.726256.852
Overige Niet-Contante Posten 394.627-630.511-1,307.021-532.164-283.341-603.026-202.78173.11-61.603-67.871-115.968-9.062-108.72-97.473-21.41448.772336.696-131.15862.148106.485255.04111.035163.03228.51622.17250.484
Kasstroom uit Operationele Activiteiten 4,500.96-5,135.24415,203.123-780.4662,098.33585.1932,285.08567.645839.565291.0611,393.7641,509.641-559.6322,343.0142,143.6551,168.765-35.378374.0572,852.911-1,650.342,195.2611,035.095299.23583.169805.33654.221
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,251.351-2,828.776-2,491.852-1,906.138-839.237-501.084-375.721-859.218-648.393-847.702-1,414.387-2,578.696-1,913.002-1,150.867-939.555-1,171.246-277.667-428.707-495.879-1,273.42-316.21-383.898-73.552-135.178-172.118-470.418
Netto Overnames 105.702455.2765.79224.117219.9720188.179683.21648.99101.67503.137007.3760001,281.688323.538387.9920135.247177.9450.055
Aankoop van Beleggingen -529.267-516.78-44-4,710.35-5,570.138-70300-380.0040-87.50-87.500-231.389000-116.667-36.041-29.488-49.633267.344-51-200
Verkoop/verval van Beleggingen 299.242461.971538.725525.45513.461214.631143.006155.312188.0491.626101.113105.9670.75151.41197.178115.74901.572020.65518.70611.417010.487213.3285.481
Overige Investeringsactiviteiten -316.918798.5524,593.8241,601.4455,506.226154.072190.753683.21-648.39319.08417.29811.04117.705135.8144.93938.20766.94381.30951.134-1,273.42-316.21-383.8980.033-135.178-172.118200.041
Kasstroom uit Investeringsactiviteiten -2,692.592-1,629.7582,602.488-4,465.47-669.716-835.381-41.961-20.695-839.759-736.992-1,381.802-2,461.695-1,908.909-963.646-797.438-1,241.303-210.725-345.825-444.745-1,361.164-326.217-397.875-123.152142.722-3.962-464.842
Financieringsactiviteiten:
Schuldaflossingen -22.969-55.184-45.192-1,345.9-7000-4,100-3,500-4,100-2,900-2,800-3,4000-151.406-1,541.621-973.824-2000-620.893-2,101.269-1,674.983-1,370.223-510-1,044.135-300-1,381
Uitgifte van Gewone Aandelen 00332.79100000000000000000000000
Terugkoop van Gewone Aandelen 00-287.59800000000000000000000000
Uitgekeerde Dividenden 0-3,025.174-2,325.3270-968.825-33.565-43.61-167.012-111.166-126.396-97.705-65.502-512.593-706.109-574.04-335.357-168.442-344.048-2.113-172.891-328.52-82.554-152.78-189.38-13.383-101.661
Overige Financieringsactiviteiten -22.969-0277.2482,688.141700-1.0152,1003,556.3154,100.3872,933.312,800.2123,985.6531,470.4365.4161,570.076777.2650268.91332.461,622.4452,159.6341,192.376402606.761411,378.176
Kasstroom uit Financieringsactiviteiten -22.969-3,080.358-2,048.0791,342.241-58.356-33.565-2,043.61-110.697-110.779-93.086-97.493520.151957.807-492.099-545.585-531.915-368.442-75.138-290.545-651.714156.131-260.402-260.78-626.754-272.383-104.486
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.7750.353-1.5360.2090.031-0.572-1.146-0.335-1.022-1.627-0.893-0.599-2.378-34.546-13.5-24.816-10.86843.161-131.85520.508-8.815-0.67-1.018-18.710.036-0
Netto Kasstroomverandering 1,879.237-9,845.00715,755.997-3,903.4861,370.294-784.325198.363435.917-111.995-540.644-86.423-432.502-1,513.111852.724787.132-629.27-625.412-3.7451,985.766-3,642.7112,016.361376.148-85.7280.427529.02184.894
Kaspositie aan het Einde van de Periode 22,920.71120,697.6730,542.67714,786.681,852.442482.1481,266.4731,068.11632.193744.1881,284.8321,371.2561,803.7583,316.8692,464.1451,677.0132,306.2832,931.6952,935.44949.6744,592.3852,634.4062,258.2582,343.9782,263.551,734.586