Anhui Huamao Textile Co., Ltd.

SZSE:000850.SZ

3.76 (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 124.373-183.973463.57205.638157.79996.40582.71464.61244.852356.963175.623332.322296.974366.69165.092137.336146.616101.97854.63628.41558.96171.99195.458105.34662.37443.605
Afschrijvingen & Amortisatie 215.273207.441225.396256.777222.363220.188219.676217.3230.612214.334208.201167.507159.176166.582154.472106.34894.74584.30482.59762.02342.69333.55919.50618.40916.89812.586
Uitgestelde Inkomstenbelasting 7.786-57.01414.512-58.539-6.541-0.6461.0020.4393.57100000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal -205.725-94.667-334.727-157.995276.981-378.35-213.76721.236-0.884-132.266-97.44496.966-181.705-415.557130.626-34.718-228.39101.889-86.45765.833-142.985-59.2333.858-24.593-20.991-19.859
Vorderingen 71.508-48.195-58.03-275.287.479-194.4043.65859.36289.9-127.647-65.366307.94300000000000000
Voorraden -255.75564.394-351.66269.466145.133-140.747-337.126-32.04-13-114.835-22.926154.844132.779-305.3233.959-2.659-86.7669.5771.165-100.499-75.21436.683-27.231-39.31223.70219.112
Crediteuren -29.263-53.85362.608106.27950.91-42.554118.7-6.525-81.35500000000000000000
Overig Werkkapitaal 0.963-57.01412.357-58.539-6.541-237.603123.3653.27612.116-17.431-74.514342.122-314.484-110.234126.668-32.059-141.62492.312-87.622166.332-67.771-95.91531.08914.719-44.693-38.971
Overige Niet-Contante Posten 72.287465.213-128.68695.868-86.381-7.897-35.939-93.767-107.244-448.808-153.424-403.276-267.97-231.482-33.058-87.566-51.487-6.7164.50635.9065.246-4.79-22.853-17.778-4.517-2.025
Kasstroom uit Operationele Activiteiten 151.43394.014225.553400.288570.762-69.65452.684209.381167.335-9.776132.96593.5196.475-113.766317.131121.4-38.516281.45555.282192.177-36.08441.52695.96981.38453.76334.307
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -137.049-627.666-236.853-201.539-526.993-298.743-321.326-174.249-84.527-211.752-307.529-223.877-251.189-70.026-280.283-313.236-187.971-162.967-87.821-202.311-385.131-150.897-209.199-73.519-17.393-1.897
Netto Overnames 57.77122.55314.8319.398.58110.0636.72110.4752.04915.8160.925-329.0017.3743.736-0.073-12.1613.71802.060.8715.0830.144209.6170.4670.3642.089
Aankoop van Beleggingen -379.5-583.64-446.928-1,165.436-48.752-0.056-90.611-525.529-874.663-481.958-37.822-201.71-1,775.111-173.476-43.152-80.213-47.650-25.005-11.228-10.118-102.48-158.243-80.52-261.3-279
Verkoop/verval van Beleggingen 258.892854.233444.4341,673.713499.613277.987391.839849.531729.2281,215.51512.8921,069.606472.854366.52399.264127.683109.7863.9193.65740.56342.322118.915180.56765.569144.68254.751
Overige Investeringsactiviteiten -21.979008.24810.5923.6319.3410.2733.2091.6682.040.58617.1824.6622.560.924-12.713-20.585-24.450.8090.3590.298-209.199-54.2514.757-1.897
Kasstroom uit Investeringsactiviteiten -159.028-334.519-224.516324.377-56.96-7.1195.963160.5-224.704539.283170.506315.604-1,528.892131.419-221.684-277.004-134.83-179.633-131.558-171.297-347.484-134.02-186.457-142.253-118.893-25.953
Financieringsactiviteiten:
Schuldaflossingen -227.783-1,446.324-1,081.347-1,923.967-2,527.883-2,132.732-1,790.917-962.78-1,351.057-1,726.786-1,873.714-3,733.009-1,622.396-1,206.261-896.009-764.516-559-569-334.793-888.509-446.89-407.372-107.376-175.375-79.742-162.871
Uitgifte van Gewone Aandelen 00000000000000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000000
Uitgekeerde Dividenden -188.733-47.183-47.183-47.183-47.183-178.284-177.125-216.756-172.858-192.576-177.754-213.387-171.418-106.267-104.178-102.908-101.849-61.746-25.625-35.159-67.032-66.118-40.274-29.774-3.024-5.249
Overige Financieringsactiviteiten 5.2021,470.2831,149.6871,488.6972,334.3852,331.6871,914.094960.5331,612.9081,342.8311,699.9652,956.6243,305.4541,424.9361,013.644982.346869.984518.1404.56944.827877.864527.753326.791248.98951.996292.566
Kasstroom uit Financieringsactiviteiten -29.049-101.427-61.839-574.772-384.60120.671-53.948-219.00488.993-576.531-351.502-989.7721,511.64112.40713.457114.922209.135-112.64644.14321.16363.94254.263179.14143.84-30.771124.446
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1.3647.983-3.499-2.230.80.085-6.5415.0633.7310.783-1.612-1.687-1.304-1.086-0.073-0.082-0.116-0.071-0.054-0.9160.0060.780-0.00300.133
Netto Kasstroomverandering -35.283-33.949-64.301147.663130.002-56.017-1.842155.9435.354-46.241-49.648-82.336-12.08128.974108.831-40.76335.674-10.894-32.18841.123-19.621-37.45188.653-17.032-95.9132.933
Kaspositie aan het Einde van de Periode 396.766432.049463.038527.339379.676250.174305.69307.532151.592116.238162.478212.127294.463306.543177.56968.738109.50173.55284.446116.63475.51195.132132.58243.9360.962156.862