Yunnan Copper Co., Ltd.

SZSE:000878.SZ

11.16 (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 2,305.3582,656.2641,295.719813.368974.76401.747377.122174.4264.256129.206-1,420.085131.135836.745578.24440.204-2,905.0171,023.4981,235.4528.317244.797104.41546.80683.25156.223140.555124.477
Afschrijvingen & Amortisatie 1,355.3291,384.5861,493.9441,427.7111,421.9881,113.425809.418800.371806.65743.272785.343773.904736.6596.823517.254514.713305.947130.723116.82187.14158.64253.71538.47241.27742.47241.121
Uitgestelde Inkomstenbelasting 0133.855-20.817-64.189-19.57743.457-30.081-17.2847.01300000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal 1,629.313883.869976.197702.748-2,579.992-727.629-3,034.3781,002.527-491.5412,723.6043,947.148136.216-1,055.351-2,425.787-66.849-5,723.858-1,884.715-3,086.114658.948-1,472.932140.606-426.98632.376-8.476-238.386-752.024
Vorderingen 2,285.713-1,018.803-1,144.429-628.559-620.693-407.392-244.177353.834411.951681.832852.5591,416.33100000000000000
Voorraden -583.25881.567846.9451,045.123-4,442.163-883.396-2,452.938402.3981,448.048824.193,831.02-995.6461,698.944-3,501.309-5,180.3021,055.621-170.582-4,207.809444.92-1,906.129-289.772189.83594.586-514.712-442.985-210.365
Crediteuren 51.1261,687.251,294.498350.3722,502.441519.703-199.888263.579-2,358.55400000000000000000
Overig Werkkapitaal -124.268133.855-20.817-64.189-19.577155.767-581.439600.129-1,939.591,899.414116.1291,131.861-2,754.2951,075.5225,113.453-6,779.479-1,714.1331,121.695214.028433.196430.378-616.815537.791506.237204.599-541.659
Overige Niet-Contante Posten 1,154.2291,151.5221,300.591,940.0011,254.3271,435.067668.327759.445733.778864.971934.4841,372.7011,557.935905.97685.4062,966.52601.056306.152255.441133.84649.649.36554.83870.63277.062-67.019
Kasstroom uit Operationele Activiteiten 6,444.236,076.245,066.454,883.8271,071.0832,222.61-1,179.512,736.7621,113.1434,461.0544,246.8912,413.9562,075.929-344.7541,576.015-5,147.64245.785-1,413.8391,559.527-1,007.148353.263-277.093808.936259.65621.703-653.446
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,663.902-1,030.243-565.665-998.187-2,852.917-4,480.011-2,424.609-1,092.724-651.518-812.222-870.356-951.43-906.179-904.99-720.258-1,478.449-1,686.126-265.142-184.369-156.038-223.669-302.237-434.248-218.408-309.38-53.726
Netto Overnames 0.069110.651445.3254.8381.597841.54434.232104.88616.75700159.7820.1556.1360.4010-601.8111.3150.4530.143000000
Aankoop van Beleggingen -600-1,874.805-0.195-63.7327.148-200-318.60145.443-3.96800-0.272-1,868.011-0.448-27.5640-474.628-36-85.1-52.410-20-30-13.8900
Verkoop/verval van Beleggingen 127.289162.916135.687156.7627.0958.5081.3663.221224.35318.15412.22821.51541.10725.08643.16481.13866.8257.6283.350.724000000
Overige Investeringsactiviteiten 630.142-406.376578.441-1,470.712456.836766.604-356.848526.593-458.717-250.287-40.018221.952571.379-642.996-25.5250.06615.427-12.421130.03518.6892.822.1071.415-0.49822.239
Kasstroom uit Investeringsactiviteiten -1,506.402-3,037.858593.593-2,371.032-2,360.24-3,704.899-3,064.46-412.581-873.094-1,044.355-898.146-548.454-2,161.55-1,517.211-729.781-947.245-2,680.314-304.621-252.665-207.547-204.98-319.417-462.141-230.883-309.878-31.487
Financieringsactiviteiten:
Schuldaflossingen -1,701.17-3,598.136-1,959.426-1,467.1172,300.4551,636.3124,271.319-1,035.064421.713-3,437.891-3,369.579-235.981-2,066.0573,489.474-722.0931,930.2537,360.9013,071.649-1,216.561,684.236-219.928409.744-655.051320.548728.67187.613
Uitgifte van Gewone Aandelen 00000000000000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000000
Uitgekeerde Dividenden -1,351.881-1,056.162-169.968-953.811-954.095-871.774-461.059-654.129-629.658-713.924-842.746-1,113.446-1,103.538-884.669-744.267-1,098.975-1,303.49-504.204-271.944-131.567-85.624-61.776-149.05-115.176-65.103-35.916
Overige Financieringsactiviteiten -425.9882,381.493-1,432.656-344.03639.061909.853-50.711-34.788-77.573-102.526-23.866-38.4522,881.116-353.794-514.37926.2142,672.991-129.786796-4.412.3520.72468.69432.056-1.392734.685
Kasstroom uit Financieringsactiviteiten -3,479.039-2,272.805-3,562.05-2,764.9651,385.421,674.3913,572.597-1,723.981-285.517-4,254.342-4,236.192-1,387.879-288.4792,410.859-1,979.939857.4918,727.1812,437.659-692.5041,548.258-303.201368.689-335.407237.429662.176786.382
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.60151.715-10.688-33.72711.94614.125-13.46317.9065.8572.674-17.063-19.988-0.005-0.004-0.0042.861-1.443-0.9270.724-0.952-0.7460.2960-000
Netto Kasstroomverandering 1,461.391817.2922,087.306-285.897108.209206.227-684.836618.106-39.611-834.969-904.51457.635-374.105548.891-1,133.709-5,234.5366,091.21718.272615.082332.612-155.665-227.52611.387266.202374.001101.449
Kaspositie aan het Einde van de Periode 6,188.6474,727.2573,909.9651,822.6592,108.5562,000.3461,723.762,408.5961,790.491,830.1012,665.073,569.583,111.9453,216.4362,667.5453,801.2549,034.1232,047.3951,329.123714.041381.43537.095764.621753.234487.031113.03