Hisense Home Appliances Group Co., Ltd.

SZSE:000921.SZ

23.74 (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 2,837.3233,069.2342,342.8012,846.0351,950.4491,423.0742,071.8071,141.594544.276711.511,269.129732.306225.449596.12148.795-232.326215.343.284-3,759.438-256.254208.327100.888-1,569.23-1,012.645684.805614.47
Afschrijvingen & Amortisatie 1,201.2631,358.5561,122.7631,043.179807.137672.849709.004697.4603.014498.641367.363377.678358.697366.228229.976214.413272.403219.869449.2418.354270.083259.416259.39419.624199.482158.075
Uitgestelde Inkomstenbelasting -137.858-92.336-233.383-53.141-48.65314.269-6.7126.1883.90400000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal 5,389.328-184.7291,171.2992,357.586492.513-243.22-797.7181,630.029-169.098-22.701-949.352222.818-145.4869.529242.492-495.622-321.713883.273434.335398.021271.81198.869456.2741,380.166-1,700.385606.689
Vorderingen -1,837.173-658.22613.381-2,240.23351.338202.272-553.468-1,784.507-1,143.95734.465-820.489-1,220.59500000000000000
Voorraden -200.7391,835.857-2,695.293-792.669513.747447.893-742.417-376.676670.492-419.562-757.919-195.486344.737-776.58-156.894422.246-30.317601.151,778.374-1,387.318-857.553464.434229.15-415.57-288.7335
Crediteuren 7,427.24-1,270.0293,486.5945,443.629-23.92-907.654504.8793,785.024300.45500000000000000000
Overig Werkkapitaal -0-92.336-233.383-53.141-48.653-691.113-55.3012,006.705-839.591396.861-191.433418.305-490.223786.109399.386-917.868-291.396282.124-1,344.041,785.3381,129.364-365.565227.1241,795.736-1,411.652601.689
Overige Niet-Contante Posten -1,017.296-210.679-323.082-284.092-1,244.761-803.337-1,528.045-543.093-493.931-221.46-468.343-234.609-72.395-334.30894.69271.194-170.426-223.9791,616.089333.586259.99840.6111,001.659303.091156.56-342.53
Kasstroom uit Operationele Activiteiten 11,259.5614,032.3834,313.7815,962.7082,005.3371,049.367455.0492,925.93484.261965.99218.7981,098.193366.265637.57715.955-442.341-4.396882.448-1,259.815893.7071,010.22499.785148.0941,090.235-659.5381,036.703
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -985.119-883.485-1,107.185-613.684-363.527-330.02-390.214-294.985-449.659-766.187-565.717-163.238-230.052-346.147-205.728-211.996-301.658-128.803-120.305-509.145-349.838-264.511-307.4890-851.324-528.321
Netto Overnames 71.7456.398999.94528.79854.50862.552-47.8410.0190069.0348.6511.9080231.46900010.11200005.479528.321
Aankoop van Beleggingen -29,479.123-24,197.925-20,860.53-74.4138.79-47.75-242.25-3,0612.19100164.671234.611347.5320-51.819-1.2200-55.53300-16.849-300.334-1.576-448.131
Verkoop/verval van Beleggingen 20,246.696371.157186.394216.4261,110.26160.643268.72178.29337.68898.32878.2552.899.94324.0440.2412.0080008.2860000.63924.59235.094
Overige Investeringsactiviteiten -9,073.27722,056.20816,358.087-3,457.694-1,020.252545.54232.273-1,080.321-2009.3214.909-163.238-230.052-346.1479.6841.447433.33183.85329.76738.832-629.948-293.237-743.22418.697-0.048-528.321
Kasstroom uit Investeringsactiviteiten -10,145.807-2,597.646-4,423.289-3,900.555-80.229228.413731.081-1,197.016-309.761-658.539-472.558-39.971-116.902-8.81-195.805-18.89130.45255.05-90.538-507.448-979.786-557.747-1,067.562-280.998-822.877-941.357
Financieringsactiviteiten:
Schuldaflossingen 00000000000000000000000000
Uitgifte van Gewone Aandelen 00000000000000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000000
Uitgekeerde Dividenden -717.394-291.623-472.866-538.277-412.906-603.587-408.818-212.364-11.582-26.947-15.791-37.329-51.153-55.59-62.902-62.427-75.12-120.271-132.224-154.627-68.939-90.009-92.865-297.898-281.207-337.851
Overige Financieringsactiviteiten -910.3011,435.9974,655.822-1,507.909-409.545-357.589-611.349-816.8481,469.8641,381.157473.9961,767.2062,455.0342,163.3982,484.4831,923.5781,904.0221,265.423,722.765,737.6191,426.91,454.465863.44751.411,124.314258.606
Kasstroom uit Financieringsactiviteiten -680.479-1,778.6321,474.923-2,512.458-922.45-1,161.176-1,020.167-1,949.292-33.27789.69213.559-941.375-272.928-412.428-510.95495.052-191.907-979.536517.103-90.5497.79691.926770.582-721.377843.106-79.245
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -34.481-56.936-103.4412.41.085-7.559-8.6283.2040.896-0.09-0.474-00.4582.3540.09600-0-0-5.0812.0371.4780.311-2.290.9211.648
Netto Kasstroomverandering -1,062.022-400.8311,261.974-447.9041,003.743109.045157.334-217.174142.12397.052-40.674116.846-23.107218.6859.29733.821-65.851-42.038-833.249290.62940.26735.442-148.57685.57-638.38717.748
Kaspositie aan het Einde van de Periode 4,939.2732,478.3462,879.1771,617.2032,065.1071,061.364952.319794.9851,012.159870.039472.987513.661396.815419.922119.513110.21776.395142.247184.2841,017.534726.905686.638651.197838.71753.141,391.528