Beijing Shougang Co., Ltd.

SZSE:000959.SZ

3.77 (CNY) • At close October 26, 2023
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) CNY.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Operationele Activiteiten:
Nettowinst 663.7551,509.4158,326.5312,411.1431,754.0673,331.3813,107.402471.633-1,476.232-28.562-341.894-534.647-194.95232.43304.059354.3609.828446.579752.8641,061.547831.008684.107708.402758.917197.947
Afschrijvingen & Amortisatie 7,953.527,798.2287,442.246,517.9235,934.2975,812.9285,123.3354,894.8512,239.7762,096.355358.755404.781432.103746.586590.24511.023451.035504.463476.252548.218501.749498.796458.659425.095104.065
Uitgestelde Inkomstenbelasting 064.693-89.408-92.76-268.702-439.651237.307128.203-122.4730000000000000000
Aandelen Gebaseerde Vergoedingen 0000000000000000000000000
Verandering in Werkkapitaal -4,677.262-2,327.664-2,818.759-426.175-6,548.3941,691.979-564.757551.234-509.079609.712370.188472.186-718.308-490.33552.802-1,164.128254.7381,878.336621.701-580.45334.75-558.983-409.38-404.926-298.44
Vorderingen -551.504850.893-2,744.998-1,780.773-1,692.114522.206-4,701.92-3,639.177-234.561495.5461,000.17397.3940000000000000
Voorraden -764.11-344.415-1,457.869-1,956.49-1,499.258-398.109718.061-418.382315.205451.364-48.21240.795-81.755393.257-322.427-413.908-28.43711.231-89.708-426.609-110.19141.076-9.377-58.62134.842
Crediteuren -4,243.064-2,898.8351,627.0233,403.848-2,710.8762,007.5333,181.7954,480.59-1,306.9940000000000000000
Overig Werkkapitaal 881.41664.693-242.916-92.76-646.1462,090.088-1,282.818969.616-824.284158.349418.398231.391-636.553-883.588875.229-750.219283.1741,867.105711.408-153.841444.941-600.059-400.004-346.305-333.282
Overige Niet-Contante Posten 2,214.2943,064.2552,093.7161,771.7872,178.6591,623.1021,667.5511,943.31497.18428.2232.455-12.949-248.665-100.555-91.173360.36326.755187.784192.161152.9160.092250.198148.742230.19883.09
Kasstroom uit Operationele Activiteiten 6,154.30610,044.23515,043.72710,274.6793,318.62912,459.399,333.5317,861.027751.6453,105.729389.504329.371-729.82388.131,355.92761.5591,342.3553,017.1622,042.9771,182.2161,827.599874.119906.4221,009.28486.661
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,766.381-2,639.014-3,015.839-3,032.55-5,469.994-9,746.566-5,042.735-3,519.657-1,669.176-3,067.011-244.989-311.608-718.496-411.681-466.603-900.807-2,817.454-1,705.116-1,284.598-187.871-450.1-479.036-326.948-394.866-274.933
Netto Overnames 4.61712.40546.032-512.9343.3410.2823.288-4,218.08-5,500-1.6430.0070.0060.01916.1632.171.616-1.3811.78185.5331.7180.441.5780.0480.1260
Aankoop van Beleggingen -662.474-789.481-113.658-16.145-64.76-117.075-404.648-105-0.635-6.311-183.837-585.97-98.168-255.578-113.402-263.661-575.087-8.551-21.896-2.196-8.378-49.9-25-586.069-700
Verkoop/verval van Beleggingen 1,375.632121.236422.139362.659235.221124.446309.91244.379312.179393.39943.424278.097478.218368.167411.74336.344250.56325.512.90162.52217.1211.88575.961202.1960
Overige Investeringsactiviteiten -115.231132.789-169.069433.7273.36197.85927.334119.551-6.0823.56410.0111.5317.0621.78719.57853.18169.5264.29252.21751.73410.2787.3373.7838.319-274.933
Kasstroom uit Investeringsactiviteiten -1,163.836-3,162.064-2,830.395-2,765.25-5,222.83-9,641.055-5,106.851-7,478.808-6,863.713-2,678.002-375.386-607.945-321.368-261.142-146.513-1,073.326-3,073.838-1,622.095-1,155.843-74.094-430.639-508.14227.844-770.294-974.933
Financieringsactiviteiten:
Schuldaflossingen -3,382.129-5,729.25-8,603.84-4,236.434,514.5696.872-344.151,753.8815,961.378532.138-2,614.371-17030-80-63.25-1.775186.524800946.19229.1352,063.22334-17.6330
Uitgifte van Gewone Aandelen 0-14.443-18.5630000000000000000000000
Terugkoop van Gewone Aandelen -80.304018.5630000000000000000000000
Uitgekeerde Dividenden -1,486.318-625.59-3,088.089-2,654.055-2,561.017-2,486.057-2,496.527-2,406.884-911.072-988.979-201.936-222.377-502.539-569.688-609.872-1,004.652-702.945-944.653-1,155.18-909.486-724.308-270.901-265.763-726.179-49.98
Overige Financieringsactiviteiten 311.9721,114.3043,073.118-62.543-145.997-7.103315.337-18.8813,065.664-2.117-1.695-235.829-0.035457.441259.97695.986109.467-4.104-6.814-0.071-47.1517.75100.2191,771.491
Kasstroom uit Financieringsactiviteiten -4,636.778-7,088.828-8,637.374-6,953.0281,852.452-2,396.288-2,525.341-671.8836,019.271-458.958-227.047-405.829-472.574-192.248-413.146-910.441-406.954-144.757-215.801-880.4221,291.764-260.15-261.763-743.5931,721.511
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.010000-00-0000-00-00.004-0.6380.017-0.5780.356-0.312-0.0940.028-0.011-0.0050
Netto Kasstroomverandering 575.446-206.6563,575.957556.401-51.749422.0471,701.339-289.664-92.797-31.231-212.929-684.403-1,523.761-65.26796.271-1,922.847-2,138.421,249.732671.689227.3872,688.629105.857872.493-504.607833.239
Kaspositie aan het Einde van de Periode 8,904.6618,329.2158,535.8714,959.9143,917.9693,969.7193,547.6711,846.332454.955547.753400.904613.8331,298.2362,821.9972,887.2572,090.9864,013.8336,152.2524,902.524,230.8324,003.4441,314.8151,208.971336.479841.086