Inspur Electronic Information Industry Co., Ltd.

SZSE:000977.SZ

29.32 (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 1,782.7842,055.6692,029.931,508.972955.39651.347424.416283.541447.034338.798144.61968.74676.80434.7663.98323.4210.8028.60438.01460.12229.34850.15343.32372.67346.338
Afschrijvingen & Amortisatie 398.42356.922362.221288.911271.328423.829171.327126.49377.25972.33652.74241.0241.62538.37224.43622.21226.27622.56155.32950.68737.07114.03813.09910.7156.334
Uitgestelde Inkomstenbelasting -78.80824.591-60.053-126.29-57.26-74.239-22.846-4.562-10.030000000000000000
Aandelen Gebaseerde Vergoedingen 07.52700000000000000000000000
Verandering in Werkkapitaal -1,940.173-1,428.986-11,731.574-124.951-1,334.697-578.176-734.763-597.749-603.409-700.258-1,078.506-362.67185.425-22.31337.327-17.536-33.2-14.774-64.703-108.597-58.05778.95919.618-69.062-20.012
Vorderingen 928.6173,810.396-3,248.095710.532-6,214.952-1,746.554-2,636.903-207.782-851.997-717.168-387.311-268.2030000000000000
Voorraden -4,121.4267,025.775-12,120.489-2,820.446-479.428-3,507.446-2,229.83-466.348-386.942-819.974-494.76-243.22878.024-150.42898.796-35.043-20.828-43.87134.032-83.034-55.52923.274-4.006-96.915-15.986
Crediteuren 1,252.635-12,289.7493,697.0632,111.2535,416.9434,750.0634,154.81680.944645.560000000000000000
Overig Werkkapitaal 024.591-60.053-126.29-57.262,929.2691,495.067-131.401-216.468119.716-583.746-119.442107.401128.115-61.46917.506-12.37129.097-98.735-25.563-2.52855.68523.62427.854-4.026
Overige Niet-Contante Posten 3,099.454784.271,049.849657.382973.328833.357393.868259.699-64.589-152.77856.49819.162-50.311-22.053-4.6297.9766.153-9.1698.77116.36827.54-14.9581.064-2.838-10.897
Kasstroom uit Operationele Activiteiten 524.6641,799.992-8,289.5742,330.314865.3491,330.357254.84871.986-143.705-441.901-824.648-233.742253.54328.77361.11636.07110.0327.22237.41118.5835.902128.19277.10411.48721.763
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -306.976-1,123.784-194.864-449.257-435.313-418.569-293.222-399.56-445.435-101.163-215.481-14.302-69.257-63.62-40.242-15.086-6.008-10.034-82.45-54.741-91.057-62.446-110.128-42.223-9.687
Netto Overnames -320.9593.99535.451449.314435.69304.12399.632445.453101.3270.10726.631139.256107.761015.38500.90512.50771.08593.91885.799110.5861.8940.022
Aankoop van Beleggingen -101-2,224-30,058.4-50,872.906-62,061.6-34,225.066-21,331.469-8,047.518-4,233.221-3,481.62-434.928-5.71-196.635-386.4930-107.70-160-58.363-87.937-9.419-75.418-320.486-4.823-63.6
Verkoop/verval van Beleggingen 143.5312,622.06133,807.67247,352.01665,584.98634,397.32318,361.1558,303.514,285.4643,455.70681.246.2452.539105.1774.21261.71637.843219.8477.70624.269103.5859.2176.82415.1529.302
Overige Investeringsactiviteiten -4.2550-35-449.257-435.3132.9490.003-399.56-445.435-101.163-0.272-14.302-69.257-63.620.044-15.0860.879-193.443-71.471-54.741-91.057-62.446-110.1281.5170.32
Kasstroom uit Investeringsactiviteiten -589.66-721.7283,554.858-3,970.0883,088.453-243.363-3,259.413-143.496-393.175-126.913-569.334-1.443-143.354-300.794-35.986-60.7732.715-142.733-122.07-102.0645.966-55.294-423.333-28.484-43.642
Financieringsactiviteiten:
Schuldaflossingen -3,540.09-21,995.832-9,177.705-9,725.293-10,560.909-13,535.917-4,212.27-4,958.767-6,131.599-3,999.378-690.026-250.182-1500-183.538-354.315-235.971-72.701-324.844-358.8-227.073-210-4.96-39-64.713
Uitgifte van Gewone Aandelen 0000000000000000000000000
Terugkoop van Gewone Aandelen 0000000000000000000000000
Uitgekeerde Dividenden -219.555-203.521-159.909-100.878-77.355-361.626-176.362-116.694-129.935-126.18-74.387-33.166-9.708-0.508-6.418-17.492-12.0290-9.45-14.207-25.682-25.948-22.026-19.657-1.874
Overige Financieringsactiviteiten -348.76623,285.82811,715.20115,337.2618,084.38415,490.4448,483.6345,491.2946,891.4135,270.2122,081.938496.971401500250.108422.191114.033248.474607.93280.273207.7848.013672.50990.808
Kasstroom uit Financieringsactiviteiten 2,940.161528.7042,072.8515,315.107-2,811.6751,592.9014,095.001415.834629.8791,144.6531,317.525213.622-19.708149.492-189.956-121.699174.19141.332-85.819234.92227.517-28.163-18.972613.85224.222
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 34.406130.714-31.771-74.06179.82173.973-22.95425.0597.999-0.433-1.06000000-00.8080.158-0.0080000
Netto Kasstroomverandering 2,975.5221,737.682-2,693.6363,601.2721,221.9492,753.8681,067.482369.383100.998575.406-77.517-21.56490.481-122.53-164.825-146.398216.937-94.179-169.67151.59769.37844.736-365.201596.8552.343
Kaspositie aan het Einde van de Periode 12,012.8638,996.1027,258.429,952.0566,350.7845,128.8362,374.9681,307.485938.102837.105261.699292.752314.316223.835207.229372.054510.596293.659387.838557.508405.911336.534291.798656.99960.144