China Merchants Port Group Co., Ltd.

SZSE:001872.SZ

15.34 (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 3,571.8018,231.6837,655.0065,525.5688,166.9172,885.915713.859669.85652.718529.79642.48615.77667.776826.639604.135944.409992.504946.874903.727832.21494.091288.734124.054112.53104.04455.411
Afschrijvingen & Amortisatie 3,120.9033,028.3562,823.1532,776.4462,642.521,825.666324.14230.167236.851236.384223.041205.335198.056214.77206.912219.69229.651221.871182.129147.458110.74593.09486.65678.51872.41673.951
Uitgestelde Inkomstenbelasting 174.155241.75267.017-28.062332.166218.073379.885-0.73815.66800000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal -297.052-242.496247.714617.911,748.893377.83148.85413.895126.83952.36288.479-120.776-32.635-8.874-26.76541.7811.115-42.41795.37432.065-36.6342.805-15.6899.078-39.415-4.059
Vorderingen -132.512-245.988-4.504-423.471-2,391.267-261.424-19.56-9.82642.944-12.88834.081-32.48100000000000000
Voorraden 6.316-30.79920.058-38.671-11.704-25.110.1492.5291.792.165-0.1112.1750.3881.7281.533-3.28-1.026-1.542-0.337-2.8370.199-1.593-1.276-5.292.6215.23
Crediteuren -170.857-207.46-34.8571,138.5493,819.699446.292184.67364.06766.43800000000000000000
Overig Werkkapitaal 0241.75267.017-58.497332.166402.941148.70511.366125.04950.19788.59-122.951-33.023-10.601-28.29945.0612.141-40.87595.71234.902-36.8334.398-14.41314.368-42.035-9.289
Overige Niet-Contante Posten 8,878.603-4,331.284-4,215.546-3,424.123-7,056.457-800.835-24.571-86.157-38.557-0.222-56.822-1.856-87.006-105.69-57.78-115.524-35.77719.68434.8925.77534.44133.23431.72314.20225.891-2.34
Kasstroom uit Operationele Activiteiten 8,909.5516,920.3776,510.3275,495.8015,501.8734,288.5751,162.282827.755977.851818.315897.178698.472746.191926.846726.5021,090.3551,197.4931,146.0121,216.1211,037.507602.643417.867226.744214.328162.935122.963
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,929.375-2,133.837-2,235.973-2,728.598-3,515.541-2,437.081-230.427-171.568-152.822-223.69-405.954-492.433-585.895-199.524-269.211-264.54-397.292-150.732-960.718-827.344-615.153-186.984-145.499-401.056-133.104-149.519
Netto Overnames 244.343-572.44476.761389.9381-8,931.0975,730.3171.4573.11700-100-220.284211.8021.962328.719399.15158.826963.217834.114616.888192.0410402.7050153.945
Aankoop van Beleggingen -29,974.649-54,509.066-22,831.319-13,686.332-7,898.674-4,084.107-2,290.1740000-100586.935-749.655292.23-40-40-40.107-76-113.51-200.853-101.8750-99.180-1.121
Verkoop/verval van Beleggingen 28,430.7443,324.8820,003.59910,688.1321,804.7261,813.36663.57778.874149.999159.67667.05372.26495.924155.88587.292183.7256.8253.652214.41614.219.7523.52550.8711.933016.697
Overige Investeringsactiviteiten 3,082.292-73.482414.924-1,556.2577,671.499-1,509.644-3,370.1022.7913.1170.8832.867105.366-585.895-199.524-269.211-264.54-397.292-150.732-960.718-827.344-615.153-186.9842.73-401.056-24.164-149.519
Kasstroom uit Investeringsactiviteiten -146.649-13,963.949-4,572.008-6,893.117-1,936.991-15,148.562-96.81-89.9030.294-63.13-336.035-514.802-709.215-781.017-156.938-56.636-428.609-179.093-819.802-919.874-804.518-280.278-91.898-496.654-157.268-129.517
Financieringsactiviteiten:
Schuldaflossingen -3,497.82-2,302.462-23,334.672-26,923.924-15,402.221-23,593.667-621.27-1,541.61-1,200-1,611.355-1,715.978-1,875.06-1,506.05-1,178.32-1,085.04-2,609.359-1,484.924-1,526.624-1,708.858-835.86-1,333.653-903.987-628.189-377.399-319.424-252.58
Uitgifte van Gewone Aandelen 0-7.7790003,876.39600000000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000000
Uitgekeerde Dividenden -1,124.584-826.617-730.499-884.288-850.443-2,012.146-339.875-316.098-289.368-344.236-296.601-323.981-361.238-236.657-345.352-491.807-436.305-992.166-514.263-218.421-136.824-63.849-90.748-81.342-51.097-71.667
Overige Financieringsactiviteiten -7,944.5878,046.60124,784.24635,150.07516,444.83734,481.012189.811851.62716.886952.8111,855.4411,851.3991,536.5411,315.829960.5311,936.8431,768.4761,579.621,880.256984.271,658.383720.565593.689766.825326.82377.069
Kasstroom uit Financieringsactiviteiten -6,400.8057,516.238-949.6825,394.472-1,233.7038,875.199-771.334-1,006.089-772.483-1,002.781-157.138-347.642-330.747-99.148-469.861-1,164.323-152.753-939.17-342.865-70.011187.906-247.271-125.249308.084-43.752.822
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 89.206367.287-159.960.3059.697-371.391-18.02411.1368.840.692-3.3220.039-9.159-6.057-0.083-9.508-3.066-2.484-2.4781.9410.9570.021-0.07-2.8450.0830.153
Netto Kasstroomverandering 2,463.717839.954828.7374,057.4612,340.876-2,356.179276.114-257.101214.503-246.904400.684-163.933-302.93140.62499.62-140.112613.06525.26650.97649.563-13.012-109.6639.52622.913-37.95146.421
Kaspositie aan het Einde van de Periode 16,079.64613,567.30912,727.35511,771.6197,714.1585,373.282818.194426.037683.138468.635715.54314.856478.789781.72741.096641.476781.588168.523143.25792.28142.71855.73162.17141.807118.894157.031