China Resources Power Holdings Company Limited

HKEX:0836.HK

19.46 (HKD) • At close July 31, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 14,388.44711,003.2837,042.4782,137.8497,582.6686,590.3453,950.4354,623.3237,708.37310,025.2419,214.85811,015.5269,903.7616,862.1496,516.8836,408.0562,151.5123,875.9262,745.0983,082.1141,872.318589.4628.108
Afschrijvingen & Amortisatie 16,417.36214,720.20714,429.59214,619.07811,712.73710,631.12911,043.36310,411.539,788.8179,707.3018,538.9777,304.756,183.1395,502.034,209.5353,188.1542,766.2581,681.233968.726587.734220.10875.0762.34
Uitgestelde Inkomstenbelasting 000000000000-2,586.948-1,706.514-1,782.753-1,168.451-482.117-620.351-735.451-2,120.889000
Aandelen Gebaseerde Vergoedingen 0000000000001.477153.73427.68853.58791.337155.685113.23106.256000
Verandering in Werkkapitaal -3,534.521-3,401.824-595.441-10,587.119-3,495.685-2,336.171808.076-1,716.835-2,123.6094,659.173-1,007.922-2,262.252,032.427-1,433.932-554.944-674.192-87.65-492.523-829.921-558.071-254.96-10.0540
Vorderingen -2,752.287-4,614.076-2,557.534-10,960.705-6,261.275-3,032.4211,273.153-1,852.116-1,117.7643,927.353-1,094.571-2,284.89100000000000
Voorraden -766.498510.3371,742.32-3,727.263482.09960.348-465.077135.281-1,005.845731.8286.64922.641333.857-1,469.559-474.492556.415-839.018-240.966-151.535-133.666-144.288-10.0540
Crediteuren 0721.769335.1974,088.6111,511.05577.629-4,814.258-840.4892,447.71654.8510000000000000
Overig Werkkapitaal -15.736-19.854-115.42412.238772.44158.2734,814.258840.489-2,447.716-54.851247.878316.141,698.5735.627-80.452-1,230.607751.368-251.557-678.386-424.405-110.67200
Overige Niet-Contante Posten 6,423.7176,547.612-755.567-1,699.22,295.6433,549.1112,294.895,244.0026,920.9397,597.1639,754.0027,129.6653,431.1773,197.5692,404.0441,938.2181,667.344953.565412.304335.696-1,384.285-690.944-48.438
Kasstroom uit Operationele Activiteiten 33,695.00528,869.27820,121.0624,470.60818,095.36318,434.41418,096.76418,562.0222,294.5231,988.87826,499.91523,187.69118,965.03312,575.03610,820.4539,745.3726,106.6845,553.5352,673.9861,432.84453.181-36.462-17.99
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -49,699.664-38,776.747-32,579.796-25,688.887-30,528.698-22,541.915-16,884.456-15,527.187-16,319.256-16,811.289-24,483.498-23,258.326-10,670.124-12,373.008-16,770.259-19,067.161-13,741.419-6,895.325-4,992.194-3,909.487-5,902.866-3,656.048-1,428.706
Netto Overnames 5.752-1,909.421597.4834,426.838488.4222,974.2831,989.7871,177.784396.1591,028.575-240.1944,600.617-1,480.465-5,659.251-415.894-3,587.143-1,981.284-4,292.433-659.6791,867.758366.334264.878-3,024.832
Aankoop van Beleggingen 00-2,191.216-747.322-1,109.375-3,003.463-826.627-1,365.255-933.6-1,533.033-343.46-31.729-245.340-4,107.405-72.637-122.847-612.428-88.2580000
Verkoop/verval van Beleggingen 00140.533747.5591,189.331478.93737.996187.471314.8381,173.955583.654573.7712,098.0550703.046-7,062.056-1,993.6341,146.1031,132.3960000
Overige Investeringsactiviteiten -2,380.266-3,299.432-82.091580.84616.50143.4728,093.623994.1491,273.6552,479.712,121.7374,043.175314.907-871.315191.626,286.511,010.475-362.613-385.9361,081.943383.667664.2514.676
Kasstroom uit Investeringsactiviteiten -52,074.178-43,985.6-34,115.087-20,680.966-29,943.819-22,048.686-7,589.677-14,720.509-15,268.204-13,662.082-22,018.301-14,072.492-9,982.967-18,903.574-20,398.892-23,502.487-16,828.709-11,016.696-4,993.671-959.786-5,152.865-2,726.92-4,438.862
Financieringsactiviteiten:
Schuldaflossingen 32,674.48623,136.8313,069.54923,085.35713,956.199-1,483.062246.6535,878.4321,367.58-8,541.8017,978.9241,050.112-3,571.7573,474.96717,755.85913,459.3898,963.6997,243.491,687.9361,714.6514,544.8023,576.5914,518.943
Uitgifte van Gewone Aandelen 9,383.75609,844.893000469.9789.1383.45444.57780.9196.573107.92938.985159.2812,286.36214.1485,036.28860.2245.4990.2242,962.40
Terugkoop van Gewone Aandelen -2,162.780-10,558.855000000000-13.45500-526.16-155.34-32.31400000
Uitgekeerde Dividenden -7,745.807-3,385.718-1,226.311-3,154.904-2,755.79-1,938.011-4,184.668-4,185.088-4,175.587-3,689.874-3,566.55-2,514.411-1,414.371-1,549.311-1,770.924-619.505-1,044.269-734.463-762.613-656.766-95.200
Overige Financieringsactiviteiten -11,723.127-7,922.13813,187.812-991.725220.9784,062.964-3,507.174-5,013.927-6,775.214-6,684.253-6,700.695-6,370.796-4,227.2151,754.948-6,222.036-175.976-22.1753,901.133-390.828-243.87-200.195-177.46412.196
Kasstroom uit Financieringsactiviteiten 20,404.02811,828.97414,472.19518,938.72811,421.387641.891-7,445.189-3,231.445-9,579.767-18,871.351-2,207.421-7,638.522-9,118.8693,719.5899,922.1814,596.3917,956.06310,377.846594.719624.3274,249.6316,361.5274,531.139
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -273.52-350.955-690.764169.357556.247-97.466-466.431424.598-373.472-466.635-24.104161.0837.487303.847196.035-44.433345.916225.20760.72467.5490.707-3.880
Netto Kasstroomverandering 1,751.335-3,638.303-249.2892,750.4593.762-2,858.6252,595.4671,034.664-2,926.923-1,011.192,250.0891,637.757-99.316-2,305.102539.776794.843-2,420.0465,139.892-1,664.2421,164.93-449.3463,594.26574.287
Kaspositie aan het Einde van de Periode 5,834.3074,082.9727,837.7418,087.035,336.5715,332.8097,977.1535,381.6864,347.0227,273.9458,285.1356,035.0464,397.2894,496.6056,801.7076,261.9315,467.0887,887.1342,747.2424,411.4843,246.5543,695.9101.635