Shanghai Electric Power Co., Ltd.

SSE:600021.SS

9.82 (CNY) • At close August 4, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 4,163.1341,592.661,586.622-1,681.3621,911.3082,017.8283,413.0051,429.221,653.5722,229.7981,952.3641,738.421,150.984664.476428.965501.054-1,895.5703.076632.102577.264601.034602.2414.394
Afschrijvingen & Amortisatie 7,052.1676,668.8895,822.7264,907.8724,174.2053,857.6733,375.852,627.1152,035.7961,844.5721,554.0541,225.6291,211.9061,160.0741,234.81966.7451,223.312928.2631,178.475951.925952.934876.293939.276
Uitgestelde Inkomstenbelasting 00120.772-44.281-7.721-26.029-39.249-3.833-19.598-37.1230000000000000
Aandelen Gebaseerde Vergoedingen 03.794000000000000000000000
Verandering in Werkkapitaal -5,570.246-4,502.6351,585.085-5,266.053-1,341.899-2,016.139-249.445-618.092-176.576-222.227-939.86425.765265.164-3,445.214439.1611,496.651327.477270.982-9.472-84.962-553.93743.802-499.077
Vorderingen -6,511.737-4,792.453346.193-4,337.793-1,988.982-2,903.067-677.648-1,455.26-404.45557.538-1,086.8744.851-7.6480000000000
Voorraden -18.84215.78852.509-958.34157.063115.431-92.954187.925-232.849153.62466.746-10.306211.213-166.726-62.493140.683-153.883-22.285-28.419-9.269-28.8123.5326.888
Crediteuren 0-667.6071,065.612-90.573590.265797.526739.838588.279434.034-896.2660000000000000
Overig Werkkapitaal 960.331741.637120.772120.653-0.245-26.029-156.491-806.01856.272-375.851-1,006.6136.07153.952-3,278.488501.6551,355.968481.359293.26718.947-75.693-525.12820.27-505.964
Overige Niet-Contante Posten 2,527.4193,643.1393,017.2173,596.2592,529.5462,070.771-188.248713.894497.297778.81124.779448.776585.97751.388484.20483.5731,047.826-48.291125.006-162.452-83.94748.533268.822
Kasstroom uit Operationele Activiteiten 8,172.4747,405.84712,141.6911,556.7167,273.1615,930.1326,351.1634,152.1374,010.0894,630.9542,691.3333,438.5893,214.025-869.2772,587.143,048.023703.1151,854.031,926.1111,281.775916.0841,570.8271,123.415
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -13,239.263-8,066.657-8,632.508-11,533.156-14,522.218-7,952.151-9,974.014-6,649.08-1,940.297-2,272.213-4,029.862-4,694.266-947.543-975.52-2,201.556-2,547.627-4,438.819-3,848.257-1,638.691-1,366.669-1,694.268-488.113-229.254
Netto Overnames -961.964-729.923-270.995-1,420.544-11.792-134.51-161.839-74.269-8.4232.099-165.005-102.26-23.2392.43249.632-71.71877.51623.88818.8622.9510.3759.0988.474
Aankoop van Beleggingen -360.24-3,839.144-972.461-1,564.122-1,994.109-1,594.957-1,187.023-361.532-708.336-793.143-2,215.004-5.855-24.791-3-520.55-90.458-523.244-3,578.498-752.976-663.971-662.5-140.4-938.183
Verkoop/verval van Beleggingen 935.088934.219525.851550.364295.811952.199382.147658.942772.9331,215.2631,927.978626.603250.152308.431889.5881,116.033138.221353.417191.096519.852595.012203.579268.63
Overige Investeringsactiviteiten 94.514340.64623.001-819.656297.321185.892-37.914152.83321.0441,193.673279.435397.69559.534229.254418.03-710.991112.73710.656321.47763.936264.679-600.646-349.08
Kasstroom uit Investeringsactiviteiten -13,531.866-11,360.861-9,327.112-14,787.115-15,934.986-8,543.526-10,978.642-6,273.108-1,563.079-654.321-4,202.458-3,778.083-685.888-438.405-1,164.856-2,304.76-4,633.589-7,038.794-1,860.232-1,443.901-1,496.701-1,016.482-1,239.413
Financieringsactiviteiten:
Schuldaflossingen 12,043.0653,237.014-2,165.62513,127.3626,076.4155,336.1312,709.136,212.744,594.55127.4894,316.0911,008.58-1,560.4572,777.729-551.4821,219.124,922.375,083.504579.084643.465437.48-607.25273.857
Uitgifte van Gewone Aandelen 007,576.61009.84300000000000000000
Terugkoop van Gewone Aandelen 0-3,800-7,576.6100-9.84300000000000000000
Uitgekeerde Dividenden -4,355.823-3,564.651-3,385.754-287.888-340.231-863.664-2,705.48-2,347.831-1,960.518-2,064.11-1,778.487-1,334.842-1,235.986-1,079.331-896.733-916.517-756.87-626.522-891.843-857.726-226.561-501.758-555.48
Overige Financieringsactiviteiten -3,247.3823,522.1597,660.8453,582.4672,248.763179.5194,544.664641.364-2,155.683-354.317-32.43469.983-260.278-1,142.224318.454-64.064-155.379-204.084477.8155.533509.4681,377.38851.12
Kasstroom uit Financieringsactiviteiten 4,439.863,194.522-1,225.90113,368.3557,989.6834,642.1424,487.2552,975.208-3,504.24-2,390.9382,505.174101.101-3,070.5171,528.518-1,129.762238.5393,915.124,566.72544.795-208.728720.386268.38-230.503
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -151.67923.68225.188-118.484-29.365149.25640.213-57.18127.2878.562-21.977-18.336-1.378-0.996-0.725-0.039-0000-000
Netto Kasstroomverandering -1,071.211-736.811,613.86619.472-701.5072,178.005-100.011797.056-929.9421,594.257972.072-256.728-543.758219.84291.798981.762-15.355-618.044610.674-370.855139.77822.726-346.501
Kaspositie aan het Einde van de Periode 5,622.8786,694.0897,315.1545,701.2885,677.9386,379.4464,090.6644,114.1723,147.034,076.9712,482.7141,469.7151,724.6322,268.392,048.551,756.752757.087772.4421,579.988969.3141,340.1681,240.769418.043