Sany Heavy Industry Co., Ltd

SSE:600031.SS

19.23 (CNY) • At close April 21, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 6,092.5384,527.4984,404.58512,325.68115,860.68911,494.4486,303.4872,227.085163.799138.15755.9723,094.8526,010.6829,361.5556,164.0272,369.9641,474.4061,905.785608.633233.84340.066324.789209.122
Afschrijvingen & Amortisatie 3,540.973,119.9852,557.4722,062.3961,889.7572,009.7641,914.261,913.4572,094.9651,777.5061,730.2341,510.3641,233.345718.437522.323285.37202.952150.083107.95282.63557.44542.20921.716
Uitgestelde Inkomstenbelasting 00-711.551-254.422-296.071-67.33201.173165.468-379.037-535.1830000000000000
Aandelen Gebaseerde Vergoedingen 00064.906-17.81253.095125.057000-114.444000000000000
Verandering in Werkkapitaal 4,347.81-3,483.918-2,975.731-1,476.402-3,827.436479.1121,989.1362,291.108561.936-1,498.962-2,234.646-2,946.525-2,205.197-8,598.51-164.715-381.724-1,362.309-1,125.094-198.247-265.567-452.716-341.383-183.602
Vorderingen -359.2573,034.971-9,873.257-4,671.613-9,942.951-7,307.144-2,448.167-1,213.129-1,294.161-155.476-2,803.266-3,569.588-3,060.8110000000000
Voorraden -323.508-81.482-1,372.476729.961-4,955.224-2,738.64-4,166.622-1,565.466-662.9981,806.8142,119.2241,108.455-526.29-2,570.096-1,724.671-61.921-673.727-808.682-404.493-71.299-496.062-206.528-229.905
Crediteuren 0-6,020.2998,981.5532,719.67211,422.7518,979.6828,402.7524,904.2352,898.132-2,537.970000000000000
Overig Werkkapitaal 5,030.575-417.108-711.551-254.422-352.0121,545.2146,155.7583,856.5741,224.934-3,305.776-4,353.87-4,054.98-1,678.907-6,028.4141,559.956-319.802-688.582-316.413206.246-194.26843.346-134.85646.302
Overige Niet-Contante Posten 832.961,544.655764.642-817.926-246.22-703.714320.0162,132.851428.751,719.282980.3791,110.638642.908797.545227.489197.516325.448-300.18749.92896.92857.82245.06522.58
Kasstroom uit Operationele Activiteiten 14,814.2785,708.224,098.76311,904.23313,362.90713,265.37510,526.8998,564.5013,249.452,135.9761,231.9392,769.3295,681.7382,279.0276,749.1242,471.126640.497630.587568.266147.8352.61770.6869.815
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,938.287-4,525.221-5,665.026-10,299.972-5,059.912-2,354.634-1,380.223-515.331-704.948-1,513.767-1,551.052-2,201.903-4,792.053-7,135.572-4,426.178-1,144.745-1,195.81-699.865-156.538-419.744-592.577-464.555-160.805
Netto Overnames 0352.136130.152323.4343.65153.237310.6782,045.3582,676.407385.025474.5724.719-2,644.065-59.381-2,280.161,284.0731,248.609-80019.422445.72596.295468.3040
Aankoop van Beleggingen -9,416.703-7,473.479-6,776.239-15,087.347-17,704.348-24,297.616-12,477.753-1,660.075-592.389-163.778-1,442.679-1,006.999-440.2-145.331-185.556-116.918-196.838-1,140.401-614.332-37.036-55.75-90-3.6
Verkoop/verval van Beleggingen 11,012.4118,819.64410,520.27616,040.4559,413.05615,010.492,698.394852.332231.387146.309713.168554.867305.6140.807160.95918.39372.1171,357.24504.3163.3295.6783.8850
Overige Investeringsactiviteiten 184.731133.096-47.405-264.7762,098.046-492.35783.757495.819652.039917.157-448.527823.6661,089.047-740.716-43.201-1,144.745-1,195.8121.74445.644-419.744-592.577-464.5552.002
Kasstroom uit Investeringsactiviteiten -1,157.848-2,693.824-1,838.242-9,288.206-11,249.508-11,980.88-10,765.1471,218.1032,262.496-229.054-2,254.518-1,825.65-6,481.671-7,940.194-6,774.136-1,103.946-967.732-1,261.282-201.487-427.485-548.931-546.92-162.403
Financieringsactiviteiten:
Schuldaflossingen -6,883.7-2,048.8657,778.5384,180.1263,019.623853.2811,584.262-12,158.42-2,804.239503.91,937.449379.9453,790.44610,759.513,423.038-993.4531,121.981,285.66185.43382.451,086.236-51.777113.933
Uitgifte van Gewone Aandelen 00000000000000000000000
Terugkoop van Gewone Aandelen 0-621.115000-819.12400000000000000000
Uitgekeerde Dividenden -2,931.206-2,548.694-3,800.033-5,560.948-3,931.219-2,164.967-1,681.861-745.555-923.925-1,245.988-1,965.349-3,141.933-4,071.273-1,657.113-1,413.063-399.434-433.259-227.482-99.975-158.276-170.398-19.258-17.915
Overige Financieringsactiviteiten -464.244-2,932.2321,596.93765.45-1,540.811-727.193924.531-180.575-932.9510288.883-1,063.2751,150.818-699.555-1,678.685883.856-383.298866.32539.97-4.4636.325900.9843.836
Kasstroom uit Financieringsactiviteiten -10,279.15-7,529.7914,826.439-1,315.372-2,452.407-1,150.729826.932-13,084.55-4,661.115-198.49260.983-3,825.263869.9919,001.683818.821-1,208.364689.0822,055.98625.424219.714952.162829.94999.854
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 57.33-38.517-85.442-16.61-20.224-3.1776.426-22.46-107.7120.33-17.956-44.929-12.4172.908-10.266-19.45-29.74-19.725-0000-0
Netto Kasstroomverandering 3,434.61-4,553.9127,001.5181,284.045-359.232130.589595.11-3,324.406743.1191,708.762-779.552-2,926.51357.6413,343.424783.543139.366332.1071,405.566392.203-59.935405.849353.7097.266
Kaspositie aan het Einde van de Periode 11,576.4698,141.85912,695.7715,694.2534,182.1634,451.4784,320.8893,725.7797,050.1856,276.9164,568.1545,347.7068,274.2198,216.5784,873.1533,076.9272,937.5612,605.4551,139.174746.971806.906401.05747.348