Anhui Wanwei Updated High-Tech Material Industry Co.,Ltd

SSE:600063.SS

4.55 (CNY) • At close April 29, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 356.169335.4961,359.912977.984611.193385.019130.13885.253110.208109.231184.01827.673-162.472128.95988.91153.36765.89481.14349.24420.5527.70141.4144.84579.29855.57350.68650.134
Afschrijvingen & Amortisatie 512.08458.221439.38472.414451.196460.092445.962420.174341.468357.946319.975328.01253.508184.382170.408119.919115.377114.337111.41596.95585.4863.03641.87530.66821.03916.26618.37
Uitgestelde Inkomstenbelasting 000.001-20.8425.485-26.648-5.5041.1751.266-5.12900000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000
Verandering in Werkkapitaal -501.588-563.559447.864-145.66713.136-186.208590.223-1,125.61654.187247.409178.204-151.402-39.239-188.897-153.586-91.113-49.926-81.4223.4790.256-20.48-107.5688.3581.476-1.68-33.968-35.577
Vorderingen -666.109-399.825589.35-487.904-96.899205.791-400.42-230.153-409.09189.323172.054-367.09634.72400000000000000
Voorraden -113.776-11.72986.973-395.01248.824160.815-61.065-200.574-21.75-41.45196.9124.352-83.646-98.273-88.255-77.763-28.90217.172-28.5641.8292.104-61.778-58.722-0.344-9.107-10.4748.251
Crediteuren 0-154.481-228.461783.13655.726-526.1661,057.213-696.065483.763204.66700000000000000000
Overig Werkkapitaal 278.2972.4760.001-45.8875.485-26.648651.289-925.04375.938288.86181.294-175.75344.407-90.624-65.332-13.349-21.024-98.59152.039-41.573-22.584-45.7967.081.827.427-23.493-43.828
Overige Niet-Contante Posten 5.791-74.9543.517205.614124.054321.464191.402122.3370.225131.919134.23147.546107.24575.59276.86540.48752.78668.51956.80468.06361.55543.28727.35323.5710.989-0.88-1.861
Kasstroom uit Operationele Activiteiten 372.452155.2082,290.6741,510.3451,199.579980.3671,357.725-497.859576.089846.506816.427351.827159.042200.035182.597122.661184.132182.579240.942185.823154.25640.166122.43135.01475.92132.10431.066
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -588.339-1,158.205-845.126-891.168-721.573-321.809-312.244-419.674-1,128.46-781.695-398.282-415.33-561.908-838.968-892.067-386.318-240.839-85.621-85.473-151.357-337.598-246.888-301.611-133.419-204.746-145.464-68.929
Netto Overnames 015.29212.6032.22313.349-141.6-500.8990.953-1206.9722.4792.722144.4250.34600000.3270.19800.0490069.272
Aankoop van Beleggingen -200-1,400.771-1,086.255-51.098-1,271.401-461.871-41.06-166.705-308.753-610.349-248.455-250.312-232.849-31.996-36.779-17000-13.433-37.8-4.1320-40.842-36.3380-49.924
Verkoop/verval van Beleggingen 160.4131,043.838112.38828.0236.33944.15999.834187.816339.639601.074169.017245.205311.36523.80965.58812.48533.988048.0291.007174.05233.21163.7773.54894.75317.411
Overige Investeringsactiviteiten 30.08414.14368.04168.30156.00822.48522.24820.6146.12212.1333.41516.654.9824.586.39812.55710.9133.3831.7050.251.744-8.478-0.128-0.048-92.435-13.759-68.929
Kasstroom uit Investeringsactiviteiten -597.842-1,485.704-1,738.349-843.722-1,887.278-858.635-281.221-377.049-1,090.499-898.837-467.333-401.308-475.688-828.575-852.434-377.93-195.939-82.239-35.739-163.533-372.328-185.249-268.528-10.483-329.97-64.47-101.098
Financieringsactiviteiten:
Schuldaflossingen 5881,18828.764-444.513583.14-85-671.153-285.745-63.046-284.57-70.781185.96557.659-246.911838.585200.579139-45.912-81.531.3355.785204.215278-124.5276.553.119.57
Uitgifte van Gewone Aandelen 0000000-1.280000000000000000000
Terugkoop van Gewone Aandelen 000000000000000000000000000
Uitgekeerde Dividenden -180.259-323.887-192.589-192.589-115.554-48.147-166.492-180.681-78.719-175.063-168.782-171.283-152.653-159.645-94.166-85.746-96.672-74.036-67.993-88.043-92.611-62.487-110.588-67.024-18.71-8.475-39.647
Overige Financieringsactiviteiten -80.758145.827-141.291-1.763255.227-33.09-119.0071,286.341669.124452.51950-0894.204-1.8-1.25-0.355231.89500-73.6941.3193.01794.0850.5650
Kasstroom uit Financieringsactiviteiten 326.9831,009.939-376.709-755.338722.814-276.854-956.652819.915527.359-7.114-239.56214.677405.006487.649742.619113.58341.974111.947-149.493-56.742261.863145.729168.731-188.507351.87545.19-20.077
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 21.97411.3184.7581.515-2.664-0.4791-1.804-0.273-2.4510.196-6.4051.45-4.605-1.2662.849-1.876000-000-0-0-00
Netto Kasstroomverandering 123.567-289.153180.375-87.20132.45-155.602120.853-56.79712.676-61.896109.728-41.20989.81-145.49671.516-138.83728.291212.28655.711-34.45343.7910.64622.632-63.97697.82712.824-90.109
Kaspositie aan het Einde van de Periode 162.59139.024328.178112.794199.994167.544323.146202.293259.09246.415307.838198.11239.319149.509295.005223.489362.326334.035121.74866.038100.49156.699116.64394.011157.98760.1647.336