Jiangsu Etern Company Limited

SSE:600105.SS

7.39 (CNY) • At close May 8, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 72.149113.821239.341146.522-577.34880.202244.817335.769294.934198.875179.08145.69826.7466.426248.607153.82156.38248.27159.57921.58940.2263.36773.74881.10561.92669.67770.056
Afschrijvingen & Amortisatie 163.802159.224115.53100.402102.69892.38181.40370.94560.6551.46125.33428.07228.1625.32918.48649.79853.48163.76949.87753.12261.97556.01628.59227.22623.29415.38.532
Uitgestelde Inkomstenbelasting 00-44.41-24.56720.07-24.758-9.866-4.975-2.55-1.32500000000000000000
Aandelen Gebaseerde Vergoedingen 03.9531.144.9630-10.32529.88113.4830000000000000000000
Verandering in Werkkapitaal -671.992-95.546-759.564-891.7121,329.442410.124-366.976-271.53-171.38-95.90357.69820.741-5.038-204.79-309.519-78.005-66.49959.079-149.79105.156-100.501-181.95105.743-145.214-88.593-71.928-104.684
Vorderingen -88.783111.047-478.097-283.48477.317-46.557-296.296-415.869-148.802-152.96339.667107.684-2.93200000000000000
Voorraden 36.5-115.4527.168-119.796-91.105196.74-227.544-288.631103.65-78.62682.748-356.64-22.106-82.882528.208-337.582-176.108-733.902-169.05-71.16555.429272.563-24.454-263.619-73.56-61.467-100.424
Crediteuren 0-95.331-244.225-463.869923.159284.698166.73448.597-123.679137.01100000000000000000
Overig Werkkapitaal -619.7094.19-44.41-24.56720.07-24.758-139.43317.101-275.031-17.277-25.05377.38117.067-121.908-837.727259.578109.609792.98119.259176.321-155.929-454.514130.198118.405-15.033-10.461-4.26
Overige Niet-Contante Posten 100.064159.642-77.518-120.705175.522-104.967-95.409-162.872-127.865-104.166-82.543-131.27940.762-9.969-21.127-21.3486.357-26.126-26.4129.15712.619-3.828-7.36241.54511.1487.087-1.114
Kasstroom uit Operationele Activiteiten -335.976341.091-495.482-785.0961,030.314442.658-136.165-27.68856.33950.267179.56963.23290.624-123.003-63.553104.26749.721144.993-66.746189.02514.313-66.395200.7214.6637.77420.136-27.21
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -232.898-318.705-339.42-387.189-368.383-425.018-525.703-93.982-80.559-90.624-45.263-160.884-83.051-52.341-38.861-49.793-39.626-69.625-110.82-67.917-33.944-44.887-43.238-47.289-24.676-24.196-44.809
Netto Overnames 0123.55711.87225.2211.1964.6619.179-3.55517.3920.777159.027219.8660.3020.3668.51787.382-48.5-10.18123.5534.16937.2846.4520.5570000.079
Aankoop van Beleggingen -41.216-5.374-201.653-239.718-300.451-320.214-121.835-209-265-28.251.911.784-68.749-20.75-67-101.306-42.442-135.077-212.59-53.173-239.62-182.13-136.5700-77-0.464
Verkoop/verval van Beleggingen 100.70325.391106.477430.788623.99657.752173.319419.78774.3211032.46526.224246.33419.195165.30556.16438.25886.11685.67350.195224.037111.7869.6460.1294.608060.019
Overige Investeringsactiviteiten 6.23912.85486.333-0.849-0.18813.331-0.0129.25849.2395.103235.632358.263403.092-31.5571.35634.472107.216-0.699-0.196-33.944-44.8874.52.6270.201-1.9664.466
Kasstroom uit Investeringsactiviteiten -167.172-162.277-336.391-171.747-43.83-669.487-465.052122.509-204.606-9.994353.772445.252134.836-50.43936.403-6.198-57.837-21.551-214.883-66.922-46.191-113.667-165.105-44.533-19.867-103.16219.291
Financieringsactiviteiten:
Schuldaflossingen 369.041717.511664.323350.216532.131810.825483.143-22.256284.33445-320-767.7-5.8145.10330.483131.9227.344100.391285.004115.3480168.53-166.8123.219.78.817
Uitgifte van Gewone Aandelen 004.6370-0.0622.912000000000000000000000
Terugkoop van Gewone Aandelen 0-1.75-17.7910-21.68-22.912000000000000000000000
Uitgekeerde Dividenden -140.215-102.745-89.374-145.54-72.544-186.842-125.143-112.621-28.266-62.31-82.393-119.362-93.787-100.631-63.852-54.566-114.593-104.69-98.191-76.599-59.518-68.317-38.425-37.921-7.184-9.749-22.42
Overige Financieringsactiviteiten 62.018-249.506-20.44632.988-158.78213.913-16.0158.608-116.7-35.908-40.135364.627-5.26144.04836.301-8.1713.304-3.2049.3190.42840.06453.412235.44110-088.0570
Kasstroom uit Financieringsactiviteiten 290.843365.26536.712237.664300.806549.919341.99-76.269139.368-53.218-432.528-522.435-104.84788.522.93269.184-73.945-6.357196.13239.17812.853153.62630.21795.27912.51687.119-15.42
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 10.31210.77423.308-5.578-26.40312.9495.3462.94411.0811.282-5.394-1.1521.4222.1720.0250.006-0.1180.0720.002-0.09-00-00-00-0
Netto Kasstroomverandering -201.993553.847-271.853-724.7571,260.887336.039-253.88221.4962.181-1.66395.419-15.103122.034-82.75-24.193167.258-82.179117.157-85.494161.191-19.024-26.43665.83355.4090.4234.092-23.339
Kaspositie aan het Einde van de Periode 1,243.5711,445.564891.7161,163.5691,888.326627.44291.4543.944522.448520.267464.28368.862383.965261.93344.68368.873201.615310.81193.653279.14798.375117.4143.83678.00322.59420.17116.079