Lucky Film Company,Limited

SSE:600135.SS

6.79 (CNY) • At close April 30, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -61.084-46.66140.91357.02441.37890.27621.39261.49245.36940.11231.13227.82231.499-51.8815.6614.3692.79540.09728.17822.27877.74779.38123.879139.866214.832160.10670.186
Afschrijvingen & Amortisatie 85.05991.15665.7168.29357.82368.353.97565.47842.43534.23634.36849.07158.20869.24561.52759.24264.15453.97642.08842.31441.37747.63536.65624.50226.54929.98138.917
Uitgestelde Inkomstenbelasting 000.1461.591-0.990.451-2.8920.385-0.431-0.21200000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000
Verandering in Werkkapitaal 104.55863.40352.873-27.528-1.4268.687-36.435-126.33-138.856-118.125-135.275-4.184-34.913-29.141-13.99519.276-9.543-38.082-26.876-41.408-30.883-4.3381.6737.89475.69981.429-208.389
Vorderingen 102.522151.313-95.195104.453-76.169369.182-14.499-199.662-131.8-133.842-85.094-18.616-73.91900000000000000
Voorraden 118.57398.101-16.245-110.937117.241-113.72928.162-97.537-14.99-9.475-62.50420.51748.33-44.727-2.98731.7864.6535.687-77.98-62.488-45.729-0.174-7.60739.88560.812-22.572-160.151
Crediteuren 0-186.011164.168-22.634-41.501-187.217-102.277170.4858.36525.40400000000000000000
Overig Werkkapitaal -116.53600.1461.591-0.990.451-64.597-28.793-123.866-108.651-72.771-24.702-83.24315.586-11.007-12.51-14.193-73.76851.10421.07914.847-4.1659.277-1.99114.887104.001-48.237
Overige Niet-Contante Posten 15.17666.622-10.926-6.598-11.2780.3248.9957.9612.0897.9730.5913.0125.00217.008-5.6010.658-6.602-1.472.077-2.084-2.8891.006-1.711-3.634-17.949-13.862.73
Kasstroom uit Operationele Activiteiten 143.71174.519148.5791.1986.504227.58847.9288.6-38.963-35.804-69.18475.72159.7975.23147.59283.54650.80354.52145.46621.09985.352123.682160.495198.628299.132257.656-96.556
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -192.934-196.848-37.35-42.998-59.506-95.449-44.603-68.221-59.667-222.534-74.001-11.734-124.333-26.088-28.549-32.103-113.315-29.605-35.368-79.271-89.175-31.721-100.841-146.737-54.978-28.273-78.437
Netto Overnames 00.0991.2370.759.60395.7422.8646.8720.0920.6620.17100.48426.70530.22132.4030.83637.45681.41290.1160101.24149.3185528.70.011
Aankoop van Beleggingen -1,177.7-3,345.2-1,696.7-1,453.6-1,756-410.6-280.5-661.002-3300-0.6310-82.856-817.902-927.248-100.250-53.526-140.584-39.785-168.4490-96.042-20-381-330.992-357
Verkoop/verval van Beleggingen 1,195.7473,778.31,698.9051,404.8291,637.959394.006320.612476.867204.25627.93617.76494.97766.98878.207849.89647.55847.29496.22266.194191.93109.1255.6097.4442.137120.371398.905172.242
Overige Investeringsactiviteiten 0.072000-59.506-95.449-0.123-1.592-1.311.6620.095-3.4320.846-26.088-28.549-32.1030.397-29.605-35.368-79.271-89.1750.39-100.841-146.737-54.978-28.2732.318
Kasstroom uit Investeringsactiviteiten -174.815236.351-33.909-91.07-177.45-111.751-1.75-247.076-186.629-192.935-56.60279.811-138.8834.835-104.228-84.498-65.62414.322-107.6775.014-147.558-25.722-189.084277.981-315.58640.066-260.866
Financieringsactiviteiten:
Schuldaflossingen -211.8969.998-5.1376.11-234.549.12.974109.568115.2615060.0740-1.57200-2.768-5.7398.507000000-15-91.2-39
Uitgifte van Gewone Aandelen 000000000000000000000000000
Terugkoop van Gewone Aandelen 000000000000000000000000000
Uitgekeerde Dividenden -3.209-21.682-16.599-11.619-26.005-4.476-26.94-20.9-13.573-8.925-8.154-8.478000-0.203-0.388-0.485-0.291-75.24-178.852-115.268-136.8-85.5-0.67-5.266-12.301
Overige Financieringsactiviteiten -222.283-16.366100.615-8.404338.5174.70218.357-10.78817.043566.514-20.4076.19710.698-10.158-1.507-1.297-1.3540001.240.10.103.109-0453.524
Kasstroom uit Financieringsactiviteiten -437.38231.957.50656.08778.01139.472-19.58177.88118.732607.58931.513-2.2819.127-10.158-1.507-4.268-7.4818.023-0.291-75.24-177.612-115.168-136.7-85.5-12.561-96.466402.223
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.9031.9360.599-0.425-0.8780.277-0.689-4.9380.933-2.3470.628-1.64-0.161-0.513-3.7870.75-0.762-1.5060.23-0.217-0.045-0.031-00-00-0
Netto Kasstroomverandering -465.584444.755122.76655.782-13.813155.58625.907-165.534-105.928376.502-93.645151.611-70.11729.395-61.929-4.471-23.06475.36-62.26520.655-239.863-17.238-165.289391.109-29.016201.25644.802
Kaspositie aan het Einde van de Periode 884.2681,349.852801.806679.04623.258637.071310.08284.173449.707555.635179.132269.268117.657187.774158.379220.308224.779247.843172.483234.749214.159454.022471.26636.549245.44274.45573.2