Shanghai Zijiang Enterprise Group Co., Ltd.

SSE:600210.SS

6.47 (CNY) • At close July 18, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 808.814559.546673.831602.669594.637519.873453.222570.26235.443114.346174.285252.512197.152574.897741.674704.338235.61376.12582.909165.36257.53276.477284.367232.052175.393136.86882.862
Afschrijvingen & Amortisatie 406.522446.775394.873406.975424.574394.73481.237496.673510.571505.956503.018496.54497.178500.404449.036407.652440.21433.701401.022380.413314.565249.849174.389102.73170.96751.35932.462
Uitgestelde Inkomstenbelasting 00-14.36918.6310-3.66600.4870.972-5.70200000000000000000
Aandelen Gebaseerde Vergoedingen 00.4070000000000000000000000000
Verandering in Werkkapitaal -423.8491,528.346-397.443-87.926-85.601-25.99321.011103.26334.169-3.157-85.44793.502167.876-206.611-285.39848.957-153.505-275.584-1.395-57.301-112.802-170.479-21.384-95.535-8.531-67.005-36.121
Vorderingen 42.424170.44-47.092-846.762-152.414122.439-83.52264.665-181.278-164.67261.39-89.245281.8900000000000000
Voorraden 611.76-210.911-83.303-396.728-2.8039.525-44.978-74.99767.387-32.13873.521-84.613271.397-152.363-130.221231.87-125.271-224.1259.389-123.207-117.508-106.321-97.745-60.821-60.678-58.9954.027
Crediteuren 01,583.651-252.6791,136.93312.763-154.29000000000000000000000
Overig Werkkapitaal -1,078.033-14.834-14.36918.63156.854-3.666170.142113.594149.032195.098-222.222263.933-385.41-54.248-155.178-182.913-28.235-51.459-10.78465.9064.706-64.15876.361-34.71452.147-8.009-40.148
Overige Niet-Contante Posten 197.354160.709105.748111.009157.925100.0847.568-109.359254.429346.541242.444207.786258.23993.181148.09762.288263.085150.182190.802121.14551.396.74993.18624.983-8.0493.75310.631
Kasstroom uit Operationele Activiteiten 988.842,695.782762.9441,032.7261,068.746988.691997.991,060.8381,035.583965.131832.4361,046.9131,120.445961.8711,053.4091,223.236785.4684.423673.337609.617510.593452.597530.557264.231229.78124.97589.834
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,214.191-966.345-600.997-613.164-371.428-368.005-312.899-295.216-326.279-529.454-606.271-591.442-416.39-648.562-680.171-523.784-403.474-309.988-285.078-501.73-881.598-678.903-887.589-697.739-429.065-59.665-40.15
Netto Overnames 053.7131.73750.12654.824544.9120375.89358.831-29.71653.393-7.158-46.526-100.678-205.85-16.879-23.989-312.63318.601506.916156.79162.15906.932713.202444.05260.8340.15
Aankoop van Beleggingen -235.35-135-101.512-0.915-100.88-387.91-2,384.928-2,310.358-264.52-1,261.263-2,055.964-1,787.601-1,534.459-1,150.325-929.63-955.16-401.065-33.6-42.854-198.047-580.776-46.046-121.309-75.765-214.754-373.221-84.043
Verkoop/verval van Beleggingen 288.67148.123217.88760.52476.373417.0282,421.6892,810.404249.1771,204.6451,952.6561,448.8941,290.597949.1641,027.682767.724170.49886.76745.549232.11538.37738.49619.80130.128189.10187.1820.832
Overige Investeringsactiviteiten 33.679-2001.596-3.802-368.00565.884-295.216-326.27944.328-3.105117.72846.94621.93123.517123.84819.72714.967-285.078-501.7315.6520.384-887.589-697.739-429.065-59.665-40.15
Kasstroom uit Investeringsactiviteiten -1,127.19-1,019.512-452.885-501.833-344.913-161.98-210.253285.503-309.071-571.461-659.29-819.579-659.832-928.469-764.452-604.251-638.303-554.484-248.859-462.474-1,251.554-623.919-969.754-727.913-439.731-344.538-123.361
Financieringsactiviteiten:
Schuldaflossingen 152.539-268.196220.25443.832-774.549-189.054-29.821,262.502-1,313.098-1,094.305-60.74684.604-109.606501.003-64.12-489.932581.556-158.933-657.295111.391736.781-106.205528.989509.422277.193-58.73884.722
Uitgifte van Gewone Aandelen 00-1.355-0.508-0.6080000000000000000000000
Terugkoop van Gewone Aandelen 000000-13.75-31.4290000000000000000000
Uitgekeerde Dividenden -472.44-505.135-511.486-379.184-303.347-396.908-409.54-352.808-272.293-313.214-414.864-404.898-566.406-552.73-431.021-71.837-143.674-71.837-71.837-291.878-325.876-288.401-302.198-184.82-147.083-48.938-69.574
Overige Financieringsactiviteiten -69.5334.96-176.568-551.437577.338-12.166-11.859-1,987.065992.746556.567477.17-11.378555.377-449.812878.043-209.132226.5169.988957.2338.090.498857.69430.891505.2419.805657.2953.339
Kasstroom uit Financieringsactiviteiten -389.434-768.371-336.857-486.789-630.675-598.129-464.968-1,108.801-592.645-850.9521.56-331.671-120.636-501.539129.722-770.901164.397-456.06551.09-172.396411.404463.089257.683829.842139.916549.61918.487
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.732-0.8270.087-1.942-0.9142.9550.721-6.9543.551-1.5832.7349.04-4.5534.3164.5261.134-1.4481.1073.73312.8312.1221.31-1.2344.6981.579-0.454-0.039
Netto Kasstroomverandering -527.052907.072-26.71242.16192.243231.537323.49230.586137.418-458.864177.44-95.297335.424-463.821430.351-150.782310.046-325.018329.301-12.423-327.435293.078-182.748370.858-68.456329.602-15.078
Kaspositie aan het Einde van de Periode 2,006.9762,534.0281,626.9561,653.6681,611.5061,519.2631,287.726964.236733.65596.2321,055.095877.655972.952637.5281,052.834622.483773.266463.22780.605451.304463.728791.162498.085680.833309.975376.25946.657