Shandong Nanshan Aluminium Co.,Ltd.

SSE:600219.SS

3.65 (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 5,956.33,473.9743,943.8453,719.4852,221.0991,736.2811,522.5151,720.3341,344.348670.796994.932905.991787.7391,258.58977.466872.165870.6411,357.394164.421137.827134.069149.605128.063143.87138.637100.54992.099
Afschrijvingen & Amortisatie 2,313.0232,259.9292,235.7542,061.8832,059.2011,980.5681,990.0541,920.5581,626.631933.159858.494835.773724.387666.416606.655501.786462.478379.463109.54695.24388.82586.2982.06164.2339.35825.96820.603
Uitgestelde Inkomstenbelasting 00-31.648-30.615123.142-42.163-24.08269.268-35.019-41.88600000000000000000
Aandelen Gebaseerde Vergoedingen 007.44937.24600000000000000000000000
Verandering in Werkkapitaal -1,009.954-1,677.32969.305-1,884.594487.035381.964-1,503.449-2,206.499-1,290.676-882.233-587.029-658.945-434.227-435.374-641.573-438.111-566.441-489.339-49.935-33.375-13.23451.066-14.952-109.967-21.601-108.01-67.414
Vorderingen -1,229.164-1,443.28242.875-963.328-324.4372.027-7,404.78-7,644.583-1,070.71-419.68685.451-666.747-361.66900000000000000
Voorraden -201.971158.677-16.211-1,805.35493.41123.392-676.705-728.0563.418-24.714-83.285-390.271-365.693-270.205-966.802-229.887-204.019-338.144-162.567-32.3450.699-2.35957.603-104.265-89.73-4.687-70.072
Crediteuren 0-320.23274.29914.698194.883-71.2926,602.1196,096.872-188.36580.88700000000000000000
Overig Werkkapitaal 421.181-72.493-31.648-30.615123.142-42.163-826.744-1,478.443-1,294.094-857.519-503.744-268.674-68.534-165.169325.229-208.225-362.423-151.194112.632-1.03-13.93353.425-72.555-5.70168.129-103.3232.658
Overige Niet-Contante Posten 357.602173.823443.959512.6061,116.077-306.77174.441375.194211.739171.989188.386327.465227.079106.98289.49196.443277.09898.38875.03331.89816.80824.57133.65929.7242.10520.20522.022
Kasstroom uit Operationele Activiteiten 7,616.9714,230.3976,668.6654,416.0115,883.4113,792.0422,183.5611,809.5871,892.042893.7121,454.7831,410.2831,304.9781,596.6051,032.0391,032.2841,043.7761,345.906299.065231.592226.467311.532228.831127.858158.49938.71367.31
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,794.983-2,202.735-1,594.983-1,197.511-2,846.115-2,684.576-1,730.333-1,369.737-1,920.734-1,711.396-5,983.394-1,359.687-2,577.663-2,990.11-1,356.459-1,062.374-2,138.146-1,030.86-556.678-986.181-280.313-111.818-44.809-96.696-680.226-68.125-103.532
Netto Overnames 560.0953,791.806-114.39417.0850.967235.293.81321.6817.8147.073030.267000000000044.8090000
Aankoop van Beleggingen -836.539-294.4-1-26.4-4.9-2,435-20.59-33.185-26-15.090-63-190-5.2850-10500000-8.8130000
Verkoop/verval van Beleggingen 22.099252.01963.822,4354,659.8752126212115.1263000000000016.1930000
Overige Investeringsactiviteiten 102.434-240.064151.6760.00458.828-232.156-3,982.22-472.895327.199744.7022,568.867-640.572-2,429.204-10.7640.67-1,062.3747.78-1,030.86-556.6783.7651.194-111.818-44.8092.573.1590.008-103.532
Kasstroom uit Investeringsactiviteiten -2,946.8931,306.627-1,494.9-1,204.821-356.221-456.566-5,708.33-1,828.136-1,580.722-953.712-3,399.407-1,969.993-5,025.866-3,000.874-1,361.074-1,062.374-2,235.366-1,030.86-556.678-982.416-279.119-111.818-37.43-94.126-677.067-68.117-103.532
Financieringsactiviteiten:
Schuldaflossingen -1,946.943112.924-887.8472,922.295-1,964.108856.449360.8892,224.572-792.9161,430.328986.456296.3145,848.058792.895-181.016483.0363,009.54-2091822340-88-115.538129.38-16.18-3665
Uitgifte van Gewone Aandelen 00621.893278.86700-5.64500000000000000000000
Terugkoop van Gewone Aandelen 00-621.893-278.86700000000000000000000000
Uitgekeerde Dividenden -2,514.146-767.032-745.361-657.276-597.524-597.524-884.636-632.691-416.201-410.613-609.313-547.552-298.52-252.74-261.741-82.804-191.467-33.64-23.501-53.064-45.044-59.144-48.278-59.777-51.026-19.322-19.824
Overige Financieringsactiviteiten -91.859-1,933.552836.019-1,501.5861,501.623-489.5954,380.56423.052232.761-662.07329.4869.538272.912-515.4982,403.786-168.683-7.532-255.386-013.905736.28214.29102.98-0.53694.453-0
Kasstroom uit Financieringsactiviteiten -4,552.948-2,587.661-1,720.98217.672-1,402.474-638.933,856.8171,614.933-976.3561,157.937406.629-241.75,927.55583.9812,029.355182.4742,870.129-498.026158.499194.841710.582-132.852-163.81672.582-67.736639.13145.176
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 14.06899.663119.391-155.108-123.3626.82974.83-73.885137.306-7.4475.257-15.2276.731-12.398-1.431-12.9210-00-00000000
Netto Kasstroomverandering 131.1973,049.0273,572.1753,273.7544,001.3562,723.376406.8791,522.499-527.7291,090.49-1,532.738-816.6372,213.398-1,332.6851,698.889139.4631,678.538-182.98-99.114-555.982657.93166.86127.585106.314-586.304609.7278.954
Kaspositie aan het Einde van de Periode 21,422.11921,290.92218,241.89514,669.7211,395.9667,394.614,671.2344,264.3562,741.8563,269.5852,179.0953,711.8334,528.472,315.0723,647.7571,948.8681,809.405130.867242.528341.642897.624239.693172.832145.24638.932625.23515.508