Bluestar Adisseo Company

SSE:600299.SS

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

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Operationele Activiteiten:
Nettowinst 1,205.46552.1661,249.8431,535.6341,477.0121,257.41,215.6871,676.0862,316.1812,002.796143.75-1,188.331-1,037.81269.11676.787-155.469-160.724433.245202.455216.21391.44260.99252.4749.38761.62246.165
Afschrijvingen & Amortisatie 1,573.3031,725.0311,321.4031,178.3781,116.628977.199946.702809.94838.5361,145.276672.665501.937556.224493.364464.403418.744380.678276.567213.411148.804126.534113.21267.76543.37419.55113.119
Uitgestelde Inkomstenbelasting 0038.413-70.527-72.043-32.4263.91-55.29-221.924-81.8110000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal -62.934889.624-1,012.331-227.23846.44324.47-795.47862.51-183.097-135.29696.157801.703503.421-428.193-812.044-386.843-105.877-475.784-417.342328.344-113.664-65.06225.701130.087-332.07311.218
Vorderingen -279.28641.52-459.48-351.757-66.743287.134-227.876301.14972.764-379.668-822.68612.929-227.9740000000000000
Voorraden -580.14596.82-288.219-475.489-10.252104.238-73.501-61.969-185.748-75.381212.031-128.59826.272-590.04-434.089368.049-427.796-63.328-420.818-6.869-219.771-107.874-12.147-35.58-25.98120.224
Crediteuren 0-333.113-303.044670.534195.478-34.481-558.011-121.381151.811401.5650000000000000000
Overig Werkkapitaal 796.486-15.60438.413-70.527-72.043-32.42-721.977124.4782.652-59.914-115.875930.294-322.851161.847-377.955-754.892321.92-412.4563.476335.213106.10742.81237.848165.667-306.092-9.006
Overige Niet-Contante Posten 228.83697.392169.907115.16568.336-8.46874.784-35.45182.303543.027-745.988308.602501.236155.123306.495297.997231.133212.065159.708183.92898.3264.3732.88114.623-4.442.68
Kasstroom uit Operationele Activiteiten 2,944.6692,764.2121,728.8212,601.9392,708.4162,550.6011,441.6962,513.0863,053.9243,555.802166.585423.911523.07289.4135.641174.429345.21446.093158.231877.289202.632173.512178.817237.47-255.34173.182
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,623.039-1,447.094-1,542.29-2,313.863-1,318.043-1,240.181-1,263.888-965.969-602.586-1,007.235-752.423-857.394-1,069.605-2,481.505-1,732.672-1,569.154-2,011.257-947.853-1,144.445-505.057-306.1-243.156-423.857-651.176-220.527-50.755
Netto Overnames 0-163.67911.6710.542-526.3943.097-1,210.334-2.6081.4741,009.691703.776-2.397-42.47501,756.292-20.839-34.135951.736028.441000000
Aankoop van Beleggingen -13.123-7.452-23.888-56.49-540.906-23.991-8.616-1.525-11.012-2.168-11.5220192.313-4.3-4.1151,585.136-70-7.364-376.579-153.638-0.49600000
Verkoop/verval van Beleggingen 27.05720.40910.21716.56577.032108.44598.99871.7855.4249.893706.35702.0335.5884.472128.7700.267000000
Overige Investeringsactiviteiten -25.14-257.238-256.246-89.5397.469-7.766-0.519-2.231-3.069-1,007.23522.818126.93114.41274.101-1,732.672-1,569.154154.627-947.853176.4150.8945.1520.0010.895-2.7350.053-50.755
Kasstroom uit Investeringsactiviteiten -1,634.245-1,855.053-1,800.536-2,442.785-2,300.841-1,160.396-2,384.358-900.548-609.768-997.054-30.351-732.861-899-2,211.704-1,711.135-1,568.424-1,956.293-822.565-1,344.609-629.093-301.444-243.155-422.961-653.91-220.475-50.755
Financieringsactiviteiten:
Schuldaflossingen -602.625-173.6251,009.593-11.417621.875-6.506-87.063-13.073-11.701228.417-2,559.6331,122.9761,236.9132,033.2232,368.276920.7281,875.679-99.403899.575594.88075539.821479.4991222.17
Uitgifte van Gewone Aandelen 00000479.78500000000000000000000
Terugkoop van Gewone Aandelen 00-1,568.81700-479.78500000000000000000000
Uitgekeerde Dividenden -281.893-525.354-477.378-472.015-418.377-740.205-480.911-628.239-410.81-439.232-538.728-800.176-806.077-325.927-254.796-359.069-247.379-316.095-173.751-180.719-142.553-93.378-71.774-34.79-63.367-2.152
Overige Financieringsactiviteiten -132.516-98.838-1,696.075-114.277-3,230.531-587.275-805.495-238.756-329.1351,009.3342,310.181-652.478-00-0067.1861,440.108-0107.806130.0531.441-0.0330.945501.766-0
Kasstroom uit Financieringsactiviteiten -1,017.033-797.817-1,163.86-630.677-3,027.033-1,363.504-1,373.468-880.069-751.646798.518-358.152322.8430.8361,707.2952,113.48561.6591,695.4861,024.61702.429521.967-12.50313.063468.014445.655560.3980.018
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -64.98377.116-82.776-182.92793.552-13.971-61.043245.74547.666-113.695-0.327-0.992-0.231-1.76-1.886-0.5918.1724.544-1.504-0.346-00-0-0-00
Netto Kasstroomverandering 228.408208.867-1,318.35-654.449-2,525.90612.73-2,377.173978.2131,740.1753,243.572-222.24412.85754.675-216.759436.1-832.92792.576652.682-485.453769.816-111.316-56.58223.8729.21584.58322.445
Kaspositie aan het Einde van de Periode 1,233.6361,005.228796.362,114.712,769.165,295.0665,282.3367,659.5096,681.2964,941.121528.953751.197738.34683.664900.424464.3241,297.2511,204.675486.789972.241202.426313.741370.321146.451117.23632.654