Shandong Huatai Paper Industry Shareholding Co.,Ltd

SSE:600308.SS

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

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Operationele Activiteiten:
Nettowinst 18.676215.299386.155772.779646.849653.807720.433683.24179.98547.0151.74654.152.16367.59790.5671,092.268378.274512.181422.147368.31305.506225.884190.099114.241100.92379.494
Afschrijvingen & Amortisatie 758.64889.995896.021948.169905.814794.174943.236994.4631,073.9161,043.32993.8471,051.218982.19917.879774.726597.687592.736593.895396.961230.325198.002145.15293.28651.276-31.16324.992
Uitgestelde Inkomstenbelasting 0-24.52343.82349.36815.9997.064-28.51642.32822.663-7.5390000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal -505.857-367.328-592.79-95.345755.954645.25-467.915388.184176.486247.115-428.789120.678-187.554-340.554-740.447-55.427-595.195-281.95596.273-20.64714.209-291.76392.265-108.398-41.946-21.12
Vorderingen 23.56-80.33111.581-77.55827.03570.227-13.462593.366-482.431318.912-574.65485.085-324.7260000000000000
Voorraden -381.71122.312-0.679-409.065-99.575308.55-421.92-260.989387.582115.306-14.111176.82-153.035-594.758-139.975464.382-551.45437.792-65.94-105.8938.923-134.95327.236-106.837-85.31720.651
Crediteuren 0-284.787-647.515341.91792.745259.409-4.01813.48248.671-179.5640000000000000000
Overig Werkkapitaal -147.705-24.52343.82349.36835.757.064-45.996649.173-211.097131.81-414.678-56.142-34.519254.204-600.471-519.809-43.741-319.747162.21385.243-24.714-156.8165.03-1.56143.371-41.771
Overige Niet-Contante Posten 93.304-126.324164.009115.917178.302263.207201.76283.076360.279497.313596.225470.91582.431446.93190.675-637.785239.749182.416134.378.786107.1742.32511.311-3.6699.7716.116
Kasstroom uit Operationele Activiteiten 364.763587.119853.3951,741.5192,486.9182,356.4381,397.5132,348.9621,790.6651,834.7591,213.0291,696.9061,429.2291,091.851315.521996.742615.5641,006.5371,049.681656.774624.887121.599386.96153.4537.58599.482
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,563.883-1,087.162-833.278-656.624-788.152-880.052-735.566-302.164-212.362-387.754-478.351-502.849-872.365-1,802.626-2,769.552-1,497.945-955.008-245.697-1,856.754-1,762.059-492.509-391.167-808.462-588.987-367.127-168.414
Netto Overnames -1.02802.62143.98116.9045650.6280.02311.541200039.8830000000.09818.2530.4340.004368.741168.427
Aankoop van Beleggingen -400-655.5-450-400-565-295-952.47-577.7620.274000-86.656-27.525-3-3.501-94.068-79.6240-187-360-460-26.004-2,714.649-13.498
Verkoop/verval van Beleggingen 104.93213.80113.92511.34117.96823.09917.86421.1445.8063.921.6210.28133.1520.86900000103.883178.379364.744482.23328.2132,680.8920.124
Overige Investeringsactiviteiten 708.537289.176487.78804.97-232.302-197.443157.945-31.058276.362-307.99211.1513.848.68219.10625.879545.19253.32-161.4750.323-89.186-2.7250.03-16.66972.2-367.127-168.414
Kasstroom uit Investeringsactiviteiten -791.442-784.185-984.452-246.333-1,385.582-1,054.396-559.756-312.07869.806-659.551-465.58-488.769-790.531-1,829.423-2,771.198-955.753-905.189-501.241-1,936.055-1,747.362-503.758-368.141-802.465-514.574-399.27-181.775
Financieringsactiviteiten:
Schuldaflossingen 402.719306.53782.855-490.39-44.101-1,012.167-685.788-1,561.802-1,684.423-1,044.356540.311-610.02-555.9471,252.9342,018.356-578.687501.14249.3251,338.2511,269.5750327.693-152283.84323.2191.74
Uitgifte van Gewone Aandelen 00479.80600000000000000000000000
Terugkoop van Gewone Aandelen 00-479.80600000000000000000000000
Uitgekeerde Dividenden -184.687-107.691-349.306-324.054-343.725-215.999-373.478-325.499-330.708-418.427-576.945-502.836-616.513-458.642-356.903-280.197-433.306-339.794-305.257-130.986-129.424-81.757-14.9-61.08-45.618-12.935
Overige Financieringsactiviteiten 67.457133.413-38.999-262.768-106.1349.05934.644228.466312.62341.307-671.645-0.617-381.422568.746783.3321,287.25132.35533.94-5.47269.16451.08871.471.0072.5591,085.766-1.912
Kasstroom uit Financieringsactiviteiten 285.489332.259-785.256-1,077.212-493.96-1,384.992-1,024.621-1,658.834-1,702.509-1,421.476-708.28-1,113.473-1,553.8831,363.0382,444.785428.368100.191-256.5281,027.5221,207.753-38.99317.406-165.893225.3181,363.35876.893
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -14.2090.1610.9490.083-0.069-5.51-4.268-11.662-6.352-16.545-6.7590.608-6.9623.4211.1687.02616.0230.0075.68-6.122-0.9370.0442.374-0.017-0.0320
Netto Kasstroomverandering -155.399134.945-915.363418.058607.306-88.46-191.133366.388151.61-262.81232.4195.272-922.147628.887-9.723476.384-173.411248.775146.828111.04381.20270.908-579.023-235.8231,001.64-5.4
Kaspositie aan het Einde van de Periode 1,084.3071,239.311,104.3662,019.7291,601.671994.3651,082.8251,273.958907.57755.961,018.772986.362891.091,813.2361,184.3491,194.073717.689897.982632.627487.421376.378297.128226.22807.1411,042.96441.323