Jiangsu Expressway Company Limited

SSE:600377.SS

15.55 (CNY) • At close April 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 5,170.4074,609.6253,747.9894,132.6492,518.7554,300.4854,475.7113,684.823,437.1382,589.912,647.2892,775.6272,381.2362,479.6952,539.5392,061.4241,599.4241,638.9891,166.948729.31866.843973.513837.217793.603702.538606.826542.775
Afschrijvingen & Amortisatie 2,540.7632,524.4792,039.6541,963.4971,627.7061,564.7241,464.5041,416.7921,296.6531,356.117994.573963.821977.407996.899918.785866.129914.127926.416854.144513.629574.621512.234439.275372.136303.073254.634228.582
Uitgestelde Inkomstenbelasting 06.608-36.299129.333-9.18755.221151.57823.01948.912-347.86300000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000
Verandering in Werkkapitaal -767.4646.839392.662237.248-819.547229.356578.44-50.302726.056-418.111-495.838-556.65-366.204231.488-194.571-1,349.884-144.237226.33968.42-23.01-32.99127.80363.091-60.57-121.17916.79174.261
Vorderingen -152.595-335.784-1,602.922-135.084-592.225-163.651-24.014-150.886-19.875-62.504-298.22917.599-16.35400000000000000
Voorraden 238.705346.7711,304.482253.76116.107-119.012348.028131.521114.128-164.516-246.568-899.378-31.464-1,048.859-783.49727.745-66.286-33.195-2.152-2.6923.467-2.132-1.9280.94-121.37710.5210.295
Crediteuren 0635.852727.4-204.522-234.242456.798102.848-53.955582.891156.77200000000000000000
Overig Werkkapitaal -853.5110-36.299323.093-9.18755.221230.412-181.823611.928-253.595-249.27342.729-334.7391,280.348588.926-1,377.629-77.951259.53570.572-20.319-36.45829.93565.02-61.510.1986.2773.966
Overige Niet-Contante Posten -627.567-395.127-652.384-866.128-189.512-331.28-803.165180.7963.901947.976-54.012-98.636196.971127.332127.879219.991395.791366.063351.93965.071266.93-59.755-38.132-15.64120.4518.731-30.335
Kasstroom uit Operationele Activiteiten 6,316.2027,392.4245,527.9215,467.2663,137.4025,763.2845,715.495,232.1055,463.7494,475.8933,092.0133,084.1623,189.413,835.4143,391.6321,797.662,765.1043,157.8082,441.4511,2851,675.4031,453.7951,301.4521,089.5281,004.883886.982815.282
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -10,802.288-3,804.377-4,039.106-3,318.807-4,245.496-4,849.87-3,545.159-7,398.168-583.935-786.135-368.844-240.842-165.158-174.526-118.545-274.813-827.418-837.218-1,207.15-4,001.529-5,448.262-1,266.547-150.353-167.567-501.077-814.431-1,061.734
Netto Overnames 01,001.546-2,457414.514,246.0834,857.316-176.873415.072395.368-1,164395.676325.885210.739204.3720.127278.573-24.68739.891,209.9652.2612.6051,270.62700501.0770.091,061.734
Aankoop van Beleggingen -21,060.126-17,372.095-17,140.573-20,456.074-6,728.019-11,581.656-6,102.874-4,278.382-3,262.507-1,386.478-1,929.822-1,858.047-4,661.418-2,349.279-59.657-3.509-162.506-47.589-81.573-71-15-108.35-596.9-244.19-472.67-47.163-67.5
Verkoop/verval van Beleggingen 22,471.75617,234.04417,158.27817,376.4615,273.0619,032.4735,152.2833,798.5113,294.3141,281.3221,910.8621,048.9773,470.6021,863.513210.473135.808116.555160.354160.695219.73386.88542.7898.67537.96945.32263.863127.597
Overige Investeringsactiviteiten 3.105051.755-404.309-4,245.496-4,849.87-100.954-120-69556.171-368.844-240.842-165.158-174.5267.017-274.8130.51542.912-1,207.150.1940.414-1,266.5478.60119.864-501.077-0.255-1,061.734
Kasstroom uit Investeringsactiviteiten -9,387.553-2,940.881-6,426.645-6,388.22-5,699.868-7,391.606-4,773.578-7,582.966-225.759-1,499.12-360.973-964.87-1,310.394-630.44639.415-138.755-897.541-641.651-1,125.214-3,850.34-5,373.358-1,328.037-639.977-353.924-928.425-797.896-1,001.638
Financieringsactiviteiten:
Schuldaflossingen 2,427.162-1,853.5994,123.8335,049.4274,901.96-3,777.6341,552.023,495.195-2,641.625-764.041-404.034-211.533173.426-734.193-1,527.535224.156-689.029-706.07-359.9654,249.0323,573.1871,273.186-76.7-361.708-184.676-159.04-413.463
Uitgifte van Gewone Aandelen 000000664.4831,618.4450121.686000000000000533618.345087
Terugkoop van Gewone Aandelen 000000000000000000000000000
Uitgekeerde Dividenden -3,330.286-3,406.618-2,317.364-2,317.364-2,317.364-2,317.364-2,874.754-2,607.056-2,521.599-2,711.109-2,200.245-2,119.497-2,119.748-2,108.418-1,895.051-1,784.381-1,810.957-1,466.373-1,118.57-1,104.999-860.582-662.292-655.022-493.033-108.216-324.573-290.508
Overige Financieringsactiviteiten 3,984.357654.943485.12128.893-120.5518,064.622633.19-87.237-101.60710.871-2.636-65.57-52.339-31.312-51.197-41.453-35.932-531.26-489.834-418.433-26.904-19.23500-379.68129.5150
Kasstroom uit Financieringsactiviteiten 3,081.233-4,605.2751,206.431,059.7622,464.0451,562.606-689.5442,419.347-5,264.831-3,464.279-2,559.76-2,396.601-1,998.661-2,873.923-3,473.783-1,601.678-2,535.918-2,186.088-1,593.423,114.6232,685.701591.659-726.721-821.74-54.226-354.098-616.971
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000-00000000000000000000000
Netto Kasstroomverandering 9.883-91.409307.706138.808-98.421-65.717252.36868.486-26.842-487.507171.28-277.308-119.645331.045-42.73557.227-668.354330.069-277.183549.283-1,012.254717.417-65.246-86.13622.232-265.012-803.327
Kaspositie aan het Einde van de Periode 843.486833.604925.013489.797350.989449.41515.127262.759194.273221.115580.457409.177686.485806.13475.085517.82460.5931,128.947796.8741,074.058524.7741,537.029819.611884.857970.993948.7611,213.773