Sinochem International Corporation

SSE:600500.SS

3.58 (CNY) • At close April 8, 2025
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Operationele Activiteiten:
Nettowinst -1,852.6542,180.4676,569.6811,741.3361,597.5962,108.2761,366.995440.8081,030.092882.654750.449723.7111,053.444916.563750.297884.241769.975471.873764.029839.971296.936288.27494.424130.735117.759
Afschrijvingen & Amortisatie 2,181.041,666.0441,546.4941,600.4841,294.9761,459.4031,334.7491,162.2861,063.001516.256479.354343.767328.752375.566354.492260.181201.67143.616137.49798.23866.02440.79215.3719.13410.316
Uitgestelde Inkomstenbelasting 0-280.623-5,239.89322.731-74.558225.32653.796-400.731-134.6360000000000000000
Aandelen Gebaseerde Vergoedingen 9.69322.47342.19138.034000000000000000000000
Verandering in Werkkapitaal 214.611-1,991.738-2,049.862-1,448.223-1,882.702-1,056.224-2,850.159-980.261-250.0458.884-592.212-197.954-716.043-759.36-129.387485.513-166.398-139.11-61.46-87.098-35.958-24.626522.687-743.301-90.715
Vorderingen 1,217.394-1,362.504-3,862.9-489.278-899.305-36.5791,299.654-653.181-14.365-240.705341.976-549.1360000000000000
Voorraden 1,328.187-2,164.575-2,523.903-371.801127.41939.733-321.948-722.377-284.117215.842-461.944562.983-560.712-1,071.252-1,178.806664.62-610.556-267.816-26.127-439.335-195.175-46.408370.907-591.009176.529
Crediteuren -2,287.6321,815.9644,471.739-609.874-1,039.752-1,284.704-3,881.6611,213.009183.6180000000000000000
Overig Werkkapitaal -43.339-280.623-134.79722.731-71.064-1,095.956-2,528.211-257.88434.078-156.958-130.268-760.937-155.331311.8921,049.419-179.107444.158128.706-35.333352.237159.21721.782151.78-152.292-267.243
Overige Niet-Contante Posten 1,152.0891,809.389505.77622.66596.711-147.5221,023.5841,296.077508.544-501.392210.69-211.217239.531105.934-25.68550.766-182.334-89.885-74.83623.6998.835-15.49311.649-36.871-24.641
Kasstroom uit Operationele Activiteiten 1,704.7793,406.0131,374.3812,577.0221,606.5812,363.934875.1681,918.912,351.597956.402848.281658.306905.684638.703949.7171,680.701622.913386.494765.23874.809335.837288.947644.131-630.30312.718
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -4,278.956-8,331.861-8,655.952-4,824.3-4,279.004-3,129.329-2,627.159-2,391.069-2,710.624-1,647.442-879.216-661.925-554.909-794.107-813.89-1,616.847-1,580.521-1,211.953-857.2-940.777-284.815-332.267-107.469-5.156-2.412
Netto Overnames 472.236-584.2427,163.695-66.338-1,022.316-1,525.672-2,039.664-1,133.4020.2944.88790.341-1,510.288105.89758.0172.025-1,086.498-17.714111.8713.921952.6828.9870.8870.5780.0350.005
Aankoop van Beleggingen -1,137.473584.242-828-354.701-5,458.097-5,095.944-3,659.851-15,932.887-6,557.47-9,043.901-4,601.633-5,192.14-12,714.854-1,391.031-927.73-848.212-724.321-155.278-102.536-221.247-5-174.581-156.048-411.065-335.304
Verkoop/verval van Beleggingen 1,127.397356.636945.3072,120.0188,410.015,337.2137,447.59515,589.7086,795.80810,949.7273,362.4252,828.64312,130.7981,856.915612.688658.762335.965191.823116.072121.75570.242144.06338.103446.692190.753
Overige Investeringsactiviteiten 24.687-597.746-2,329.059322.155-161.841142.0914,132.3441,487.818279.535736.837-147.85818.141-206.4488.20167.18348.231189.781-39.80729.9-940.777-14.64811.96418.419-0.20.013
Kasstroom uit Investeringsactiviteiten -3,792.109-8,572.971-3,704.009-2,803.166-2,511.248-4,271.643,253.265-2,379.832-2,192.4571,000.107-2,175.94-4,517.569-1,239.516-262.005-1,059.723-2,844.564-1,796.81-1,103.345-809.842-1,028.365-225.234-349.933-206.41730.306-146.947
Financieringsactiviteiten:
Schuldaflossingen 925.4085,124.7077,121.38-1,098.8482,264-135.27-1,873.4624,186.537108.6991,249.217-4,391.6181,988.4731,038.3833,137.8411,749.5652,602.31,530.559-14.251390.024259.33538.802158.599-6.829-130-94.4
Uitgifte van Gewone Aandelen 03.26700000000000000000000000
Terugkoop van Gewone Aandelen -711.083-3.267-1,303.99-1.719000000000000000000000
Uitgekeerde Dividenden -1,293.213-221.126-110.637-451.615-942.8-910.407-866.997-763.392-803.632-844.863-676.957-616.147-495.71-620.187-433.026-442.603-302.957-492.135-255.312-93.645-169.552-109.166-100.15-9.302-63.601
Overige Financieringsactiviteiten 215.1543,318.471-6,953.716928.975-1,305.8391,407.411-1,052.122-215.874-106.863-2,735.5173,053.346140.12761.595-5.955170.495-20.8631,199.7881,134.028182.096.28939.628-0.14655.5437.323944.345
Kasstroom uit Financieringsactiviteiten -863.7337,280.656-1,246.962-1,201.033-22.288361.734-2,139.7543,082.669-817.616-924.718-2,016.5871,477.4461,304.2682,511.6991,487.0342,138.8342,427.39627.642316.802171.979-91.12249.288-51.435-131.979786.344
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 45.41374.904-71.952-71.464119.21-44.167-85.753-58.411118.566-89.05-113.03215.86-252.592-117.931-21.08730.488-37.791-13.564-3.234-0.004-0.129-0.347-4.1690.3630.839
Netto Kasstroomverandering -2,905.6492,188.602-3,648.542-1,498.641-807.745-1,590.141,902.9262,563.336-539.91942.742-3,457.278-2,365.956717.8442,770.4651,355.9411,005.4581,215.702-102.773268.95618.41919.352-12.045382.109-731.613652.954
Kaspositie aan het Einde van de Periode 1,668.6264,574.2752,385.6746,034.2167,525.5288,333.2739,923.4137,221.5374,649.7543,121.9572,081.6415,505.227,871.1767,153.3324,382.8673,026.9262,021.468805.767908.539639.583621.164601.621613.664225.293956.906