Anyang Iron and Steel Co., Ltd.

SSE:600569.SS

1.85 (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 -3,376.573-1,554.239-3,130.7731,033.326228.779238.011,860.4681,605.444108.316-2,548.39233.42340.008-3,501.2934.36476.272131.003125.3331,085.322556.679433.086732.018824.392537.303470.73492.263324.112
Afschrijvingen & Amortisatie 1,588.9071,640.951,810.4361,638.2321,644.2341,623.3411,560.5671,429.6541,336.0671,279.2641,276.0571,128.538993.674988.553985.268936.818904.847678.572448.364550.804482.899495.538403.845337.551376.097241.771
Uitgestelde Inkomstenbelasting 00-83.109-17.313-44.51738.10910.3856.497-2.02-21.0050000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal -537.8261,784.713411.358870.841-1,004.757-1,840.309264.498-273.457-924.466841.2722,464.6481,254.5473,223.4152,684.542-2,684.428-1,156.242-985.963-1,125.965599.363-344.93838.442-107.377168.445-216.841508.36141.691
Vorderingen -183.9-313.511-53.119-6.615-817.39-579.455-421.135-1,297.859-570.217-223.026-388.9072,216.073804.2910000000000000
Voorraden 1,427.4571,353.69760.377-1,098.807-1,591.646-2,454.589274.422414.134-941.121152.724998.903-3,108.3261,869.4091,315.855-2,019.821,699.745-2,317.056-2,010.387-82.076-23.471-990.231-499.12254.856-188.225-115.17434.532
Crediteuren 01,357.522487.212,078.7481,448.7961,155.625400.825603.771588.892932.5790000000000000000
Overig Werkkapitaal -1,781.382-612.994-83.109-102.485-44.51738.109-9.924-687.59116.655688.5481,465.7454,362.8731,354.0071,368.686-664.608-2,855.9881,331.094884.422681.439-321.4671,028.673391.743-86.411-28.617623.5347.159
Overige Niet-Contante Posten 1,020.057665.586735.451700.162845.577787.436964.0791,047.297886.7571,931.5841,137.348921.338891.336691.21703.806536.557647.725234.834268.613-11.585.22822.906-88.543-9.36174.40918.911
Kasstroom uit Operationele Activiteiten -1,305.4362,537.011-173.5284,242.5621,713.833808.4784,649.6113,808.9371,406.6731,503.7284,911.4763,344.4311,607.1354,398.669-919.083448.136691.942872.7641,873.018627.3721,258.5871,235.4591,021.05582.0791,451.13626.485
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,182.606-1,284.693-949.529-3,288.256-1,713.369-639.842-592.727-934.27-604.695-649.188-856.562-973.018-1,778.455-3,051.279-1,255.587-893.392-1,081.375-2,428.168-2,125.636-3,440.536-2,202.241-661.816-264.135-465.819-170.174-548.208
Netto Overnames 0016.9321.9270.0614.8621200.8141.5762.01513.97801,780.0760001,099.119003,521.729005.107466.28700
Aankoop van Beleggingen -22.518-57.899-16.932-106.619-12-35.280-30000-20000-6000-10000-180-34000
Verkoop/verval van Beleggingen 34.3985.061.06211.3152.1320.7222.1140.504000.1051.9281.18319.2142.6271.8741.022.6987.559237.92413.46511.5527.376108.9637.7750
Overige Investeringsactiviteiten 38.97712.114-18.02425.57846.5285.8780127-0.2561.33514.622-13.081-1,778.45510.8212.8824.288-1,081.37552.235.732-3,440.5367.3010.626-0.956-465.8191.7971.137
Kasstroom uit Investeringsactiviteiten -1,131.75-1,325.419-966.491-3,356.055-1,676.65-643.661-590.613-808.952-604.951-647.853-841.836-984.171-1,795.649-3,021.245-1,250.078-887.23-1,122.611-2,373.24-2,112.345-3,221.42-2,181.476-649.638-432.607-696.388-160.602-547.071
Financieringsactiviteiten:
Schuldaflossingen -213.045-357.079809.578-266.248361.08-750.132-1,483.228-2,000.784-675.735-518.764-1,899.693-2,580.0931,572.408261.9433,364.29501,1543,291.99512,440450-59.12.55-556.534-290.0980
Uitgifte van Gewone Aandelen 00000000000000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000000
Uitgekeerde Dividenden -806.996-664.097-315.966-143.621-143.621-239.368-929.883-1,053.097-901.855-1,059.709-1,200.866-1,117.421-987.879-891.597-673.733-556.048-769.532-565.192-377.199-248.035-336.373-271.573-255.796-209.657-508.834-120.975
Overige Financieringsactiviteiten 2,338.708440.958854.721101.228-537.2012,055.798-611.735373.735154.2861,175.978-1,026.419-581.959-200.853182.505-480.566-212.36-344.86-240.439-3.0530.0310.5731.3832.3461,671.806-1.1870
Kasstroom uit Financieringsactiviteiten 1,318.667-580.218587.091-950.343-1,090.145326.508-3,024.846-2,680.146-1,423.304-402.495-4,126.979-4,279.472383.676-447.1492,209.901181.59239.6082,432.459570.7492,191.996114.2-329.29-250.9905.614-800.119-120.975
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1.1473.2274.126-3.097-3.6280.2075.944-3.72512.229-0.0551.2070.230.557-3.363-6.2920.644-54.502-15.32000-00-0-00
Netto Kasstroomverandering -1,117.371634.601-548.803-66.933-1,056.59491.5321,040.097316.114-609.353453.325-56.132-1,918.983195.719926.91134.448-256.858-445.563916.662331.421-402.051-808.689256.532337.542791.305490.409-41.56
Kaspositie aan het Einde van de Periode 323.0021,440.373805.7721,354.5751,421.5082,478.0981,986.566946.469630.3561,239.709786.384842.5162,761.4992,565.781,638.8681,604.421,861.2782,299.6861,461.1071,129.6861,531.7372,340.4252,083.8941,746.351955.046464.636