Shanghai Waigaoqiao Free Trade Zone Group Co., Ltd.

SSE:600648.SS

12.15 (CNY) • At close April 18, 2025
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operationele Activiteiten:
Nettowinst 928.1191,254.544950.417769.442921.029886.567781.46756.83583.092750.632584.548504.977442.907727.456413.05303.74713.82712.741-204.24778.03226.628-125.7818.12523.14429.388130.12
Afschrijvingen & Amortisatie 834.249854.724869.78702.301662.565611.412558.127518.976485.528425.58373.637368.912348.284368.755337.016335.60643.55145.45133.22912.25518.20413.91813.5719.6918.9999.922
Uitgestelde Inkomstenbelasting 0-22.31-129.464-342.99-56.23-82.575-147.021-51.078-98.9100000000000000000
Aandelen Gebaseerde Vergoedingen 00001.2821.2071.4340.0430.38200000000000000000
Verandering in Werkkapitaal -1,932.234-3,992.4981,262.6512,186.223-4,103.528-842.8361,311.483-1,993.907-1,791.589-1,029.513-1,879.368994.103-1,604.125-1,619.845197.048-294.327-486.355-293.905-260.181-285.976-157.063-47.57466.5985.747-104.939104.596
Vorderingen -1,145.83593.439-503.263,276.529-1,837.935-1,058.567-636.406-129.382-160.297211.084-140.521523.44400000000000000
Voorraden -1,251.602-2,612.666-736.865-3,414.304-1,248.675-422.925219.463-780.466-2,619.218-1,386.741-1,297.435-2,310.917-405.567-1,404.017-1,031.117-734.858-532.656-120.351-234.768-452.607-153.632-136.715-267.292-41.749-697.302-291.908
Crediteuren 453.913-1,450.9612,632.242,666.989-960.688803.883968.539-1,032.981,071.75600000000000000000
Overig Werkkapitaal 11.29-22.31-129.464-342.99-56.23-419.911,092.02-1,213.441827.629357.228-581.9343,305.02-1,198.558-215.8281,228.164440.53146.301-173.554-25.414166.631-3.43189.14333.88947.496592.363396.505
Overige Niet-Contante Posten 631.294173.43450.588526.339320.68961.12196.524182.314377.34499.021333.462466.523370.937163.467249.569330.04837.434-24.607196.62-4.41514.458185.273-10.69-15.6695.351-94.385
Kasstroom uit Operationele Activiteiten 461.428-1,709.7993,533.4364,184.304-2,254.194716.2632,847.595-535.787-345.626245.719-587.7222,334.515-441.997-360.1661,196.682675.074-391.544-260.321-234.579-200.104-97.77325.83677.60422.913-61.201150.253
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -919.669-417.817-98.256-198.13-225.923-489.566-130.646-190.367-127.655-90.151-68.305-86.145-79.674-82.404-318.06-170.32-72.773-49.822-129.366-357.974-50.206-22.632-4.619-16.272-3.197-2.407
Netto Overnames 2.017626.5970.7361.5636.46430.1723.99446.0062.3850.4273.69946.0087.5392.68116.95.508165.0860.5680.08208.9781.0730.3163.3660.0170.096
Aankoop van Beleggingen -3,370-8,330.03-6,661.2-283-278.258-3.271-36.332-7.963-150-61.262-77.325-219.794-32.39-133.854-4.911-862.4-17.312-50.099-90.1960-157.413-472.802-696.477-1,420.126-553.795-144.537
Verkoop/verval van Beleggingen 2,864.20810,289.5395,143.89436.39169.566462.54647.16445.14847.422304.91181.28676.4932.105110.19192.429580.62339.883148.917286.302114.107152.82428.981644.9631,454.01534.123227.62
Overige Investeringsactiviteiten 38.418-10.3523.92381.385275.217176.92-603.616170.296-648.6163.5340.7811.7711.5677.32325.29-6.1380.0930.7011.286125.117-20.55587.1684.047-0.665-51.179-208.721
Kasstroom uit Investeringsactiviteiten -1,385.0252,157.941-1,590.903-361.791-152.934176.801-719.43663.121-876.465157.46-59.865-181.669-60.853-96.064-188.353-452.728114.97750.26668.108-118.75-66.37621.789-51.76920.313-74.031-127.949
Financieringsactiviteiten:
Schuldaflossingen 1,881.175596.801307.0611,326.7334,378.477-1,140.528-1,706.478891.851,353.461-2,618.442495.546-1,353.062931.6152,324.5731,102.65-1,716.8585,121.88204.092283.459502.357202.918162.36771.439-103.285362.88278.003
Uitgifte van Gewone Aandelen 00000000000000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000000
Uitgekeerde Dividenden -946.416-937.117-227.07-272.484-249.777-781.366-801.056-652.386-855.9-828.031-887.292-965.028-881.844-504.808-595.522-927.324-198.34-149.299-121.693-57.093-70.318-69.333-79.49-83.16-62.099-215.24
Overige Financieringsactiviteiten -48.379-83.002-47.893-62.121-911.377677.936-131.626403.774361.1923,675.424751.174725.818-627.79-1,186.375-1,809.9942,259.811-4,279.0910.188-12.437-25.60511.015-59.192.3183.270.568-5.963
Kasstroom uit Financieringsactiviteiten 886.379-1,030.818-571.768341.9382,617.584-1,303.672-2,172.158643.238777.658228.951359.429-1,592.273162.316633.39-1,302.867-384.371644.4565.174149.329419.658143.61533.93484.268-183.174301.352-143.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.419.1220.214-4.9493.14520.96912.6122.413.7687.532-1.925-1.15-5.4312.86862.80970.230.251-1.359-3.1440.005-0-0.005-0.04-0.0030.055-0.025
Netto Kasstroomverandering -34.808-573.5541,370.984,159.502213.601-389.64-31.389192.971-430.664639.662-290.082559.423-345.964190.028-231.728-91.795368.133-146.24-10.356100.809-20.53481.554110.062-139.95166.174-120.92
Kaspositie aan het Einde van de Periode 6,583.4286,618.2367,191.795,820.811,661.3081,438.4061,788.4741,819.8641,521.631,952.2951,312.6331,602.7141,043.2921,389.2561,199.2281,430.956538.925170.792317.032533.177432.368452.902349.435237.799379.323213.889