Fuyao Glass Industry Group Co., Ltd.

SSE:600660.SS

56.79 (CNY) • At close July 25, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 7,497.9765,629.2564,752.7963,142.9812,598.4512,898.1824,107.1733,148.2433,142.7172,607.4992,217.2811,917.1171,524.6411,512.6071,787.7581,118.029246.053917.211607.22391.718394.561320.967184.969152.154150.03472.59-17.9
Afschrijvingen & Amortisatie 2,392.3072,522.4432,085.7712,009.6961,987.4611,841.7581,447.341,214.8991,106.983912.345793.964795.541753.012667.178596.961581.678561.617460.685380.712272.383202.817109.27189.15968.91880.66765.97669.147
Uitgestelde Inkomstenbelasting 0044.7271.49632.5-264.713130.839-91.809-0.9313.99100000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000
Verandering in Werkkapitaal -1,708.117-807.056-766.794-268.958-244.642-149.328574.753-250.197-473.506-557.406-192.913-121.841-95.172-950.288-449.915-217.766-14.546-270.367-61.113-169.973-116.365-189.05620.899-90.234-48.11-37.70812.95
Vorderingen -2,556.961-2,780.29-1,158.638-261.733-724.256.752412.572-277.599-1,142.132-222.012-251.957-528.106-306.31200000000000000
Voorraden -915.925230.61-1,107.601-1,065.035-31.498-42.665-237.854-187.603-290.004-302.465-332.099-98.102-16.919-219.626-377.274-104.374-30.527-331.054-138.21-254.022-134.157-186.693-13.319-57.066-40.799-32.522-0.456
Crediteuren 01,833.5431,454.726986.314478.607151.298269.195306.814959.561-36.9200000000000000000
Overig Werkkapitaal 1,764.769-90.91844.7271.49632.5-264.713812.606-62.594-183.502-254.941139.187-23.74-78.253-730.662-72.641-113.39115.98160.68777.09784.04917.792-2.36434.218-33.168-7.31-5.18513.406
Overige Niet-Contante Posten 380.021279.937-178.731793.291936.492536.302-321.404683.567-139.21952.035335.669247.562327.088232.502180.275468.792798.462264.416247.447222.907121.5993.18389.67773.3743.73242.64137.884
Kasstroom uit Operationele Activiteiten 8,562.1877,624.5815,893.0425,677.015,277.7625,126.9155,807.8614,796.5123,636.9753,014.4733,154.0022,838.3772,509.5681,461.9992,115.0791,950.7341,591.5851,371.9451,174.266717.037602.603334.365384.704204.207226.323143.5102.081
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -5,480.872-4,474.711-3,130.253-2,328.512-1,772.543-2,779.502-3,591.741-3,589.995-3,567.561-3,255.542-2,799.744-1,886.735-1,571.309-1,110.365-1,073.893-450.103-918.099-1,870.775-1,283.424-1,213.197-1,836.172-1,221.056-402.712-348.660-28.268-29.384
Netto Overnames 092.26183.421137.82833.269-20.314442.321148.151212.51652.7920000-137.4810939.4270000000.108000.218
Aankoop van Beleggingen 0-20-4,742.813-11.321-58-4,30063.762-19055.05650.23100-2.487091.2390-19.60-72.406-4.779-100-12.5-22.424-34.7-77.352-4.917
Verkoop/verval van Beleggingen 0301504.94.93,933.7437.3509.885.5840004.97.356.863.1687.446000000.0680.12700.043
Overige Investeringsactiviteiten 5,536.603-76.483-16.364334.426625.75440.776-249.476-72.041116.95851.426164.399448.526118.64850.26532.146467.45-918.09934.777215.8477.87834.6180.0842.0780.493-124.7950.216-0.72
Kasstroom uit Investeringsactiviteiten 55.731-4,448.932-7,656.009-1,862.678-1,166.62-3,125.298-3,327.784-3,513.885-3,173.232-3,015.509-2,635.345-1,438.209-1,455.147-1,055.2-1,080.6424.206-913.204-1,828.552-1,139.984-1,210.097-1,811.553-1,220.972-413.134-370.414-159.368-105.404-34.76
Financieringsactiviteiten:
Schuldaflossingen 242.1511,623.579-1,466.347-1,142.476-2,792.597581.811-76.634659.6241,319.575130.559454.325-1,378.845-2,171.0721,047.507-1,333.681-3,060.172173.228987.077174.081662.5141,438.823561.966156.072256.26127.127-33.43141.112
Uitgifte van Gewone Aandelen 00-2.028-1.732-2.7090000-1.46600000000000000000
Terugkoop van Gewone Aandelen 0001.73200000000000000000000000
Uitgekeerde Dividenden -3,713.616-3,596.608-2,609.744-1,957.308-1,881.463-1,881.463-3,303.07-2,110.838-2,035.111-1,714.509-1,247.215-1,210.003-998.212-1,297.018-482.17-213.16-829.653-549.766-208.026-173.908-251.426-125.578-113.486-119.564-43.142-41.14-56.666
Overige Financieringsactiviteiten 113.291-307.3163,138.0855,372.0961,732.2911,612.725299.7-4.621,140.0246,692.015290.0481,193.3161,794.611341.197654.3551,294.63400-2.500560.83603.50.01341.394-44.945
Kasstroom uit Financieringsactiviteiten -3,358.174-2,280.344-1,235.8841,951.818-3,279.52-115.536-3,080.004-1,455.834424.4895,108.065-502.842-1,395.532-1,374.673247.002-1,019.834-1,978.698-656.425437.311-36.444488.6051,187.398997.22442.586140.197-16.002-33.178-60.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 122.781218.084911.391-248.779-376.338108.932253.288-321.331404.369299.879-8.4120000000000000000.031
Netto Kasstroomverandering 5,382.5251,113.388-2,087.4615,517.37455.2841,995.012-346.639-494.5391,292.6015,406.9087.4034.636-320.252653.80214.606-3.75821.957-19.297-2.162-4.455-21.552110.61714.156-26.0150.9534.9186.853
Kaspositie aan het Einde van de Periode 18,733.77413,351.2512,237.86214,325.3228,807.9528,352.6696,357.6566,704.2967,198.8345,906.233499.325491.922487.285807.537153.736139.13142.888120.931140.228142.39146.845168.39757.7858.11784.12733.17528.257