Caihong Display Devices Co.,Ltd.

SSE:600707.SS

6.77 (CNY) • At close May 14, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,230.14661.077-2,662.3692,674.595-916.9163.58348.20125.624-306.9942.556-1,144.22521.968-2,216.037-567.3355.598-724.24130.396-27.48619.661-563.964228.549234.376192.07789.378114.5163.48681.126
Afschrijvingen & Amortisatie 3,118.1242,940.7792,906.432,552.8412,119.6011,957.527751.632207.784159.56169.741123.70779.56385.09148.48824.64283.87183.795117.404129.275249.952175.812122.038131.4193.76492.19351.87551.433
Uitgestelde Inkomstenbelasting 0-2.071-2.071-2.071-2.071-16.14-1.06800000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000
Verandering in Werkkapitaal -489.268-1,111.4131,905.8381,156.4741,063.116-226.169170.648-376.744-146.827-229.01918.72542.11106.695161.393337.36586.802-62.593-57.545-178.688187.828-139.016.587197.244-118.091-173.215-124.772-283.267
Vorderingen 424.343-948.095822.744509.356-676.045-1,227.0822,254.209-261.53737.303-146.63895.04323.419-83.51500000000000000
Voorraden -236.64320.715511.105-864.895215.697165.692-847.911-10.15422.728-49.112.16597.465-73.53375.573-20.779133.683-50.8-87.248-40.381179.682-146.88-101.22921.54613.666-210.4841.257157.84
Crediteuren 0-184.033574.0591,513.3811,525.535851.361-1,234.581-105.052-206.858-33.27100000000000000000
Overig Werkkapitaal -676.9690-2.071-1.369-2.071-16.141,018.56-366.589-169.555-179.90916.56-55.355180.22885.82358.144-46.881-11.79329.703-138.3068.1467.87107.816175.698-131.75737.269-126.029-441.107
Overige Niet-Contante Posten 482.942531.924624.58712.5431,692.113368.48256.571322.367186.985-121.86855.806-105.8751,967.357426.37739.77528.39253.6361.17969.111296.49534.3630.7134.85344.75817.8774.04524.152
Kasstroom uit Operationele Activiteiten 4,341.9393,020.2962,774.487,096.4533,957.9212,163.4211,227.052179.031-107.272-138.581-145.98737.767-56.89468.923407.376-25.176105.23433.55339.359170.31299.711393.712555.584109.80951.35594.634-126.556
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3,310.489-2,617.498-4,134.716-4,035.035-3,132.803-4,273.323-9,117.016-2,063.363-200.4-589.813-271.541-320.399-893.401-2,108.536-4,263.28-333.433-1.603-15.95-4.493-13.349-31.861-301.608-32.883-167.912-733.143-2.38-1.094
Netto Overnames 003.76162.1930-00-3,414.13159.938153.7710227.78816.14725.692-0035.345-11.913000.5880.5130.24901.91700
Aankoop van Beleggingen -6,436-3,100-3,823-162.193-3,200-2,540-2,440.913-2,9500-0.170-959.934-600-195-90001.603000-417.529-7.024-2.7240-35.175-150
Verkoop/verval van Beleggingen 5,850.5572,647.1663,652.57630.953,238.0172,555.3345,122.537200.70700.572413.8831,828.7773.164197.29902.43104.510.5661.6925.04686.9955.4783.8334.0095.95203.999
Overige Investeringsactiviteiten 39.293.47477.729196.828262.671206.81433.412513.06165.438304.17358.344.1626.5472.6373.7853.996-1.6031.0170.542.1182.1112.8091.4851.4271.8370.0020.002
Kasstroom uit Investeringsactiviteiten -3,856.642-3,066.857-4,223.651-3,807.257-2,832.114-4,051.179-6,001.98-7,713.727-134.961-285.64200.682780.392-1,447.543-2,077.917-4,257.064-329.43738.252-26.28-2.261-6.185-359.695-299.831-30.041-162.477-758.612-17.3782.906
Financieringsactiviteiten:
Schuldaflossingen -1,739.538-2,546.7761,548.722-849.782568.3052,402.1797,359.46-1,588.218177.554627.999-216.126-738.5571,218.6741,647.1131,196.778933.834350.016-6-80-50050-330130300-45.30
Uitgifte van Gewone Aandelen 000000000000000000000000000
Terugkoop van Gewone Aandelen 000000000-8.17300000000000000000
Uitgekeerde Dividenden -429.015-599.737-684.644-635.466-732.852-686.634-509.607-224.053-155.778-164.467-428.67-265.749-289.133-189.656-45.326-38.63-19.663-16.979-21.22-149.497-70.608-101.384-95.356-88.755-20.725-11.692-31.814
Overige Financieringsactiviteiten 1,95000297.341060-6,596.57619,105.315210186.799-2.177-0-3.9542.3583,673.57875.363100.4660-1.705070-0-0108.673337.5283.62-0.048
Kasstroom uit Financieringsactiviteiten -218.553-3,146.514864.078-1,187.907-164.5471,775.545253.27717,293.045231.775650.33-646.974-1,004.306925.5911,499.8154,825.029970.567-73.663-22.979-102.924-199.497-0.608-51.384-425.356149.918616.803-53.371-31.862
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 79.96320.99435.021-25.74-81.89111.26122.93-00.3650.0130.48-2.148-0.612-1.732-2.083-0.729-5.154-1.1910-0.359-0-000-00-0
Netto Kasstroomverandering 346.706-3,172.08-550.0722,075.548879.369-100.953-4,498.7219,758.349-10.093226.121-591.798-188.295-579.458-510.91973.258615.22564.669-16.898-65.826-35.731-60.59242.497100.18797.25-90.45423.884-155.512
Kaspositie aan het Einde van de Periode 5,003.5784,656.8727,828.9528,379.0246,303.4765,424.1075,525.0610,023.781265.432275.52549.403641.201829.4961,408.9541,919.864946.606173.102108.433125.331191.157226.888287.479246.814153.00555.755146.208122.324