Huadian Energy Company Limited

SSE:600726.SS

2.54 (CNY) • At close August 1, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,107.7291,045.077393.342-3,125.097-1,169.01979.271-881.31-1,204.702172.23127.634158.08250.961-448.88549.114.416-796.48528.58349.874127.62125.631255.046201.371249.251281.813224.7184.128235.141
Afschrijvingen & Amortisatie 1,985.1341,975.0451,943.4021,462.9771,525.0291,536.51,518.7931,537.7871,355.2731,410.291,338.5141,294.921,268.6381,265.9121,012.251917.798783.604503.398586.249555.525506.414159.386151.714148.56124.358112.29284.487
Uitgestelde Inkomstenbelasting 004.246-5.3862.62820.475-15.973-133.896-17.728-200000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000
Verandering in Werkkapitaal -1,044.089-122.096799.901465.687132.325-297.0731,014.512-791.065223.892474.63694.79539.305-355.169-616.264218.997233.089-470.84-405.798-106.856480.265-190.8179.436125.39141.634-143.304442.578-226.592
Vorderingen -57.699519.21562.115-138.264-29.899-1,019.81159.068-471.049252.356315.423-318.918-176.381-214.06400000000000000
Voorraden -262.343127.43462.654-572.027-164.381-23.967-29.195-116.42975.953236.875-58.2-10.8-105.359-3.149-70.743-71.88769.131-31.716-19.284-41.77320.765-2.236-2.096-6.34-1.183-6.6197.515
Crediteuren 0-768.74270.8861,746.478323.978726.7811,000.612-69.691-86.688-75.66200000000000000000
Overig Werkkapitaal -724.04804.246-570.5012.62819.9241,043.707-674.636147.939237.761152.99550.105-249.809-613.115289.741304.976-539.97-374.082-87.572522.038-211.58211.672127.486147.974-142.121449.197-234.106
Overige Niet-Contante Posten 931.373526.6851,316.8821,283.504818.819319.21867.8271,347.039669.492815.409959.381916.7351,206.588581.645398.3961,114.663636.212323.944275.722261.397291.04617.841-25.17417.79-14.2714.261-72.555
Kasstroom uit Operationele Activiteiten 2,980.1473,424.7114,453.52687.071,307.1541,637.9082,519.822889.0592,420.8882,727.9692,550.7722,301.9211,671.1721,280.4031,634.061,469.064977.56471.417882.7351,422.819861.689388.034501.181589.797191.483743.25920.481
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,533.986-839.153-1,937.11-1,106.77-477.181-1,194.039-1,123.954-1,965.209-2,153.746-1,510.954-1,135.725-1,337.203-1,099.597-1,336.316-2,309.489-1,453.038-2,042.241-1,962.859-356.965-268.045-208.608-256.745-147.719-675.142-72.721-119.056-464.129
Netto Overnames 07.354.9780.7923.7370.3361.977301.2110.4421.1450.643-60.91-48.746-138.679-1,329.667-467.5352,042.3331,972.803357.1959.7920.2560.5190.0950.64392.22100
Aankoop van Beleggingen 00-4.978-25.624-4.065-0.33601,965.83400-1,596.1281,341.179-4.9-73.885-403.172-80-59.763-28.706-305.38-177.78-41.21-567.44-330.74-116.999-3.8300
Verkoop/verval van Beleggingen 3.434.1971,275.8472.3879.385806.85717.31110.737123.4847.3919.536214.643138.468175.804432.25144.44813.6249.1982.11.51.40318.262151.9032.392151.01858.627117.92
Overige Investeringsactiviteiten 94.39257.688-25.021-21.032-5.9780.3361.977-1,965.2090.4421.14559.837-1,337.20374.32689.53736.9740.033-2,042.241-1,962.859-356.96513.438-612.20512.34911.74138.718-72.721-020.625
Kasstroom uit Investeringsactiviteiten -2,436.166-569.918-686.284-1,150.248-474.101-386.846-1,104.667-1,652.637-2,029.821-1,502.418-2,661.836-1,179.494-940.449-1,283.539-3,573.104-1,956.092-2,088.288-1,972.423-660.015-421.095-860.363-793.055-314.72-750.38993.967-60.43-325.584
Financieringsactiviteiten:
Schuldaflossingen 1,166.909-3,021.104-4,081.6111,751.757-39.183-705.965-430.1962,288.54862.427146.788-456.7-65.9841,132.551846.8112,825.038-378.5652,285.5641,877.8339.501-830.08-87.34940.346-35.52-21.98-3000214.711
Uitgifte van Gewone Aandelen 000000000000000000000000000
Terugkoop van Gewone Aandelen 000000000000000000000000000
Uitgekeerde Dividenden -435.759-482.536-784.06-1,448.752-761.369-859.64-833.133-1,007.371-750.227-837.863-876.251-971.638-1,088.42-972.732-731.734-792.964-658.234-449.264-324.45-350.61-342.916-145.598-162.209-126.557-35.186-166.206-18.725
Overige Financieringsactiviteiten -1,300.945-1,759.275828.931921.567-0.073-0.401-0.359-12.85-16.004-10.956-11.569-18.955139.4973.221794.9521,459.15750.124.54-0-271.317-289.234-000.05635.318-1500
Kasstroom uit Financieringsactiviteiten -569.795-5,262.915-4,036.7411,224.572-800.625-1,566.005-1,263.6871,268.327-703.804-702.031-1,344.52-1,056.577183.628-122.72,156.522303.6131,677.431,215.03615.051-1,181.455-430.256794.748-197.729-148.487300.132-316.206195.985
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000-0000-000-000-000-00-000-000-000
Netto Kasstroomverandering -25.814-2,408.121-269.499161.39532.429-314.943151.468504.749-312.736523.52-1,455.58565.85914.35-125.836217.478-183.415566.703-285.97237.771-179.731-428.93389.727-11.268-309.079585.582366.623-109.117
Kaspositie aan het Einde van de Periode 2,818.1082,843.9225,252.0431,629.5581,468.1631,435.7341,750.6781,599.2091,094.461,407.196883.6772,339.2612,233.4981,299.3971,425.2331,207.7551,391.17600.561883.481645.71825.4411,254.371864.644875.9121,184.992599.41232.786