Jiangsu Zongyi Co.,LTD

SSE:600770.SS

4.51 (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 7.098-232.119-425.63390.22228.47146.50530.937142.23399.623-179.357141.078-865.675155.118516.001451.56355.31355.18582.92429.77541.22223.0629.96732.19262.273124.73287.14376.713
Afschrijvingen & Amortisatie 109.556102.055103.182105.169100.562136.188135.063136.821152.499142.567128.186127.93159.6365743.69116.70716.68913.00517.04315.13717.03315.91313.81712.29415.28814.5315.058
Uitgestelde Inkomstenbelasting 0-39.862-81.98917.13730.07242.229-3.336-1.5140.797-5.14500000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000
Verandering in Werkkapitaal -11.081-25.695-45.836-58.068212.65147.57542.594138.742-81.1699.557206.772567.79469.433-1,150.706-61.444-37.843-27.852420.59523.514-238.563-108.055-47.19-12.604-129.312-62.201-18.849-64.342
Vorderingen -56.36324.812112.59330.65870.705-138.192121.327-136.294-274.5-328.869-220.46239.515125.35900000000000000
Voorraden 17.2645.3791.441-2.926-13.4764.91613.77420.217150.543-73.174-53.446357.81-251.157-833.265-128.16510.72710.49217.021-41.6581.195-23.408-27.523-4.264-7.168-35.357-46.36916.015
Crediteuren 0-16.024-77.881-102.937125.349238.622-89.172256.33341.999506.74500000000000000000
Overig Werkkapitaal 28.018-39.862-81.98917.13730.07242.22928.82118.525-231.703172.731260.218209.985320.59-317.44166.721-48.57-38.345403.57465.172-239.759-84.647-19.667-8.34-122.143-26.84427.52-80.356
Overige Niet-Contante Posten -30.63310.615516.937-102.115-267.279-231.866-143.25-223.059-113.833101.377-62.996744.83-224.441-490.094-511.593-48.171-50.085-38.68717.22633.43531.38322.75812.9681.292-56.248-18.738-9.658
Kasstroom uit Operationele Activiteiten 74.943114.994148.65135.206274.403198.40265.344194.73657.129164.144413.04574.8859.746-1,067.799-77.783-13.994-6.063477.83787.558-148.77-36.57821.44946.374-53.45221.57264.0887.772
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -45.703-24.275-54.835-90.428-182.011-113.54-127.769-50.662-21.296-87.534-160.867-134.684-317.765-517.773-511.491-227.162-147.832-17.829-13.384-36.961-35.447-34.341-30.086-24.453-11.786-18-3.306
Netto Overnames 0.5490039.94060.41797.6480.022.749-63.991-423.470.66311.7947.7630.66227.19311.84437.28813.53637.005035.04830.087011.78926.2650
Aankoop van Beleggingen -33.4180-257.609-358.546-412.74-280.284-671.732-516.794-442.894-4,411.381-236.297-310.094-302.333-291.548-89-29.314-61.763-70.666-36.13-1.50-17.4-53.40-74.595-54.703-46.432
Verkoop/verval van Beleggingen 191.7880253.121295.872466.337374.616295.8741,012.54482.3534,196.886239.69170.691524.15558.272565.48683.24524.58461.50439.40634.14955.8787.94452.701160.30942.57254.75530
Overige Investeringsactiviteiten -196.13257.488-23.3964.44456.328-90.63587.046-7.53959.842-159.0925.217-125.93-99.659-311.197-170.389-227.1620.0643.642-13.384-36.9610.471-34.341-30.0860.689-11.786-180.214
Kasstroom uit Investeringsactiviteiten -82.91533.213-82.713-48.759-32.085-49.426-318.933437.56680.754-525.11-555.726-499.354-183.814-554.483-204.734-173.2-173.10213.939-9.956-4.26920.902-43.09-30.785136.545-43.804-9.682-19.525
Financieringsactiviteiten:
Schuldaflossingen -50.47622.45-59.7-1.85-355.152.6-142.6-31.529-213.568108.48-435.94-133.152-26.295746.97514.498118.6113.689-253.8520.552-6740.15272.998164105.626.410.9977.699
Uitgifte van Gewone Aandelen 000000000000000000000000000
Terugkoop van Gewone Aandelen 000000000000000000000000000
Uitgekeerde Dividenden -13.116-18.62-21.165-23.229-37.21-37.412-47.773-80.76-85.938-105.532-99.891-155.766-124.541-74.371-44.388-27.558-20.448-36.575-26.523-25.242-24.988-18.309-28.417-69.823-24.766-15.609-1.998
Overige Financieringsactiviteiten -9.227-14.741-39.834-13.824398.59864.03817.098-113.928-276.867160.4751,197.9735-8.8451,334.256256.658520.203-4.7792.1417.10505.11114.252-0-018.4076.398-31.742
Kasstroom uit Financieringsactiviteiten -72.818-10.911-120.7-38.9036.28879.226-173.275-226.218-576.373163.423662.142-283.918-159.6812,006.855726.768611.256-21.538-288.287-8.866-92.24220.27568.941135.58335.77720.0411.786-26.041
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -7.28913.69721.071-18.566-11.35512.87822.346-36.55836.177-10.535-31.2276.524-91.979-109.992-4.7061.011-1.213-0.694-0.706-0.005-0.0190.005-0.001-0.159-0.055-0.024-0.046
Netto Kasstroomverandering -88.08131.509-33.69-71.022237.251241.079-404.518369.526-402.314-208.079488.23-201.868-375.727274.581439.545425.074-201.915202.79568.03-245.2874.57847.305151.171118.71-2.24656.167-37.84
Kaspositie aan het Einde van de Periode 1,047.211,135.291,003.7811,037.4711,108.493871.242630.1631,034.681665.1551,067.4681,275.547787.317989.1851,364.9121,090.331650.786225.712426.092223.297155.267400.554395.975348.67197.49978.78981.03522.61