Nanjing Panda Electronics Company Limited

SSE:600775.SS

9.85 (CNY) • At close May 15, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -141.433-237.86281.37780.133117.781113.686212.534156.171169.01189.119196.426188.375136.023116.0957.53519.02438.80396.27995.45991.84152.977137.951111.418176.864134.98536.941-495.328
Afschrijvingen & Amortisatie 100.104109.013111.324109.526108.80293.21583.00991.99192.94778.31862.8155.76555.51853.26643.48245.17742.79340.46337.4840.3432.33647.7640.5341.76565.60269.59760.732
Uitgestelde Inkomstenbelasting 001.853-0.659-0.606-2.756-3.424-0.508-2.0720.03100000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000
Verandering in Werkkapitaal -204.24-171.5116.90353.719348.167-548.165-204.706-23.718-115.62415.112-104.749-269.257-150.258-212.967-202.732282.509-113.402-46.641266.858162.71-503.571-199.398-277.44-36.848-246.629425.775204.559
Vorderingen -248.791-57.604-178.459237.489349.757-407.078-213.703-244.088-329.192-272.213-128.373-85.34-385.77800000000000000
Voorraden 54.60636.468376.18-195.72829.19220.637-276.236-140.197-12.43565.812-102.4-112.866-11.904-50.088-69.872175.662-77.481-59.573-44.655-45.209-51.522-145.003-124.3454.657-16.681272.078107.569
Crediteuren 0-150.376-192.67112.618-30.176-158.968288.657361.076228.074221.48300000000000000000
Overig Werkkapitaal -10.05501.853-0.659-0.606-2.75671.53116.48-103.189-50.7-2.349-156.392-138.354-162.879-132.86106.846-35.92112.932311.513207.918-452.049-54.395-153.1-91.505-229.948153.69796.99
Overige Niet-Contante Posten -19.706234.509-49.284-35.208-40.0970.03-45.273-66.895-93.186-173.554-110.453-61.428-123.494-146.305-11.638-99.212-109.161-122.181-150.548-112.63922.72835.649-70.352-232.817-127.52-265.46679.647
Kasstroom uit Operationele Activiteiten -265.275-65.851150.321208.171534.654-341.23445.563157.5553.147108.99544.034-86.546-82.211-189.912-163.351247.498-140.968-32.081249.249182.251-395.52921.962-195.845-51.036-173.562266.846-150.389
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -37.814-13.822-20.453-50.126-71.016-197.082-91.89-92.32-103.988-192.658-180.334-178.644-132.854-42.251-111.524-88.31-74.385-94.292-125.093-24.958-36.467-48.645-17.817-7.703-3.713-20.466-40.33
Netto Overnames 002.3110.5380.315.4660.6011.2281.134-10.6730001.4022.586-125.55300128.011001.12917.37856.3780.38321.36846.651
Aankoop van Beleggingen 00-1,260-426.30.5993.597-1,460-2,248-0.311.763000-6.668-175.545142.06900-14.12400-539.255-246.926-287.131-191.797-35.419-0.18
Verkoop/verval van Beleggingen 1,521.69876.79374.35185.17957.29184.55982.358119.92193.201260.74563.961224.537285.115165.883208.275306.147293.732185.34233.582254.679264.968469.033697.728335.209112.54720.0736.282
Overige Investeringsactiviteiten -1,380.97-182.2951,240-90-2006090.601-200.772208.07793-473.47115.1691.636175-0.425-88.313.9870.591-125.0930.862-564.68224.31630.6-7.7036.638-20.466-40.33
Kasstroom uit Investeringsactiviteiten 102.913-119.32436.209-480.709-212.817-43.46181.069-173.172298.124162.177-589.84461.062153.896293.366-76.633146.043223.33491.6497.282230.583-336.181-93.421480.96289.051-75.942-34.9142.093
Financieringsactiviteiten:
Schuldaflossingen 0000-50-4550540-30-69-261-2.53-119.81298-248.813-82.827-184.12541-138.5391.55252.658283.23-36.787235.471-21.791209.815
Uitgifte van Gewone Aandelen 000000000000000000000003.20302.40
Terugkoop van Gewone Aandelen 000000000000000000000000000
Uitgekeerde Dividenden 0-12.794-12.794-23.76-15.992-73.107-67.231-66.06-62.598-64.265-69.002-68.527-63.663-25.429-23.639-38.463-106.545-56.052-57.588-57.596-53.768-77.359-52.777-42.756-39.372-100.173-98.174
Overige Financieringsactiviteiten 30.27439.484-70.781-4.95538.2377.535-5.085127.661-41.514-35.594-90.0951,258.99530.153-6.35-4.31734.51555.183-45.643-25.432-1.533-147.468-424.41436.833.821-26.4130-5.857
Kasstroom uit Financieringsactiviteiten 30.27426.691-83.575-28.715-27.762-43.865-22.31766.601-63.655-129.858-228.097956.508-36.04-151.59170.044-249.62-112.209-285.82-42.02-197.65945.341-249.115267.253-42.519169.685-119.564105.784
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.192.363.3560.434-8.163-0.413-3.798-1.0650.2630.134-8.895-0.085-1.389-0.450-0.012-0.585-0.2350.2980.158-0.0030000-00
Netto Kasstroomverandering -131.898-156.125106.311-300.819285.911-428.973100.51749.913287.879141.448-782.802930.93934.257-48.586-169.941143.909-30.427-226.496304.637245.331-686.372-320.574552.37-4.505-79.819112.368-42.513
Kaspositie aan het Einde van de Periode 666.522798.42954.544848.2341,149.053863.1411,292.1141,191.5971,141.684853.805712.3571,308.98378.04343.783390.413560.354350.395380.822652.094347.457102.126340.118660.692165.0787.405531.68884.954