Dongfang Electric Corporation Limited

SSE:600875.SS

15.29 (CNY) • At close April 18, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 3,550.3943,010.3572,429.2241,916.2641,380.8721,158.266683.07-1,759.438459.4981,320.6172,399.4032,253.7213,118.2182,676.0141,595.897210.6242,176.373830.543528.346264.88833.11819.882-261.5962.2346.21241.101
Afschrijvingen & Amortisatie 866.573885.465896.95968.1521,028.45597.077993.0221,087.0121,140.9271,209.0951,274.2271,299.7951,228.625934.449681.939436.216455.742106.61398.11122.27454.42745.07546.88545.63447.38743.444
Uitgestelde Inkomstenbelasting 06.874-152.865-85.25316.015-310.972-712.459-325.245-204.0800000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal -7,858.8764,852.626-7,726.078-6,081.22-2,832.99-2,887.946-1,915.0878,574.5951,357.288-340.586-1,510.798-4,768.786-6,766.189-2,662.3773,189.1773,855.58-3,254.807-1,217.605308.5142,026.23990.967-50.037126.423108.143-270.197-46.586
Vorderingen -7,894.488-2,439.417-2,698.029-3,143.0982,641.0792,349.8354,847.0212,531.364-741.535-2,819.245-2,274.047-2,198.44400000000000000
Voorraden 660.883607.173-3,452.579-2,467.831448.9433,655.2641,047.5786,459.9591,806.921-2,803.0574,473.2423,955.02-1,515.591-6,174.081-6,912.214-8,912.399-3,415.747-947.01-900.789-344.671-118.6-136.589-146.47142.32641.362-2.421
Crediteuren -661.1086,677.995-1,422.606-385.038-5,939.027-8,582.073-6,423.872-91.483495.98300000000000000000
Overig Werkkapitaal 35.8366.874-152.865-85.25316.015-6,543.21-2,962.6652,114.636-449.6332,462.471-5,984.04-8,723.806-5,250.5983,511.70410,101.39112,767.979160.94-270.5951,209.3042,370.91,109.56786.552272.89465.817-311.559-44.165
Overige Niet-Contante Posten 58.666-338.331-20.984448.003625.9081,080.824689.2341,062.9221,198.155643.505840.7851,036.7461,280.8331,004.0981,077.5012,500.259160.803-2.50361.894101.74612.8026.28734.17619.028228.01972.034
Kasstroom uit Operationele Activiteiten -3,383.2438,410.116-4,420.889-2,748.802202.245-551.78450.2398,965.094,155.8682,832.633,003.617-178.524-1,138.5131,952.1856,544.5157,002.678-461.889-282.951996.8652,515.1371,091.31521.208-54.112175.03911.421109.993
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,110.103-748.211-717.614-541.171-642.237-184.988-205.909-273.826-385.281-667.494-774.396-1,194.535-1,861.91-2,584.359-3,685.368-1,988.312-692.651-202.465-178.614-165.92-168.079-69.164-20.898-37.924-39.96-42.423
Netto Overnames 0437.308282.531547.83410.152-0-0.517281.356417.49669.055780.8111,220.6791,885.5455.5418.0171.049698.425197.0442.4152.0440020.8990.03300
Aankoop van Beleggingen -25,219.966-27,904.078-15,514.643-2,875.678-876.648-3,307.134-0.747-200.717-113.972-67-33-404-93.397-452.4-155.7873.912-1,175.819-17-153.445-48.78900-149.805-100-100
Verkoop/verval van Beleggingen 32,260.61915,448.56812,997.1792,729.9072,965.5843,050.482130.99924.008209.456536.92967.242326.358129.8998.23210.9387.6730.328.593148.29548.850.08242.662114.305109.9670.1252.965
Overige Investeringsactiviteiten 124.443-419.825-100.322-541.171-86.61816.55331.929-273.826-385.281-667.494-774.396-1,194.535-1,861.915.5258.410.666-692.651-202.465-1,453.337-257.36342.29798.975-20.8987.9880.092167.433
Kasstroom uit Investeringsactiviteiten 6,054.992-13,186.239-3,052.87-680.2791,370.234-425.087-44.246-443.005-257.589-196.005-733.738-1,246.033-1,801.773-3,017.461-3,813.792-1,975.013-1,862.376-216.292-1,634.685-421.178-125.772.473-56.397-19.936-49.743127.975
Financieringsactiviteiten:
Schuldaflossingen 156.435459.946460.76390.464-57.554-327.504-591.927-1,160.56-394.2973,602.661,363.893430.331-87.701-229.332-3,799.00585392.528191.68-56.841-378.759-336.5-86.359264.9738-1358.905
Uitgifte van Gewone Aandelen 00000000000000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000000
Uitgekeerde Dividenden -1,089.66-718.249-561.533-639.352-339.988-42.098-34.023-201.025-330.355-494.749-349.201-473.733-401.034-288.549-482.434-336.391-176.82-221.847-55.836-4.945-24.776-40.001-33.281-24.734-50.722-92.828
Overige Financieringsactiviteiten 436.124140.367-277.482-205.354293.001-884.028-8.967-12.10118.466-23.973-18.03669.149-95.85261.814,207.2852,329.214-77.00937.8250-21.917-000.22.46200
Kasstroom uit Financieringsactiviteiten -497.101-117.013-378.255-454.242-104.541-1,253.631-818.426-1,373.686-706.1863,083.938996.65625.747-444.053-127.83308.9891,487.823225.519-231.847-112.677-385.026-361.276-126.359231.88915.727-63.722-33.923
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -18.596685.313-101.658-311.297104.805282.376-110.375179.34571.999-26.493-87.16143.582-1.9874.96-2.307-28.58-0.068-0.341-0.601-0.157-0.6160-0.1860-0.0010.273
Netto Kasstroomverandering 2,043.42-4,207.822-7,953.672-4,194.621,572.742-1,948.122-522.8077,327.7443,264.0925,694.073,179.373-1,355.227-3,386.327-1,188.1463,037.4056,486.909-2,098.813-731.432-751.0981,708.777603.723-32.679121.195170.831-102.045204.319
Kaspositie aan het Einde van de Periode 14,167.58512,116.25516,324.07824,277.7528,472.3726,899.62727,871.4728,394.27721,066.53317,802.44112,108.3718,928.99710,284.22513,670.55114,825.83911,314.294,827.3813,141.8081,916.232,667.328958.55354.827864.078742.883572.053674.098