Air China Limited

SSE:601111.SS

7.4 (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 -2,450.09-1,046.382-45,175.914-18,829.37-15,822.2177,252.0468,200.5378,637.447,763.5377,220.1484,249.9263,669.9325,434.4387,476.85512,208.0494,978.268-9,260.2883,881.3484,175.7831,916.2182,841.933139.9121,025.135
Afschrijvingen & Amortisatie 29,109.25724,935.07321,240.24220,939.71620,416.26221,289.65114,509.78513,602.78813,492.60813,037.52911,392.42310,986.81810,291.4129,435.7398,482.6776,866.7636,209.7675,661.3034,571.6034,150.0613,620.8063,215.3873,091.612
Uitgestelde Inkomstenbelasting 00-732.694-3,000.316-2,684.241-223.151-594.541-778.947252.023258.5140000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000
Verandering in Werkkapitaal 4,886.057-5,907.885-3,277.0525,598.206-10,899.9974,120.3995,108.8213,001.1351,770.2424,912.782-429.2732,449.557-4,612.5915,471.7882,722.727-192.861728.7261,564.672-470.47328.677368.2751,906.242717.518
Vorderingen -1,088.44-5,284.2372,894.224-796.8684,118.378286.093972.324-2,978.616-400.512,022.606-2,619.618-1,135.366-896.9430000000000
Voorraden -432.413-623.648-468.187-294.893212.825-199.63-350.357-326.424-22.183-56.754-57.30240.68322.944-260.364-39.039-109.844-58.296-50.973163.282-207.01714.97-10.929-23.451
Crediteuren 012,360.674-2,894.2249,690.283-12,546.9594,257.0875,081.3957,085.1221,940.9122,688.4160000000000000
Overig Werkkapitaal 6,406.91-12,360.674-2,808.865-3,000.316-2,684.241-223.1515,459.1783,327.5591,792.4254,969.536-371.9712,408.874-4,635.5355,732.1522,761.766-83.017787.0221,615.645-633.752535.694353.3051,917.171740.969
Overige Niet-Contante Posten 3,000.48317,437.66410,450.6675,179.227,714.1265,678.0873,599.7471,147.9387,697.9736,582.2482,309.775329.8091,305.561-744.793-3,746.511-4,756.99,374.64-1,758.8-878.346672.7381,359.7722,370.6852,262.644
Kasstroom uit Operationele Activiteiten 34,545.70735,418.47-16,762.05712,887.7721,408.17438,340.18331,418.8926,389.30130,724.3631,752.70717,522.85117,436.11612,418.8221,639.58919,666.9426,895.277,052.8459,348.5237,398.577,067.6948,190.7867,632.2267,096.91
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -20,104.315-22,769.344-7,637.994-6,074.638-12,038.135-13,108.682-12,307.679-17,643.304-20,635.453-7,625.078-13,830.796-22,408.916-15,296.915-22,519.932-17,323.773-7,757.66-7,525.884-8,457.654-6,156.084-12,361.035-6,824.751-3,742.624-2,892.124
Netto Overnames 05,392.113673.202213.252133.118766.211,996.0252,588.35228.984145.381,165.0921,061.43402,233.808284.617-2.815844.834-96.685439.561251.584113.467163.788291.056
Aankoop van Beleggingen -1,014.204-661.838-471.432-213.252-4,288.445-613.399693.475-81.374-2.545-422.652-0.4-10.4030950.178-287.368-6,528.029-582.066-3,035.894-7,097.988-150-970.398-4-7.014
Verkoop/verval van Beleggingen 1,689.526653.812323.4721,265.262137.471635.498624.064222.558627.535781.082422.692298.25494.3261,090.695532.3462.527471.342550.829578.758266.299180.52786.156249.607
Overige Investeringsactiviteiten 1,566.4414,719.376915.246356.593190.678353.74344.419261.011968.442333.1831,930.254421.56428.3131,348.2622,719.8541,643.91-1,546.687902.576538.01310.891873.935-812.546-243.43
Kasstroom uit Investeringsactiviteiten -17,862.552-12,665.881-6,870.708-4,452.783-15,865.313-11,966.63-8,949.696-14,652.757-19,013.037-6,788.085-10,313.158-20,638.071-14,774.276-16,896.989-14,074.33-12,582.067-8,338.461-10,136.828-11,697.742-11,682.26-6,627.221-4,309.226-2,601.906
Financieringsactiviteiten:
Schuldaflossingen 7,333.718-1,309.42642,239.0857,005.01117,627.296-3,455.061-16,774.303-18,755.994-7,193.51-22,585.229-7,175.27912,795.5513,147.046-25,560.5394,936.3666,949.4347,174.1854,704.778743.635259.59-136.772-3,216.5381,518.384
Uitgifte van Gewone Aandelen 000000011,201.374000000000000000
Terugkoop van Gewone Aandelen 00000000000000000000000
Uitgekeerde Dividenden -6,561.686-7,513.966-6,579.396-5,757.299-6,070.239-6,240.963-4,405.639-5,116.826-4,758.195-3,864.594-4,051.773-3,604.366-4,252.165-3,551.99-1,599.704-1,385.554-2,890.727-2,428.361-2,128.901-1,839.697-1,842.977-2,177.409-2,492.673
Overige Financieringsactiviteiten -11,329.91-7,023.912-17,562.527463.599-94.505-14,555.225-202.95711,018.916-187.806-112.022-3,507.023-2,748.264-1.51923,602.5134,336.801-137.02-3,546.693-4,369.5437,011.747-1,092.5717,461.486906.144-3,910.918
Kasstroom uit Financieringsactiviteiten -10,557.878-15,847.30418,097.1621,711.31111,462.552-24,251.249-21,382.899-12,853.904-12,139.511-26,561.845-12,318.0696,442.921-1,105.119-3,481.8556,073.7595,426.86736.765-267.5325,681.924-2,672.6795,481.737-4,487.803-4,885.208
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -102.60983.63208.601-49.585-102.69749.795113.981-167.751138.10895.6346.533-267.079-57.891-158.927-98.601-16.574-206.345-46.975-43.988-87.072141.265158.9213.504
Netto Kasstroomverandering 6,022.6684,409.093-5,327.00210,096.715-3,097.2842,172.0991,200.276-1,285.111-290.08-1,501.589-5,101.8432,973.887-3,518.4661,101.81811,567.77-276.511-755.196-1,102.8121,338.764-7,374.3177,186.567-1,005.88258.296
Kaspositie aan het Einde van de Periode 21,039.47215,016.80410,607.71115,934.7135,837.9988,935.2826,763.1835,562.9076,848.0187,138.0989,659.98714,761.8311,787.94315,306.40914,204.5912,636.8212,913.3323,668.5283,121.0452,396.7129,771.0293,860.834,035.34