Power Construction Corporation of China, Ltd

SSE:601669.SS

4.74 (CNY) • At close April 21, 2025
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst 17,185.4215,684.43813,457.77912,735.81410,601.4289,923.638,055.1677,586.1565,803.45,276.9885,200.384,361.1743,941.0733,225.8752,532.8811,269.5931,818.91
Afschrijvingen & Amortisatie 18,682.4815,942.22813,143.5249,415.1059,201.0348,338.8627,434.7596,822.4726,353.9394,746.1194,399.6984,294.3553,899.9523,239.6212,836.1352,352.2650
Uitgestelde Inkomstenbelasting 0-104.129-296.188-350.829-357.521-647.612-12.936-80.21489.08800000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal -30,329.337-1,392.916-20,345.594-5,853.623-23,284.721-8,682.731-17,313.4479,706.72-8,073.701-8,717.585-8,543.384-9,392.47-5,024.456-5,563.48-2,692.403378.2230
Vorderingen -77,208.976-68,054.324-28,310.64-20,691.357-30,336.865-7,794.38-16,290.672-5,142.499-16,329.441-6,451.597-7,201.072-2,257.62600000
Voorraden 18.1343,854.779-3,255.103-5,135.486-22,634.932-16,610.022-6,425.7-14,341.42-15,369.515-16,361.225-16,175.063-8,186.123-7,157.683-3,833.883-6,435.387-4,294.6840
Crediteuren 37,795.336,335.88210,080.3217,161.41330,062.80416,369.2845,427.69129,270.85323,536.16700000000
Overig Werkkapitaal 9,066.20526,470.7471,139.8292,811.808-375.7287,927.291-10,887.74624,048.147,295.8147,643.647,631.679-1,206.3472,133.226-1,729.5983,742.9844,672.9070
Overige Niet-Contante Posten 16,726.101598.0049,367.82526,666.04912,703.0829,603.6467,393.1734,821.8086,604.0525,446.7944,343.193,159.8652,987.7691,773.0711,836.3341,446.463-1,818.91
Kasstroom uit Operationele Activiteiten 22,264.66430,831.75315,623.53442,963.3469,220.82319,183.4075,569.65228,937.15510,687.6896,752.3165,399.8842,422.9235,804.3372,675.0874,512.9475,446.5453,081.61
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -73,667.762-57,750.521-42,447.547-71,199.734-78,353.941-58,119.829-73,138.582-57,479.382-41,365.351-30,834.14-19,043.498-15,247.66-13,846.06-9,983.114-11,255.649-8,274.383-5,178.647
Netto Overnames 5.2892,260.1623,974.6493,087.05141.592-1,439.055123.254-17.397-1,217.736-159.616-354.327135.5600.42349.7210.03527.50712.845
Aankoop van Beleggingen -20,868.525-10,864.585-15,722.684-10,322.083-5,063.064-4,909.169-4,897.867-1,596.066-430.26-1,206.624-500.166-969.205-294.75-18.529-211.313-352.356-130.435
Verkoop/verval van Beleggingen 10,083.2896,005.2951,331.4162,406.303766.573,267.689288.502399.4121,241.805103.291295.1032,172.123112.08131.119147.003141.75769.087
Overige Investeringsactiviteiten 3,521.63714,683.3716,437.43117,899.210,265.2145,169.14813,759.32824,844.16915,600.29611,782.6244,225.844-219.887-4.59822.15675.795159.687-0.22
Kasstroom uit Investeringsactiviteiten -80,926.073-45,666.278-46,426.736-58,129.264-72,243.629-56,031.215-63,865.365-33,849.265-26,171.245-20,314.465-15,377.045-14,129.13-13,432.904-9,898.646-11,244.13-8,297.788-5,227.37
Financieringsactiviteiten:
Schuldaflossingen 65,654.3555,085.78636,406.18629,420.616,839.25461,443.16324,605.98428,247.85126,470.89420,469.20717,989.3812,437.83116,456.09711,480.8698,221.0939,665.9523,253.092
Uitgifte van Gewone Aandelen 00000000000000000
Terugkoop van Gewone Aandelen 00000000000000000
Uitgekeerde Dividenden -19,353.063-1,508.091-1,627.291-602.206-1,481.559-15,608.162-12,472.179-10,519.421-12,513.938-8,240.823-6,382.599-5,058.452-3,337.408-2,682.796-2,207.222-1,999.015-1,069.743
Overige Financieringsactiviteiten 7,833.35-4,786.5574,280.23419,609.40641,594.24916,660.68226,359.8346,493.87713,270.813417.2731,081.598-1,128.95614,257.29594.582800.529521.395274.723
Kasstroom uit Financieringsactiviteiten 54,134.63731,275.97619,731.12630,363.59941,705.62262,495.68438,631.6424,222.30827,227.76921,229.12112,688.3795,724.13427,375.9789,562.8186,814.3998,188.3322,458.071
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 82.5891,171.47-609.449-1,708.395788.3351,095.89-198.3041,257.305661.36-10.234-390.455-97.602-295.839-309.57214.713-211.819-17.831
Netto Kasstroomverandering -4,444.18317,612.921-11,681.52513,489.286-20,528.84926,743.766-19,862.37620,567.50312,405.5737,656.7382,320.764-6,079.67419,451.5722,029.68697.934,088.908294.479
Kaspositie aan het Einde van de Periode 89,554.11793,997.70965,915.61377,597.13864,069.11484,597.96357,828.03977,690.41657,122.91236,629.59428,950.47926,422.21732,501.89113,050.31911,020.63310,922.4926,833.583