COSCO SHIPPING Holdings Co., Ltd.

SSE:601919.SS

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Operationele Activiteiten:
Nettowinst 23,860.257131,338.362103,852.55113,187.49410,349.7553,026.3624,830.685-9,101.2321,791.5041,550.8212,879.422-8,137.441-8,838.8267,994.299-6,737.13111,925.86520,853.9752,340.6615,388.8954,265.6452,122.81
Afschrijvingen & Amortisatie 19,457.52620,259.60912,972.4612,305.24112,023.8714,200.1092,335.0022,710.1074,190.424,110.9473,967.6513,810.6233,528.3413,490.8313,420.6073,620.2194,142.2061,804.3021,940.7151,843.5741,499.7
Uitgestelde Inkomstenbelasting 09,836.4775,365.85-179.962136.136132.211-529.903-10.73446.44000000000000
Aandelen Gebaseerde Vergoedingen 00000000000-1.85000000000
Verandering in Werkkapitaal -23,469.01153,045.11651,310.33215,339.4443,726.783290.904642.2325,104.144661.795-1,586.647-2,515.244-1,600.78887.217671.696-1,166.8344,207.2662,727.212-1,419.674-961.475835.219-354.956
Vorderingen 4,147.4631,255.119-3,832.429246.799-12.737-4,657.532942.922-440.9584,473.5944,857.11118,791.554513.26000000000
Voorraden 453.053-1,610.263-2,174.534822.34744.274-1,772.378-771.971-24.613578.466721.197272.959748.524-1,326.882-187.596-310.371-93.092-631.378-67.175-167.819110.53837.923
Crediteuren -27,996.66443,563.78351,950.71614,450.2613,559.116,588.6021,001.1835,580.45-4,042.625000000000000
Overig Werkkapitaal -72.8629,836.4775,366.579-179.962136.1362,063.2811,414.2025,128.75883.329-2,307.844-2,788.203-2,349.3042,214.099859.292-856.4634,300.3583,358.59-1,352.499-793.657724.681-392.879
Overige Niet-Contante Posten 2,763.282-7,844.2822,813.0314,198.375-4,898.037613.401-715.882,806.51319.9621,826.196-6,669.955628.318-587.787-1,004.996-1,395.653,624.886-5,040.71-749.098-645.327-137.951-33.625
Kasstroom uit Operationele Activiteiten 22,612.055196,798.805170,948.37445,030.55521,202.3728,130.7767,092.0391,519.5326,663.6815,901.317-2,338.126-5,299.281-5,011.05611,151.83-5,879.00823,378.23622,682.6831,976.1925,722.8076,806.4883,233.929
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -15,320.668-10,491.47-9,549.916-6,668.775-11,082.749-19,887.519-11,145.984-5,451.657-7,227.467-6,957.966-10,606.6-11,390.807-8,496.783-8,466.321-11,182.325-17,768.701-12,769.167-4,768.436-5,721.745-3,442.601-1,944.229
Netto Overnames -2,840.549358.881-361.985855.20512,166.289-21,033.989-2,039.4599,534.864453.0270.11114,033.152470.7084.55120.204-199.531-79.793-12,727.957,284.987297.3951,233.69224.824
Aankoop van Beleggingen 0-26,303.919-1,443.091-1,245.027-1,616.387-1,241.782-3,361.7-1,675.533-3,325.506-7,826.03-11,757.061-522.154-259.577-3,885.103-360.435-11,072.928-4,003.868-1,766.365-3,811.318-137.772-620.479
Verkoop/verval van Beleggingen 258.8482,309.8282,403.332,666.8014,328.0662,379.6831,283.7521,517.7942,582.62511,603.9428,279.4182,191.5061,516.806960.8481,393.1675,408.5353,575.539859.3661,580.981881.4471,203.082
Overige Investeringsactiviteiten -448.3281,149.894408.5161,104.483602.272440.05930.3371,060.937568.0542,400.282884.5010.1891,721.135331.277-744.6862,677.2366,673.6582,318.3452,772.157-3,108.964-94.304
Kasstroom uit Investeringsactiviteiten -18,350.697-32,976.787-8,543.145-3,287.3134,397.49-39,343.548-15,233.0544,986.406-6,949.267-779.661833.41-9,250.558-5,513.867-11,039.095-11,093.811-20,835.651-19,251.7873,927.897-4,882.529-4,574.199-1,231.107
Financieringsactiviteiten:
Schuldaflossingen -51.579-34,615.452-20,436.823-20,789.233-11,289.5341,489.424,407.9252,779.017-4,449.033-10,231.2928,220.93116,146.94413,921.311,715.533,431.1567,501.843942.752-3,325.794-898.9722,348.834-3,125.917
Uitgifte van Gewone Aandelen 77.663181.652242.00650.3577,704.12899.251967.30957.871271.50925.5103.2641.204,131.142372.268130.57428,202.4595.469,146.733355.5812,487.81
Terugkoop van Gewone Aandelen -1,261.19300-50.35700000000000000000
Uitgekeerde Dividenden -30,867.888-46,013.481-2,072.231-3,381.008-4,570.064-3,266.539-1,978.175-2,399.361-2,804.998-2,755.983-3,132.905-2,382.465-2,630.017-1,326.269-4,359.017-14,921.598-5,139.981-4,210.432-3,559.927-1,351.579-957.319
Overige Financieringsactiviteiten -27,841.038-33,036.146-12,522.285-12,017.693-1,382.399-656.179-600.093-9,877.572-1,255.162-617.448-974.585151.885368.816-1,881.114-429.471-152.874-64.2181,746.319920.198-2,028.92223.094
Kasstroom uit Financieringsactiviteiten -60,021.698-115,377.634-35,130.483-36,238.291-9,537.86537,566.7022,796.966-9,497.917-8,237.683-13,579.2244,113.44113,917.56411,660.1092,815.01329,185.484-7,442.05523,946.044-5,784.4475,047.727-676.086-1,572.331
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1,259.7338,741.077-1,958.107-2,639.421865.074745.273-1,105.9981,283.407729.053-43.299-763.6276.343-855.682-474.86658.446-1,176.746-1,017.038-370.258-509.592-13.87744.163
Netto Kasstroomverandering -54,500.60757,185.461125,316.6392,865.5316,927.0717,099.203-6,450.046-1,708.571-7,014.99-8,500.8661,845.097-625.931279.5042,452.88212,271.111-6,076.21626,359.902-250.6155,378.4141,542.325474.653
Kaspositie aan het Einde van de Periode 181,113.316235,613.923177,946.96952,630.3349,764.832,837.72925,738.52632,188.57232,690.53439,705.52448,206.3946,336.79446,962.72546,550.9144,098.02831,582.43637,330.2427,825.7128,076.3272,791.393,491.352