Shenzhen Sea Star Technology Co., Ltd.

SZSE:002137.SZ

6.33 (CNY) • At close October 26, 2023
Overview | Financials

Numbers are in millions (except for per share data and ratios) CNY.

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Operating Activities:
Net Income 13.24611.129-24.08311.2945.95917.289-5.14230.063103.617.356-141.17516.76216.05213.031-21.396.18221.91921.4-49.00223.10358.57354.379-443.93910.68934.32632.26912.40625.38719.33116.3739.54710.064111.90918.46815.3841.0291.936-0.1776.0665.6473.351-0.788-115.859-55.129-18.3151.7278.4692.08710.95910.6552.644.15914.75514.7961.0196.9910.5347.697-4.2167.897-0.7873.216-5.84817.20312.05710.35921.04617.2515.346.17619.26912.3765.8019.419
Depreciation & Amortization 7.2437.2434.976-7.3854.4784.4784.8834.8833.9273.9275.3575.3574.9862.56512.127-5.7035.703015.117-6.5086.508014.308-6.9316.931012.627-5.25.2013.959-8.0378.037018.267-11.01111.011020.249-10.93510.935034.579-14.15714.157034.304-17.043000000000000000000003.274.364002.2052.19
Deferred Income Tax 0000001.7320000000000000000000000000000000000000000000000000000000000000000000
Stock Based Compensation 0000000.210000-0.21000.8980000.6880000000000000000000000000000000000000000000000000000000
Change In Working Capital -8.249018.66812.19-12.190-11.547-98.75998.7590-95.17281.864-81.864010.07350.994-50.9940-20.264-38.93338.9330-126.933160.528-160.5280-32.782-2.9132.9130-25.355-2.8972.897071.588-82.89682.8960-8.869-13.58113.581090.696-10.50910.5090223.116-47.51600000000000000000000-44.105-37.42500-16.007-9.905
Accounts Receivables -24.81908.48827.971-27.97102.201-76.82276.8220-41.46547.217-47.217037.35331.864-31.8640-11.547-43.01943.0190-99.816117.943-117.9430-23.916-10.24810.2480-15.177-2.0232.023072.589-87.41487.4140-41.622-4.7214.721063.702-17.04117.0410191.074-25.16200000000000000000000000000
Change In Inventory 15.84504.819-15.78115.7810-13.748-21.93721.9370-54.12732.11-32.110-28.17816.964-16.9640-8.7172.977-2.9770-27.11644.02-44.020-8.8667.595-7.5950-10.1781.765-1.7650-1.0024.518-4.518032.753-8.8428.842026.9936.533-6.533032.042-22.35400000000000000000000-38.574-23.58900-18.5357.32
Change In Accounts Payables 0000.517-0.51700-1.0271.02700000000000000000000000000000000000000000000000000000000000000000
Other Working Capital 0.72505.361-0.5170.51700.211.027-1.02700.422.538-2.53800.8982.167-2.167001.109-1.10900-1.4361.43600-0.260.2600-2.6392.639000000-0.0190.019000000000000000000000000000-5.53-13.836002.528-17.225
Other Non Cash Items 1.22925.10231.95917.2331.089-4.4785.14293.876-102.686-17.76221.53-16.762-16.052-13.03121.39-6.182-21.919-21.449.002-23.103-58.573-54.379443.939-10.689-34.326-32.269-12.406-25.387-19.331-16.373-9.547-10.064-111.909-18.468-15.384-1.029-1.9360.177-6.066-5.647-3.3510.788115.85955.12918.315-1.727-8.469-2.087-10.959-10.655-2.64-4.159-14.755-14.796-1.019-6.99-10.534-7.6974.216-7.8970.787-3.2165.848-17.203-12.057-10.359-21.046-17.256.9381.648-19.269-12.376-0.7610.185
Operating Cash Flow 7.23236.2312.90133.333-0.66517.289-5.14230.063103.6-0.40469.656-23.729-4.8085.47965.25640.911-33.26437.9852.64429.985-6.86715.931-22.63789.541-52.994-11.91969.00221.606-27.8442.54318.11622.28-4.279-1.282-19.525-3.47357.30419.64-23.235-0.78329.481-11.167-51.04125.96824.738-24.80175.59622.0535.67924.303-32.86691.04412.016121.302-104.175-11.355-5.40755.181-27.012-19.442-561.39759.65-63.93465.804-16.94148.742-43.949-71.291-18.557-25.23667.04-45.655-8.7621.889
Investing Activities:
Investments In Property Plant And Equipment -7.428-15.755-18.719-35.486-28.839-21.389-36.162-13.374-22.655-6.369-9.29-3.143-2.518-3.67-2.383-2.182-2.529-1.814-1.343-4.457-1.489-0.521-3.847-0.921-1.573-3.743-1.544-4.565-1.576-0.217-3.759-1.909-1.681-4.22-14.75-16.013-6.986-8.503-1.916-1.77-0.149-5.385-20.018-7.18-2.534-4.807-3.567-5.073-34.724-9.544-45.031-3.709-6.364-6.22-1.857-13.958-4.542-5.125-8.76-12.839-10.966-10.511-16.203-16.197-23.404-4.909-19.21-28.564-24.987-48.503-13.848-34.061-2.281-4.286
Acquisitions Net 0.0130.2410.8560.0030.020.15400.739-004.9260.8592.533.72-82.677-00.045-0-26.1060.017000.0120.0020.6176.740.2250003.827185.518.3564.959-186.9160000.01800000000000000000000000000000000000
Purchases Of Investments -328.186-357.833-336.633-403.994-424.2-624.927-728.6-929.519-920.2-468.25-1,074.501-575.99-567-672.3-718.845-1,012.444-1,847.987-14-4,694.518-83.95900-15.75-66-37.25-100000-3.393-90.075-76.474-00-1-21.4-2-0.800000000000017.4780000000000-3.5920000000000-0.52
Sales Maturities Of Investments 261.658414.241334.157424.507454.333584.036760.111932.38867.1481.706992.417547.773567.941640.064755.4051,002.0671,881.1772.774,777.5622.8519.9685.5546.5375.14511.48470.7415.9466.0715.6873.194.0664.5294.7674.944.1550004.0720.028-0.260.3500000000000000009.379000000000000000
Other Investing Activites 0.050.0820.052.2250.0722.27319.3862.2378.0891.37454.369-0.477-4.489-3.67-0.3360.625-1.3021.719-51.71753.938-1.824-10.2290.62112.5426.336-151.764.59520.127-28.98-33.9371.839-59.26750.754-507.198-225.651-10.1212.1870.00942.306-23174.702-100-101.149-0.398-2.534-4.8073.567-5.073-34.724-9.5445.876-3.251-17.056-6.22-1.857-13.958-4.542-5.1259.823-12.83925.8360.511-35.1070-14.888-4.90919.21-28.564-24.9870.36-10.94115.835.081-4.286
Investing Cash Flow -73.89340.975-20.489-12.7451.387-59.85314.735-7.5442.3348.462-32.08-30.978-3.536-35.856-48.837-11.93429.403-11.3253.878-31.616.655-5.197-12.428-49.233-0.386-88.0218.99621.633-24.87-30.95772.57938.779-4.278-501.518-236.246-27.134-26.199-10.49443.68-24.742174.294-105.036-121.167-7.578-2.534-4.8073.567-5.073-34.724-9.544-39.15510.518-23.42-6.22-1.857-13.958-4.542-5.12510.443-12.83914.87-9.999-54.902-16.197-38.293-4.90919.21-28.564-24.987-48.143-24.789-18.2312.8-4.806
Financing Activities:
Debt Repayment -0.738-0.143-1.781-1.121-1.572-1.686-2.86-0.28100-0.004-6.466-6.462-6.46200000000-40000000000-53-0.020-0.02-6.119-7.393-37.487-57.261-100.348-27.829-52.458-39.542-62.825-185.254-186.244-170.769-89.603-266.823-74.412-126.475-114.715-12.963-184.07-71.688-23.964-18.07-4.95-294.766-249.925-236.217-32.757-57.501-98.381-34.169-99.258-172.205-72.985-65.23-29.555-9.62-6
Common Stock Issued 00000000000000000000000000000000000000000000000000000000000000000000000000
Common Stock Repurchased 00000000000000-3.740-1.50000000000000-17.204000-1.10000000-0.40000000000000000000000000000000
Dividends Paid -0.046-0.056-0.059-0.074-0.049-0.013-0.016-0.08800-0.199-0.05-0.4860-3.542-0.081-2.906-0.848-1.8250-3.1560-0.025-0.087-0.301-0.085-0.06-0.01400-2.352-0.81-0.769-1.088-0.37800-0.059-0.954-0.202-1.033-0.301-2.73-0.604-6.358-0.235-2.751-1.376-27.009-0.792-8.814-0.351-1.103-0.0210-26.091-0.189-0.033-2.26-7.559-20.159-4.867-22.624-6.362-46.865-1.6-1.054-3.019-2.893-1.569-1.325-0.403-0.023-0.185
Other Financing Activities -1.11312.814-2.742-19.126.0090.963-6.752-6.3069.44815.005-30.70424.827-9.5813.37130.808-30.301-9.014-8.9260.83911.989-15.32312.6891.569-15.704-3.238-9.58160.063-7.73313.151-14.898-86.9380-12.135582.961131.9881.8340.866-6.11913.93523.091-26.77499.485181.559179.8240.49954.412187.727164.082185.53585.17330.762-6.71799.67584.59554.803164.8583.77237.53637.855-5.968577.60320.34598.78312.724-165.776380.80793.822113.494469.04596.09847.13895.684200
Financing Cash Flow -3.25311.157-1.02-20.3154.388-0.737-9.629-6.6759.44815.005-30.90624.777-9.5813.37127.266-30.382-11.92-9.7740.83911.989-15.32312.689-2.457-15.79-3.539-9.66660.003-7.73313.151-14.898-89.29-0.81-12.904528.873131.591.8340.846-6.1785.588-14.598-85.068-1.165151126.762-45.401-8.647-0.278-23.538-12.244-5.22555.124-81.479-27.903-30.14241.84-45.31111.89513.53917.524-18.477262.678-234.447-160.058-26.395-270.142280.82558.611.217293.94821.545-19.41765.72610.357-6.185
Other Information:
Effect Of Forex Changes On Cash 1.5780.176-0.1350.965-0.226-1.47-0.8481.3584.37-0.134-0.8450.122-0.8250.464-3.438-2.496-0.139-0.085-0.3861.4631.134-1.6250.0732.6813.889-4.566-1.974-1.422-1.433-0.261.2220.150.611-0.2010.5280.7610.1690.1040.032-0.010.0760.105-0.195-0.154-0.664-0.493-0.6080.5450.375-0.032-0.042-0.077-0.233-0.147-4.831-0.56-0.023-0.0350.626-0.003-3.2750.04416.685-15.5551.256-5.956-0.041-0.424-0.378-0.023-0.423-0.042-0.046-0.138
Net Change In Cash -66.56267.122-20.3941.2374.884-57.55261.153-34.731-20.5922.9295.824-29.808-18.749-16.54240.246-3.901-15.9216.86.97411.827-14.40221.799-37.44827.198-53.03-114.172136.02834.084-40.991-3.5712.62860.4-20.84925.873-123.653-28.01232.1213.07326.065-40.133118.782-117.262-21.403144.999-23.861-38.74878.278-6.013-40.9139.502-16.93720.006-39.53984.794-69.023-71.1841.92363.561.58-50.761-287.124-184.752-262.2087.657-324.119418.70333.821-89.062250.026-51.85722.4111.7984.349-9.239
Cash At End Of Period 72.2697.33430.21250.60649.36944.485102.03740.88475.61596.20573.27667.45297.26116.008132.55192.30496.205112.12695.26488.2976.46290.86468.994106.44379.245132.274246.447110.41976.335117.326120.897118.2757.8778.71952.846176.499204.511172.389169.316143.251183.38464.602171.864193.26748.26872.13110.87832.638.61279.52670.02486.96166.955106.49521.70190.724161.908159.98596.42594.845145.607432.7359.742321.951314.294638.413215.39181.569250.026-51.85772.46350.0524.349-9.239