New China Life Insurance Company Ltd.

SSE:601336.SS

61.14 (CNY) • At close July 17, 2025
Overview | Financials

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

20242023202220212020201920182017201620152014201320122011201020092008
Operating Activities:
Net Income 26,2298,7129,82614,95114,29714,5607,9235,3844,9438,6026,4074,4242,9342,8002,2502,661651
Depreciation & Amortization 1,7381,8881,7841,6171,5181,262636564466404359297226201181159146
Deferred Income Tax 00000000000000000
Stock Based Compensation 00000000000000000
Change In Working Capital 1,1711,0888,5312,1679,4488,2469,1253,4575,8862,7932,1247,741-2,013-1,102-975-1535,865
Accounts Receivables 3,0351,471-369-1,2824,232-1,137483502581,325-1,005155-1,1540000
Inventory 00000000000000000
Accounts Payables 00000000000000000
Other Working Capital -1,864-3838,9003,4495,2169,3839,0773,1075,6281,4683,1417,36800000
Other Non Cash Items 67,15279,86069,24455,11841,91618,034-3,916-1,540-3,965-4,35016,16243,74353,10554,14660,13838,13323,566
Operating Cash Flow 96,29091,54889,38573,85367,17942,10213,7687,8657,3307,44925,05256,20554,25256,04561,59440,80030,228
Investing Activities:
Investments In Property Plant And Equipment -1,100-2,090-1,789-3,258-3,035-5,042-7,806-3,994-1,932-2,475-2,278-1,995-1,339-1,567-421-534-688
Acquisitions Net 16907,7394,210-2,583-3,780-4,325-2,760-855-5,972-6,043-4,969-1,804-1,231-470-154-53
Purchases Of Investments -790,420-716,103-556,001-542,177-399,007-290,406-177,613-249,073-273,331-259,295-171,338-204,751-151,562-158,031-117,431-67,324-85,235
Sales Maturities Of Investments 652,555548,135469,121440,203335,991215,078187,973275,673254,949306,032141,408155,91873,26474,35446,81242,32742,144
Other Investing Activites -2,97513,409-9,540-5,509906-1,486-1,475-561-5,1451,519-293-1,32159581-212-4082,029
Investing Cash Flow -141,771-156,649-90,470-106,531-67,728-85,636-3,24619,285-26,31439,809-38,544-57,118-81,382-85,894-71,722-26,093-41,803
Financing Activities:
Debt Repayment 3,56010,000-13,123-58510,000-4,5460-10,000-5,01004,000010,0005,000-1,35000
Common Stock Issued 00000000000000000
Common Stock Repurchased 00000000000000000
Dividends Paid -4,699-4,227-5,065-4,336-4,399-2,402-1,793-2,140-1,814-1,598-1,202-745-9530-6-65-88
Other Financing Activities 63,16863,51321,02740,492-3,61253,352-8,650-20,22225,759-46,5016,616-4,78022,05318,67726,540-8,55413,042
Financing Cash Flow 62,02969,2862,83935,2411,97246,263-10,443-32,36218,935-48,0999,414-5,52531,10023,67724,921-8,61912,954
Other Information:
Effect Of Forex Changes On Cash 9617373-97-19531114-20637524211-581-101-33-1-53
Net Change In Cash 16,6444,2022,1272,4661,2282,760193-5,418326-599-4,067-6,4963,971-6,27314,7606,0871,326
Cash At End Of Period 38,43221,78817,58615,45912,99311,7659,0058,81214,23013,90414,50318,57025,06621,09527,36812,6086,521