Leshan Giantstar Farming&Husbandry Corporation Limited

SSE:603477.SS

20.31 (CNY) • At close July 18, 2025
Overview | Financials

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

20242023202220212020201920182017201620152014
Operating Activities:
Net Income 525.433-645.875161.377266.638133.49839.66859.97562.51458.23140.12127.504
Depreciation & Amortization 480.575361.916292.196231.92187.68621.25715.01814.06812.47112.83612.013
Deferred Income Tax 00-11.2723.233-26.717-0.1170.027-0.412-0.502-1.3410
Stock Based Compensation 00000000000
Change In Working Capital -65.54-190.06-112-443.636123.968-15.604-86.243-13.485-105.13-9.44-232.859
Accounts Receivables -78.20957.64142.061-3.15834.25366.54-44.076-33.271-118.063-1.112-74.78
Inventory -583.007-166.748-113.383-500.094-41.997-87.498-102.926-31.437-33.36-17.802-235.808
Accounts Payables 0-81.734-29.40656.382158.435.47260.73251.63546.79510.8150
Other Working Capital 595.6760.782-11.2723.233-26.717-0.11716.68317.952-71.778.3622.949
Other Non Cash Items 324.623368.965140.829100.28628.0819.61614.71815.49115.56922.7186.826
Operating Cash Flow 1,265.092-105.054482.403155.208373.23454.9373.46778.587-18.85966.235-186.516
Investing Activities:
Investments In Property Plant And Equipment -1,042.015-1,003.921-1,116.666-1,173.981-611.316-48.66-47.022-33.543-57.75-48.865-62.839
Acquisitions Net 0-5.5990.012110.8892.886014.9370.1460.1730.0050
Purchases Of Investments -37.06800-60.304-9.6550001.11500
Sales Maturities Of Investments 200078.7282.798000000
Other Investing Activites 198.936114.407125.0929.193198.716-48.660.2370.146-0.9425.297-62.839
Investing Cash Flow -860.147-895.113-991.563-1,035.476-416.571-48.66-46.785-33.397-57.578-43.567-62.839
Financing Activities:
Debt Repayment 55.309615.531937.868556.087254.6390-83.1410.955-9.6791.208250.975
Common Stock Issued 0000-0.473004.362000
Common Stock Repurchased 00000000000
Dividends Paid -115.9-123.917-26.317-38.369-12-19.2-35.949-13.448-12.978-15.848-5.398
Other Financing Activities -268.98955.07446.633558.393-21.636-13.018-33.277349.727-3.41118.002-29.114
Financing Cash Flow -329.58546.687855.2921,009.871194.959-41.976-152.366362.982-26.068103.361216.463
Other Information:
Effect Of Forex Changes On Cash -0.66-0.1910.4670.182-0.2220.435-0.310.1551.227-0.122-0.705
Net Change In Cash 74.704-453.671346.6129.785151.4-35.265-195.994408.328-101.278125.906-33.596
Cash At End Of Period 476.239401.535855.206508.606378.821227.421262.685458.67950.351151.62925.723