BYD Co Ltd Cash Flow Statement - BYD Co Ltd - Alpha Spread

BYD Co Ltd
HKEX:1211

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BYD Co Ltd
HKEX:1211
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Price: 245 HKD 0.91% Market Closed
Market Cap: 726.9B HKD
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Cash Flow Statement

Cash Flow Statement
BYD Co Ltd

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Cash Flow Statement
Currency: CNY
Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024
Operating Cash Flow
Cash Taxes Paid
(1 436)
(1 237)
(1 182)
(1 565)
(1 765)
(1 811)
(1 687)
(1 888)
(1 939)
(2 432)
(3 293)
(3 475)
(3 147)
(2 704)
(2 258)
(1 935)
(2 066)
(1 270)
(1 330)
(1 563)
(1 726)
(2 520)
(524)
351
1 444
1 714
244
(737)
(1 743)
(1 675)
(2 950)
(3 346)
(2 652)
(5 630)
(10 909)
(13 514)
(15 918)
(18 288)
(14 363)
(14 684)
(20 634)
Change in Working Capital
(15 246)
(10 658)
(11 520)
(12 255)
(12 442)
(13 354)
(14 153)
(14 343)
(14 893)
(15 440)
(15 970)
(16 903)
(16 643)
(16 731)
(17 621)
(18 021)
(18 884)
(19 021)
(17 382)
(16 660)
(17 605)
(17 855)
(20 969)
(20 762)
(21 171)
(24 337)
(24 258)
(25 390)
(26 976)
(27 958)
(29 851)
(34 788)
(39 362)
(43 214)
(40 620)
(46 643)
(56 718)
(70 762)
(75 184)
(82 980)
(90 027)
Cash from Operating Activities
(409)
N/A
(838)
-105%
38
N/A
5 091
+13 274%
3 604
-29%
96
-97%
3 842
+3 917%
(1 348)
N/A
(608)
+55%
2 554
N/A
(1 846)
N/A
(3 011)
-63%
(3 887)
-29%
1 679
N/A
6 368
+279%
8 568
+35%
8 381
-2%
12 322
+47%
12 523
+2%
13 149
+5%
11 915
-9%
9 705
-19%
14 741
+52%
19 282
+31%
32 344
+68%
39 572
+22%
45 393
+15%
40 586
-11%
39 531
-3%
48 603
+23%
65 467
+35%
77 258
+18%
98 975
+28%
124 630
+26%
140 838
+13%
143 370
+2%
179 624
+25%
147 661
-18%
169 725
+15%
165 487
-2%
101 932
-38%
Investing Cash Flow
Capital Expenditures
(6 901)
(7 549)
(8 578)
(9 886)
(10 442)
(11 250)
(12 290)
(12 518)
(13 039)
(12 925)
(13 053)
(13 639)
(13 637)
(14 234)
(14 777)
(15 513)
(16 367)
(17 040)
(17 842)
(18 662)
(21 238)
(20 712)
(20 627)
(19 697)
(15 452)
(14 403)
(11 774)
(12 051)
(15 686)
(23 316)
(37 344)
(46 590)
(63 065)
(80 903)
(97 457)
(116 360)
(127 265)
(134 145)
(122 094)
(115 830)
(103 382)
Other Items
(252)
186
616
2 342
1 682
1 568
1 684
445
1 044
870
(389)
(791)
(869)
(1 505)
(1 188)
(2 206)
(912)
3 402
3 612
4 032
3 232
(1 223)
(254)
(19)
(311)
19
(2 670)
(2 701)
(4 765)
(3 399)
(8 060)
(6 612)
(12 228)
(25 869)
(23 139)
(14 337)
(9 059)
2 803
(3 570)
(14 406)
(19 619)
Cash from Investing Activities
(7 153)
N/A
(7 363)
-3%
(7 962)
-8%
(7 544)
+5%
(8 760)
-16%
(9 682)
-11%
(10 606)
-10%
(12 072)
-14%
(11 995)
+1%
(12 055)
-1%
(13 443)
-12%
(14 430)
-7%
(14 506)
-1%
(15 739)
-9%
(15 964)
-1%
(17 719)
-11%
(17 279)
+2%
(13 638)
+21%
(14 231)
-4%
(14 630)
-3%
(18 007)
-23%
(21 934)
-22%
(20 881)
+5%
(19 716)
+6%
(15 764)
+20%
(14 384)
+9%
(14 444)
0%
(14 752)
-2%
(20 451)
-39%
(26 715)
-31%
(45 404)
-70%
(53 203)
-17%
(75 293)
-42%
(106 772)
-42%
(120 596)
-13%
(130 697)
-8%
(136 325)
-4%
(131 342)
+4%
(125 664)
+4%
(130 236)
-4%
(123 001)
+6%
Financing Cash Flow
Net Issuance of Common Stock
3 342
3 342
3 442
0
0
1 800
3 200
3 796
3 796
2 096
14 473
0
0
0
0
0
0
2
11
11
11
10
2
0
2 282
2 800
2 800
27 862
25 582
25 562
37 314
12 529
12 529
12 225
508
0
0
35
98
0
196
Net Issuance of Debt
9 439
6 130
5 314
3 653
1 991
8 318
7 274
10 143
12 138
(2 400)
4 532
11 426
10 569
19 223
14 283
11 509
14 015
10 412
9 508
11 587
10 841
13 175
9 879
3 279
(12 197)
(20 076)
(24 490)
(28 718)
(27 746)
(17 556)
(17 006)
(20 820)
(9 331)
(18 025)
(16 413)
3 704
(6 983)
(479)
18 073
1 074
2 200
Cash Paid for Dividends
(1 335)
(1 728)
(1 790)
(1 862)
(1 847)
(1 728)
(1 763)
(1 824)
(1 954)
(2 066)
(3 209)
(3 265)
(3 376)
(4 111)
(3 201)
(3 408)
(3 483)
(3 937)
(4 120)
(4 344)
(4 510)
(4 177)
(3 997)
(4 271)
(4 469)
(3 955)
(3 408)
(3 285)
(2 787)
(2 716)
(2 433)
(2 289)
(1 977)
(1 802)
(1 553)
(1 419)
(1 670)
(4 505)
(3 974)
(3 965)
(3 455)
Other
143
137
304
(2 537)
110
16
39
178
32
14 414
474
480
381
(13 815)
86
(74)
61
(160)
(1 482)
(904)
(554)
(759)
726
393
775
(1 168)
(3 809)
(3 805)
(5 759)
(6 880)
(1 811)
(1 045)
(4 800)
(1 679)
(2 030)
(2 701)
1 986
1 715
(1 380)
(1 623)
(2 533)
Cash from Financing Activities
11 589
N/A
7 881
-32%
7 271
-8%
2 696
-63%
354
-87%
8 405
+2 271%
8 750
+4%
12 293
+40%
14 012
+14%
12 043
-14%
16 270
+35%
22 519
+38%
21 451
-5%
15 174
-29%
11 168
-26%
8 027
-28%
10 594
+32%
6 317
-40%
3 917
-38%
6 350
+62%
5 787
-9%
8 249
+43%
6 610
-20%
(597)
N/A
(13 610)
-2 180%
(22 398)
-65%
(28 907)
-29%
(7 946)
+73%
(10 709)
-35%
(1 590)
+85%
16 063
N/A
(11 626)
N/A
(3 579)
+69%
(9 281)
-159%
(19 489)
-110%
(185)
+99%
(6 436)
-3 375%
(3 234)
+50%
12 817
N/A
(4 416)
N/A
(3 592)
+19%
Change in Cash
Effect of Foreign Exchange Rates
32
43
31
37
(10)
38
205
168
223
191
97
98
71
45
6
(25)
14
81
6
38
3
(34)
53
52
20
(7)
23
18
61
41
(44)
(5)
82
390
610
475
1 029
555
451
452
(341)
Net Change in Cash
4 059
N/A
(278)
N/A
(621)
-124%
281
N/A
(4 811)
N/A
(1 144)
+76%
2 190
N/A
(960)
N/A
1 633
N/A
2 733
+67%
1 079
-61%
5 176
+380%
3 129
-40%
1 159
-63%
1 577
+36%
(1 149)
N/A
1 710
N/A
5 081
+197%
2 215
-56%
4 906
+121%
(301)
N/A
(4 014)
-1 235%
523
N/A
(979)
N/A
2 991
N/A
2 783
-7%
2 064
-26%
17 905
+767%
8 432
-53%
20 339
+141%
36 081
+77%
12 425
-66%
20 185
+62%
8 967
-56%
1 363
-85%
12 963
+851%
37 891
+192%
13 640
-64%
57 329
+320%
31 287
-45%
(25 002)
N/A
Free Cash Flow
Free Cash Flow
(7 310)
N/A
(8 387)
-15%
(8 540)
-2%
(4 795)
+44%
(6 838)
-43%
(11 154)
-63%
(8 448)
+24%
(13 866)
-64%
(13 647)
+2%
(10 371)
+24%
(14 899)
-44%
(16 650)
-12%
(17 524)
-5%
(12 555)
+28%
(8 409)
+33%
(6 945)
+17%
(7 986)
-15%
(4 718)
+41%
(5 319)
-13%
(5 513)
-4%
(9 323)
-69%
(11 007)
-18%
(5 886)
+47%
(416)
+93%
16 892
N/A
25 168
+49%
33 619
+34%
28 535
-15%
23 845
-16%
25 287
+6%
28 123
+11%
30 668
+9%
35 910
+17%
43 727
+22%
43 381
-1%
27 010
-38%
52 358
+94%
13 516
-74%
47 632
+252%
49 657
+4%
(1 450)
N/A

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