China Lilang Ltd
HKEX:1234

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China Lilang Ltd
HKEX:1234
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Price: 3.82 HKD -0.52% Market Closed
Market Cap: 4.6B HKD
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Cash Flow Statement

Cash Flow Statement
China Lilang Ltd

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Cash Flow Statement
Currency: CNY
Dec-2009 Jun-2010 Dec-2010 Jun-2011 Dec-2011 Jun-2012 Dec-2012 Jun-2013 Dec-2013 Jun-2014 Dec-2014 Jun-2015 Dec-2015 Jun-2016 Dec-2016 Jun-2017 Dec-2017 Jun-2018 Dec-2018 Jun-2019 Dec-2019 Jun-2020 Dec-2020 Jun-2021 Dec-2021 Jun-2022 Dec-2022 Jun-2023 Dec-2023 Jun-2024
Operating Cash Flow
Net Income
332
0
0
0
0
0
0
0
0
0
767
0
864
0
747
0
721
0
945
0
1 024
0
0
0
0
0
0
0
658
0
Depreciation & Amortization
12
0
0
0
0
0
0
0
0
0
34
0
28
0
25
0
26
0
29
0
40
0
87
0
224
0
229
0
224
0
Other Non-Cash Items
5
0
0
0
0
0
0
0
0
0
(93)
0
(70)
0
(57)
0
(53)
0
(66)
0
(43)
0
(29)
0
(17)
0
(37)
0
(48)
0
Cash Taxes Paid
22
0
49
0
92
0
0
0
0
63
153
108
157
228
228
153
191
161
156
185
207
165
155
141
100
0
85
0
82
146
Cash Interest Paid
7
0
0
0
0
0
0
0
0
0
15
0
29
44
21
9
6
6
6
4
4
4
5
9
10
14
15
18
13
8
Change in Working Capital
38
275
518
468
234
385
558
559
655
511
(140)
610
(152)
544
(269)
495
(208)
528
(463)
421
(412)
555
20
779
(170)
722
(85)
1 006
267
722
Cash from Operating Activities
387
N/A
511
+32%
518
+1%
468
-10%
234
-50%
385
+65%
558
+45%
559
+0%
655
+17%
511
-22%
568
+11%
610
+7%
669
+10%
544
-19%
446
-18%
495
+11%
486
-2%
528
+9%
446
-16%
421
-6%
609
+45%
555
-9%
773
+39%
779
+1%
599
-23%
722
+21%
654
-9%
1 006
+54%
1 101
+9%
722
-34%
Investing Cash Flow
Capital Expenditures
(25)
0
0
0
0
0
0
0
0
(11)
(19)
(19)
(34)
(111)
(136)
(110)
(225)
(285)
(192)
(122)
(98)
(135)
(228)
(307)
(305)
(366)
(380)
(203)
(134)
(129)
Other Items
(307)
(331)
(311)
(67)
462
(332)
(571)
(58)
(169)
(274)
(57)
216
(40)
494
102
(518)
933
749
261
432
13
27
38
24
25
(262)
(795)
(1 514)
(1 078)
(162)
Cash from Investing Activities
(332)
N/A
(344)
-4%
(311)
+10%
(67)
+78%
462
N/A
(332)
N/A
(571)
-72%
(58)
+90%
(169)
-192%
(284)
-68%
(76)
+73%
197
N/A
(74)
N/A
384
N/A
(34)
N/A
(628)
-1 736%
708
N/A
464
-34%
68
-85%
309
+352%
(85)
N/A
(107)
-26%
(191)
-78%
(284)
-49%
(280)
+1%
(628)
-124%
(1 175)
-87%
(1 717)
-46%
(1 212)
+29%
(291)
+76%
Financing Cash Flow
Net Issuance of Common Stock
953
0
0
0
0
0
0
0
0
0
7
0
13
0
0
0
(60)
(58)
3
1
0
0
0
0
0
0
0
0
0
0
Net Issuance of Debt
(139)
0
0
0
0
0
0
0
0
216
292
126
149
(444)
(510)
34
(494)
(494)
0
237
(2)
32
(64)
(414)
(27)
592
266
309
589
(56)
Cash Paid for Dividends
(53)
0
0
0
0
0
0
0
0
(203)
(366)
(386)
(413)
(435)
(431)
(420)
(420)
(440)
(495)
(570)
(612)
(625)
(521)
(447)
(446)
(342)
(341)
(326)
(349)
(397)
Other
(25)
(146)
(192)
(203)
(300)
(97)
15
(298)
(293)
(44)
(15)
(13)
(29)
(38)
(21)
(11)
(6)
(6)
(6)
(4)
(4)
(4)
(5)
(9)
(10)
(14)
(15)
(18)
(13)
(8)
Cash from Financing Activities
736
N/A
657
-11%
(192)
N/A
(203)
-6%
(300)
-48%
(97)
+68%
15
N/A
(298)
N/A
(293)
+2%
(31)
+89%
(83)
-165%
(266)
-221%
(280)
-5%
(905)
-223%
(962)
-6%
(398)
+59%
(980)
-146%
(997)
-2%
(497)
+50%
(336)
+32%
(617)
-84%
(596)
+3%
(590)
+1%
(870)
-47%
(483)
+45%
236
N/A
(90)
N/A
(35)
+61%
228
N/A
(461)
N/A
Change in Cash
Effect of Foreign Exchange Rates
0
(3)
(11)
(9)
(2)
(1)
(0)
(1)
(0)
0
0
0
2
2
3
(1)
(4)
(1)
3
2
1
1
(4)
(5)
(3)
(3)
0
1
0
0
Net Change in Cash
791
N/A
821
+4%
3
-100%
190
+5 476%
394
+108%
(45)
N/A
2
N/A
202
+10 537%
193
-5%
195
+1%
409
+110%
541
+32%
317
-41%
25
-92%
(548)
N/A
(531)
+3%
210
N/A
(6)
N/A
20
N/A
396
+1 924%
(92)
N/A
(147)
-60%
(12)
+92%
(380)
-3 153%
(167)
+56%
327
N/A
(612)
N/A
(745)
-22%
117
N/A
(30)
N/A
Free Cash Flow
Free Cash Flow
362
N/A
511
+41%
518
+1%
468
-10%
234
-50%
385
+65%
558
+45%
559
+0%
655
+17%
500
-24%
549
+10%
591
+8%
635
+7%
433
-32%
310
-28%
386
+24%
261
-32%
243
-7%
254
+4%
298
+18%
511
+71%
420
-18%
545
+30%
472
-13%
294
-38%
355
+21%
273
-23%
803
+194%
967
+20%
593
-39%

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