China Overseas Land & Investment Ltd
HKEX:688

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China Overseas Land & Investment Ltd
HKEX:688
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Price: 12.36 HKD 0.16%
Market Cap: 135.3B HKD
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Cash Flow Statement

Cash Flow Statement
China Overseas Land & Investment Ltd

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Cash Flow Statement
Currency: CNY
Jun-2004 Dec-2004 Jun-2005 Dec-2005 Jun-2006 Dec-2006 Jun-2007 Dec-2007 Jun-2008 Dec-2008 Jun-2009 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
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
40 430
0
42 804
0
49 650
0
55 143
0
60 957
0
64 952
0
69 204
0
63 130
0
36 007
0
41 120
0
Depreciation & Amortization
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
115
0
283
0
310
0
181
0
183
0
236
0
371
0
408
0
667
0
405
0
Other Non-Cash Items
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(7 073)
0
(8 957)
0
(15 095)
0
(11 506)
0
(10 288)
0
(14 461)
0
(18 075)
0
(12 691)
0
(3 627)
0
(7 089)
0
Cash Taxes Paid
0
217
0
290
0
772
0
1 121
0
2 555
0
2 357
0
3 889
0
5 963
0
8 153
0
0
7 964
11 187
14 955
14 366
16 270
13 075
13 941
10 970
13 074
13 165
12 680
16 479
20 023
20 896
21 372
21 509
23 257
22 583
18 887
17 072
16 022
Cash Interest Paid
0
174
0
224
0
397
0
567
0
1 213
0
766
0
1 117
0
1 361
2 196
1 745
1 970
0
1 429
3 510
4 622
8 315
12 311
7 591
7 491
6 410
6 727
7 310
7 594
7 823
8 556
8 179
7 509
7 959
8 560
9 193
10 038
9 879
9 466
Change in Working Capital
2 326
(845)
(2 756)
(1 685)
138
(2 272)
(3 591)
(6 185)
(12 495)
(2 853)
13 790
8 860
(8 388)
(2 551)
(4 994)
(7 998)
3 588
7 050
6 758
(10 086)
(24 808)
(37 346)
13 502
1 492
70 092
17 774
13 293
(80 370)
(26 687)
(57 649)
(10 070)
(40 818)
23 909
(41 802)
7 066
(28 282)
(2 964)
(43 565)
44 288
843
5 028
Cash from Operating Activities
2 326
N/A
(845)
N/A
(2 756)
-226%
(1 685)
+39%
138
N/A
(2 272)
N/A
(3 591)
-58%
(6 185)
-72%
(12 495)
-102%
(2 853)
+77%
13 790
N/A
8 860
-36%
(8 388)
N/A
(2 551)
+70%
(4 994)
-96%
(7 998)
-60%
3 588
N/A
7 050
+96%
6 758
-4%
(10 086)
N/A
(24 808)
-146%
(3 875)
+84%
13 502
N/A
35 622
+164%
70 092
+97%
52 640
-25%
13 293
-75%
(36 552)
N/A
(26 687)
+27%
(6 797)
+75%
(10 070)
-48%
9 910
N/A
23 909
+141%
9 697
-59%
7 066
-27%
22 565
+219%
(2 964)
N/A
(10 518)
-255%
44 288
N/A
35 279
-20%
5 028
-86%
Investing Cash Flow
Capital Expenditures
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(482)
0
(98)
0
(214)
0
(778)
0
(55)
0
(115)
0
(125)
0
(313)
0
(226)
0
(649)
0
(205)
0
Other Items
(2 497)
(1 958)
(374)
695
543
(704)
(993)
(2 469)
(5 664)
(5 296)
(2 317)
(1 605)
(4 842)
(4 906)
(4 626)
(5 453)
(3 009)
1 506
3 222
(579)
(4 747)
(3 978)
(3 248)
(2 401)
3 558
13 920
7 864
(6 970)
(4 819)
(6 865)
(8 536)
(2 474)
(3 165)
(2 228)
(4 281)
(14 239)
(10 843)
(7 491)
(7 675)
(4 567)
(7 490)
Cash from Investing Activities
(2 497)
N/A
(1 958)
+22%
(374)
+81%
695
N/A
543
-22%
(704)
N/A
(993)
-41%
(2 469)
-149%
(5 664)
-129%
(5 296)
+6%
(2 317)
+56%
(1 605)
+31%
(4 842)
-202%
(4 906)
-1%
(4 626)
+6%
(5 453)
-18%
(3 009)
+45%
1 506
N/A
3 222
+114%
(1 061)
N/A
(5 229)
-393%
(4 076)
+22%
(3 248)
+20%
(2 615)
+20%
3 301
N/A
13 142
+298%
7 864
-40%
(7 025)
N/A
(4 819)
+31%
(6 980)
-45%
(8 536)
-22%
(2 599)
+70%
(3 165)
-22%
(2 540)
+20%
(4 281)
-69%
(14 465)
-238%
(10 843)
+25%
(8 140)
+25%
(7 675)
+6%
(4 771)
+38%
(7 695)
-61%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
0
0
2 482
1 272
(1 207)
4
1
0
0
0
0
0
0
0
42 800
35 665
0
0
0
0
0
0
0
0
0
(52)
0
(108)
0
1
0
0
0
Net Issuance of Debt
0
0
0
0
0
0
0
0
0
0
(992)
(964)
11 538
11 398
156
755
9 577
18 489
16 856
2 112
16 682
20 405
6 588
28 181
1 369
(13 062)
(64 756)
(3 925)
41 342
19 406
12 684
19 239
15 669
26 545
28 207
32 312
36 010
17 029
(24 723)
(15 693)
(2 944)
Cash Paid for Dividends
0
0
0
0
0
0
0
0
0
0
(572)
(1 143)
(1 633)
(1 880)
(2 207)
(2 452)
(2 698)
(3 024)
(3 350)
(3 432)
0
(5 266)
0
(4 519)
(9 466)
(6 850)
(3 835)
(7 335)
0
(7 823)
0
(9 066)
0
(9 966)
0
(10 732)
0
(10 879)
0
(7 566)
0
Other
1 925
3 191
933
1 527
1 166
3 332
4 513
12 710
19 516
8 264
151
8 853
199
5 070
14 192
510
160
(1 964)
1 130
12 479
10 471
(599)
(39 654)
(46 246)
(15 524)
(8 255)
35 583
(166)
5 651
2 846
(8 117)
(8 692)
(19 449)
(8 492)
(23 631)
(7 046)
(15 027)
(8 224)
(22 904)
(11 760)
(582)
Cash from Financing Activities
1 925
N/A
3 191
+66%
933
-71%
1 527
+64%
1 166
-24%
3 332
+186%
4 513
+35%
12 710
+182%
19 516
+54%
8 264
-58%
1 070
-87%
8 018
+649%
8 896
+11%
14 592
+64%
12 143
-17%
(1 187)
N/A
7 039
N/A
13 501
+92%
14 634
+8%
11 158
-24%
25 682
+130%
14 541
-43%
9 734
-33%
13 080
+34%
(23 621)
N/A
(28 167)
-19%
(33 008)
-17%
(11 426)
+65%
39 268
N/A
14 429
-63%
4 567
-68%
1 481
-68%
(3 780)
N/A
8 035
N/A
4 575
-43%
14 426
+215%
20 983
+45%
(2 073)
N/A
(47 626)
-2 198%
(35 018)
+26%
(11 092)
+68%
Change in Cash
Effect of Foreign Exchange Rates
0
0
0
18
34
106
258
241
1 977
501
(1 193)
6
(130)
658
993
905
382
(18)
715
985
(18)
(112)
284
(4 106)
(7 815)
(7 238)
(2 370)
6 725
2 281
792
2 595
107
189
(423)
(723)
(328)
261
578
332
145
(9)
Net Change in Cash
1 754
N/A
388
-78%
(2 197)
N/A
555
N/A
1 881
+239%
462
-75%
187
-60%
4 297
+2 198%
3 334
-22%
616
-82%
11 350
+1 743%
15 279
+35%
(4 464)
N/A
7 793
N/A
3 516
-55%
(13 733)
N/A
8 000
N/A
22 039
+175%
25 329
+15%
996
-96%
(4 373)
N/A
6 479
N/A
20 272
+213%
41 982
+107%
41 957
0%
30 376
-28%
(14 222)
N/A
(48 278)
-239%
10 044
N/A
1 444
-86%
(11 445)
N/A
8 898
N/A
17 152
+93%
14 770
-14%
6 637
-55%
22 197
+234%
7 438
-66%
(20 152)
N/A
(10 682)
+47%
(4 365)
+59%
(13 768)
-215%
Free Cash Flow
Free Cash Flow
2 326
N/A
(845)
N/A
(2 756)
-226%
(1 685)
+39%
138
N/A
(2 272)
N/A
(3 591)
-58%
(6 185)
-72%
(12 495)
-102%
(2 853)
+77%
13 790
N/A
8 860
-36%
(8 388)
N/A
(2 551)
+70%
(4 994)
-96%
(7 998)
-60%
3 588
N/A
7 050
+96%
6 758
-4%
(10 568)
N/A
(24 808)
-135%
(3 973)
+84%
13 502
N/A
35 409
+162%
70 092
+98%
51 861
-26%
13 293
-74%
(36 606)
N/A
(26 687)
+27%
(6 912)
+74%
(10 070)
-46%
9 785
N/A
23 909
+144%
9 385
-61%
7 066
-25%
22 339
+216%
(2 964)
N/A
(11 168)
-277%
44 288
N/A
35 075
-21%
5 028
-86%

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