BaoJi Titanium Industry Co Ltd
SSE:600456
Cash Flow Statement
Cash Flow Statement
BaoJi Titanium Industry Co Ltd
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 | Sep-2024 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Operating Cash Flow | ||||||||||||||||||||||||||||||||||||||||||
Cash Taxes Paid |
(89)
|
(116)
|
(122)
|
(95)
|
(77)
|
(66)
|
(71)
|
(51)
|
(67)
|
(109)
|
(132)
|
(160)
|
(180)
|
(189)
|
(187)
|
(198)
|
(197)
|
(160)
|
(152)
|
(148)
|
(158)
|
(159)
|
(167)
|
(198)
|
(177)
|
(202)
|
(213)
|
(185)
|
(170)
|
(153)
|
(115)
|
(141)
|
(162)
|
(177)
|
(148)
|
(121)
|
(143)
|
(155)
|
(214)
|
(184)
|
(186)
|
|
Change in Working Capital |
(303)
|
(295)
|
(268)
|
(241)
|
(300)
|
(308)
|
(317)
|
(349)
|
(292)
|
(334)
|
(344)
|
(347)
|
(324)
|
(297)
|
(286)
|
(292)
|
(273)
|
(303)
|
(311)
|
(331)
|
(433)
|
(474)
|
(490)
|
(520)
|
(430)
|
(481)
|
(965)
|
(592)
|
(707)
|
(513)
|
(108)
|
(545)
|
(477)
|
(615)
|
(548)
|
(587)
|
(629)
|
(685)
|
(767)
|
(805)
|
(836)
|
|
Cash from Operating Activities |
209
N/A
|
261
+25%
|
40
-85%
|
59
+45%
|
2
-97%
|
31
+1 460%
|
106
+239%
|
(67)
N/A
|
24
N/A
|
(127)
N/A
|
(286)
-125%
|
(185)
+35%
|
(57)
+69%
|
225
N/A
|
409
+82%
|
479
+17%
|
387
-19%
|
376
-3%
|
298
-21%
|
70
-76%
|
131
+87%
|
53
-60%
|
99
+87%
|
277
+181%
|
503
+81%
|
404
-20%
|
(152)
N/A
|
240
N/A
|
(71)
N/A
|
206
N/A
|
587
+185%
|
337
-42%
|
510
+51%
|
(435)
N/A
|
(220)
+49%
|
(35)
+84%
|
(1)
+96%
|
151
N/A
|
275
+83%
|
238
-13%
|
255
+7%
|
|
Investing Cash Flow | ||||||||||||||||||||||||||||||||||||||||||
Capital Expenditures |
(28)
|
(20)
|
(22)
|
(20)
|
(20)
|
(12)
|
(10)
|
(11)
|
(10)
|
(5)
|
(7)
|
(8)
|
(36)
|
(38)
|
(39)
|
(45)
|
(25)
|
(58)
|
(66)
|
(67)
|
(67)
|
(51)
|
(60)
|
(101)
|
(120)
|
(136)
|
(174)
|
(184)
|
(186)
|
(383)
|
(406)
|
(405)
|
(446)
|
(354)
|
(349)
|
(315)
|
(262)
|
(163)
|
(175)
|
(182)
|
(253)
|
|
Other Items |
0
|
(1)
|
0
|
(17)
|
(18)
|
(2)
|
(2)
|
16
|
16
|
50
|
49
|
50
|
59
|
6
|
5
|
22
|
6
|
11
|
12
|
(3)
|
1
|
1
|
1
|
1
|
3
|
2
|
12
|
(399)
|
(400)
|
(98)
|
(109)
|
300
|
300
|
101
|
103
|
103
|
104
|
4
|
2
|
4
|
4
|
|
Cash from Investing Activities |
(28)
N/A
|
(21)
+25%
|
(22)
-4%
|
(36)
-67%
|
(38)
-6%
|
(14)
+64%
|
(13)
+8%
|
5
N/A
|
6
+9%
|
45
+661%
|
43
-5%
|
42
0%
|
23
-46%
|
(32)
N/A
|
(33)
-3%
|
(23)
+31%
|
(19)
+18%
|
(47)
-149%
|
(55)
-16%
|
(70)
-29%
|
(66)
+7%
|
(50)
+24%
|
(60)
-19%
|
(100)
-69%
|
(117)
-16%
|
(134)
-15%
|
(163)
-21%
|
(583)
-259%
|
(587)
-1%
|
(481)
+18%
|
(515)
-7%
|
(105)
+80%
|
(146)
-38%
|
(253)
-74%
|
(247)
+3%
|
(212)
+14%
|
(158)
+25%
|
(159)
0%
|
(174)
-9%
|
(178)
-3%
|
(249)
-40%
|
|
Financing Cash Flow | ||||||||||||||||||||||||||||||||||||||||||
Net Issuance of Debt |
124
|
281
|
553
|
504
|
344
|
148
|
113
|
168
|
23
|
65
|
115
|
85
|
220
|
(10)
|
60
|
(145)
|
(105)
|
220
|
125
|
305
|
310
|
(77)
|
108
|
178
|
(30)
|
(48)
|
(328)
|
(349)
|
(40)
|
(451)
|
374
|
592
|
1 208
|
17
|
(761)
|
(876)
|
(1 776)
|
149
|
99
|
(69)
|
41
|
|
Cash Paid for Dividends |
(130)
|
(135)
|
(127)
|
(108)
|
(109)
|
(153)
|
(150)
|
(136)
|
(144)
|
(143)
|
(133)
|
(164)
|
(142)
|
(146)
|
(155)
|
(128)
|
(144)
|
(148)
|
(149)
|
(205)
|
(173)
|
(179)
|
(179)
|
(160)
|
(222)
|
(196)
|
(194)
|
(150)
|
(606)
|
(603)
|
(602)
|
(611)
|
(527)
|
(520)
|
(520)
|
(511)
|
(304)
|
(279)
|
(277)
|
(285)
|
(228)
|
|
Other |
(1)
|
(4)
|
0
|
0
|
0
|
(1)
|
0
|
(1)
|
(2)
|
(2)
|
(8)
|
(12)
|
(25)
|
(24)
|
0
|
0
|
(17)
|
(17)
|
0
|
(18)
|
(19)
|
(28)
|
(21)
|
25
|
(29)
|
(21)
|
1 940
|
1 878
|
1 949
|
1 910
|
(71)
|
(55)
|
(72)
|
622
|
0
|
699
|
687
|
201
|
216
|
216
|
265
|
|
Cash from Financing Activities |
(7)
N/A
|
142
N/A
|
422
+198%
|
392
-7%
|
231
-41%
|
(6)
N/A
|
(38)
-548%
|
31
N/A
|
(122)
N/A
|
(80)
+35%
|
(26)
+67%
|
(91)
-244%
|
53
N/A
|
(179)
N/A
|
(112)
+37%
|
(286)
-155%
|
(266)
+7%
|
55
N/A
|
(41)
N/A
|
82
N/A
|
117
+44%
|
(284)
N/A
|
(91)
+68%
|
44
N/A
|
(281)
N/A
|
(266)
+5%
|
1 417
N/A
|
1 379
-3%
|
1 303
-5%
|
856
-34%
|
(299)
N/A
|
(74)
+75%
|
609
N/A
|
120
-80%
|
(645)
N/A
|
(688)
-7%
|
(1 392)
-102%
|
71
N/A
|
38
-47%
|
(138)
N/A
|
77
N/A
|
|
Change in Cash | ||||||||||||||||||||||||||||||||||||||||||
Effect of Foreign Exchange Rates |
(0)
|
(1)
|
(2)
|
(1)
|
1
|
3
|
3
|
5
|
4
|
6
|
5
|
(0)
|
(4)
|
(6)
|
(8)
|
3
|
15
|
14
|
12
|
9
|
5
|
5
|
14
|
10
|
2
|
(11)
|
(11)
|
(21)
|
(15)
|
(7)
|
(13)
|
5
|
9
|
13
|
15
|
11
|
7
|
8
|
11
|
12
|
11
|
|
Net Change in Cash |
174
N/A
|
381
+119%
|
439
+15%
|
414
-6%
|
197
-52%
|
15
-92%
|
59
+289%
|
(26)
N/A
|
(88)
-237%
|
(157)
-77%
|
(265)
-69%
|
(234)
+12%
|
16
N/A
|
7
-56%
|
256
+3 666%
|
174
-32%
|
118
-32%
|
398
+238%
|
215
-46%
|
90
-58%
|
188
+108%
|
(276)
N/A
|
(39)
+86%
|
230
N/A
|
108
-53%
|
(7)
N/A
|
1 092
N/A
|
1 015
-7%
|
631
-38%
|
573
-9%
|
(241)
N/A
|
164
N/A
|
982
+500%
|
(556)
N/A
|
(1 097)
-97%
|
(923)
+16%
|
(1 545)
-67%
|
70
N/A
|
150
+113%
|
(67)
N/A
|
94
N/A
|
|
Free Cash Flow | ||||||||||||||||||||||||||||||||||||||||||
Free Cash Flow |
182
N/A
|
241
+33%
|
19
-92%
|
39
+110%
|
(18)
N/A
|
19
N/A
|
96
+393%
|
(78)
N/A
|
13
N/A
|
(132)
N/A
|
(293)
-122%
|
(192)
+34%
|
(93)
+52%
|
187
N/A
|
371
+98%
|
435
+17%
|
362
-17%
|
318
-12%
|
232
-27%
|
3
-99%
|
65
+1 916%
|
2
-97%
|
39
+1 738%
|
177
+358%
|
384
+117%
|
268
-30%
|
(327)
N/A
|
57
N/A
|
(257)
N/A
|
(177)
+31%
|
180
N/A
|
(68)
N/A
|
64
N/A
|
(789)
N/A
|
(570)
+28%
|
(350)
+39%
|
(264)
+25%
|
(12)
+95%
|
100
N/A
|
56
-44%
|
2
-97%
|