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AVIC Industry Finance Holdings Co Ltd
SSE:600705

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AVIC Industry Finance Holdings Co Ltd
SSE:600705
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Price: 4.02 CNY -7.37% Market Closed
Market Cap: 35.4B CNY
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Cash Flow Statement

Cash Flow Statement
AVIC Industry Finance Holdings Co Ltd

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Cash Flow Statement
Currency: CNY
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
(1 108)
(1 182)
(1 283)
(1 437)
(1 622)
(1 701)
(1 727)
(1 732)
(1 499)
(1 524)
(1 577)
(1 453)
(1 691)
(1 536)
(1 686)
(2 139)
(2 108)
(2 714)
(2 821)
(3 217)
(3 501)
(3 568)
(4 891)
(4 795)
(4 878)
(4 842)
(4 268)
(4 879)
(4 564)
(4 572)
(4 500)
(3 744)
(4 094)
(4 089)
(3 607)
(3 933)
(3 801)
(3 336)
(3 480)
(2 638)
(2 429)
Change in Working Capital
3 822
8 371
5 756
25 255
16 180
29 964
25 055
(2 035)
1 038
(2 916)
(3 591)
2 605
12 361
40 007
43 336
36 731
32 897
(5 011)
7 982
(3 997)
(94)
9 103
5 018
10 735
10 507
24 229
9 607
124 294
33 961
60 554
14 196
(67 699)
(8 077)
18 074
33 912
(8 424)
9 739
(3 498)
(4 387)
4 322
15 953
Cash from Operating Activities
(753)
N/A
2 916
N/A
1 616
-45%
20 817
+1 188%
8 803
-58%
19 355
+120%
12 860
-34%
(14 570)
N/A
(10 007)
+31%
(12 759)
-28%
(15 204)
-19%
(9 940)
+35%
(4 073)
+59%
24 934
N/A
27 031
+8%
20 089
-26%
11 372
-43%
(38 972)
N/A
(27 441)
+30%
(39 100)
-42%
(22 363)
+43%
(4 950)
+78%
(6 653)
-34%
(786)
+88%
(7 911)
-906%
10 034
N/A
(5 406)
N/A
106 031
N/A
17 819
-83%
45 212
+154%
(1 056)
N/A
(71 506)
-6 672%
(9 419)
+87%
20 066
N/A
43 829
+118%
847
-98%
16 959
+1 903%
7 257
-57%
7 264
+0%
11 620
+60%
27 819
+139%
Investing Cash Flow
Capital Expenditures
(1 302)
(737)
(1 676)
(1 641)
(1 945)
(1 305)
(391)
(360)
(158)
(348)
(359)
(1 053)
(370)
(793)
(756)
(130)
(746)
(1 974)
(25 681)
(4 668)
(2 805)
(1 851)
21 739
(709)
(3 312)
(2 658)
(2 640)
(1 847)
(1 475)
(1 585)
(1 895)
(1 507)
(1 319)
(1 885)
(1 537)
(3 709)
(3 690)
(6 376)
(6 478)
(5 929)
(4 082)
Other Items
(3 787)
(2 194)
(2 562)
(2 123)
(2 852)
(3 101)
(3 138)
(1 753)
(874)
1 866
(4 644)
420
(3 400)
(6 154)
(15 941)
(17 899)
(12 775)
(15 369)
17 682
(4 463)
(17 054)
(8 129)
(42 256)
(18 719)
7 425
17 421
24 972
(19 629)
(33 036)
(29 478)
(39 190)
24 619
21 533
546
(6 554)
(13 704)
(5 153)
(5 808)
16 210
(9 668)
(11 320)
Cash from Investing Activities
(5 089)
N/A
(2 931)
+42%
(4 238)
-45%
(3 764)
+11%
(4 797)
-27%
(4 406)
+8%
(3 529)
+20%
(2 112)
+40%
(1 032)
+51%
1 518
N/A
(5 003)
N/A
(634)
+87%
(3 769)
-494%
(6 947)
-84%
(16 697)
-140%
(18 029)
-8%
(13 521)
+25%
(17 343)
-28%
(7 999)
+54%
(9 131)
-14%
(19 860)
-118%
(9 980)
+50%
(20 517)
-106%
(19 428)
+5%
4 113
N/A
14 764
+259%
22 333
+51%
(21 475)
N/A
(34 510)
-61%
(31 064)
+10%
(41 085)
-32%
23 112
N/A
20 214
-13%
(1 339)
N/A
(8 091)
-504%
(17 412)
-115%
(8 843)
+49%
(12 184)
-38%
9 732
N/A
(15 597)
N/A
(15 402)
+1%
Financing Cash Flow
Net Issuance of Debt
4 106
2 157
6 593
7 406
10 273
11 254
12 559
11 839
7 252
9 133
11 635
11 763
20 529
26 225
28 419
29 618
36 181
44 664
50 705
57 099
21 551
15 322
1 490
2 819
(4 875)
7 869
9 072
8 832
15 853
8 101
10 918
2 097
25 535
(1 382)
(2 238)
(3 250)
(2 118)
6 950
4 533
11 813
(4 723)
Cash Paid for Dividends
(1 476)
(2 332)
(2 797)
(2 495)
(3 300)
(1 902)
(3 034)
(3 421)
(2 025)
(4 752)
(3 455)
(3 760)
(5 186)
(3 446)
(4 168)
(3 880)
(5 022)
(5 883)
(6 416)
(7 516)
(7 009)
(7 967)
(7 361)
(7 962)
(6 578)
(8 392)
(8 536)
(8 019)
(9 261)
(7 594)
(7 756)
(8 263)
(12 307)
(8 729)
(9 039)
(7 975)
(5 994)
(9 702)
(13 971)
(10 904)
(12 220)
Other
5 979
5 167
1 422
92
(275)
2 501
2 094
2 474
1 651
(1 262)
(1 365)
(1 373)
155
(505)
1 335
2 161
1 094
12 840
13 006
10 274
26 327
7 249
9 655
3 182
17 335
(129)
598
4 853
(1 148)
4 291
3 326
4 833
(19 076)
1 292
2 758
(4 282)
(4 113)
(3 985)
(3 297)
(647)
12 153
Cash from Financing Activities
8 609
N/A
4 992
-42%
5 219
+5%
5 003
-4%
6 698
+34%
11 854
+77%
11 619
-2%
10 892
-6%
6 879
-37%
3 119
-55%
6 816
+119%
6 631
-3%
15 498
+134%
22 273
+44%
25 585
+15%
27 899
+9%
32 252
+16%
51 622
+60%
57 296
+11%
59 857
+4%
40 870
-32%
14 604
-64%
3 784
-74%
(1 961)
N/A
5 881
N/A
(651)
N/A
1 134
N/A
5 667
+400%
5 446
-4%
4 799
-12%
6 489
+35%
(1 333)
N/A
(5 847)
-339%
(8 818)
-51%
(8 518)
+3%
(15 506)
-82%
(12 224)
+21%
(6 738)
+45%
(12 735)
-89%
262
N/A
(4 790)
N/A
Change in Cash
Effect of Foreign Exchange Rates
0
(1)
1
(5)
1
13
13
21
36
48
39
20
(19)
(60)
(101)
(61)
(10)
85
102
129
162
28
91
62
(117)
(300)
(312)
(392)
(221)
12
(47)
507
697
505
510
285
725
89
133
(135)
(917)
Net Change in Cash
2 767
N/A
4 976
+80%
2 598
-48%
22 051
+749%
10 705
-51%
26 816
+150%
20 963
-22%
(5 769)
N/A
(4 124)
+29%
(8 074)
-96%
(13 352)
-65%
(3 923)
+71%
7 637
N/A
40 200
+426%
35 818
-11%
29 898
-17%
30 093
+1%
(4 608)
N/A
21 958
N/A
11 755
-46%
(1 191)
N/A
(298)
+75%
(23 295)
-7 717%
(22 113)
+5%
1 966
N/A
23 847
+1 113%
17 749
-26%
89 830
+406%
(11 465)
N/A
18 959
N/A
(35 698)
N/A
(49 221)
-38%
5 645
N/A
10 414
+84%
27 730
+166%
(31 787)
N/A
(3 384)
+89%
(11 576)
-242%
4 393
N/A
(3 850)
N/A
6 710
N/A
Free Cash Flow
Free Cash Flow
(2 055)
N/A
2 179
N/A
(60)
N/A
19 176
N/A
6 858
-64%
18 050
+163%
12 469
-31%
(14 930)
N/A
(10 165)
+32%
(13 107)
-29%
(15 563)
-19%
(10 993)
+29%
(4 443)
+60%
24 141
N/A
26 275
+9%
19 959
-24%
10 626
-47%
(40 946)
N/A
(53 122)
-30%
(43 768)
+18%
(25 168)
+42%
(6 801)
+73%
15 086
N/A
(1 495)
N/A
(11 223)
-651%
7 376
N/A
(8 046)
N/A
104 184
N/A
16 344
-84%
43 627
+167%
(2 951)
N/A
(73 014)
-2 375%
(10 739)
+85%
18 181
N/A
42 291
+133%
(2 862)
N/A
13 269
N/A
880
-93%
786
-11%
5 691
+624%
23 737
+317%

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