Bank of Communications Co Ltd
SSE:601328

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Bank of Communications Co Ltd
SSE:601328
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Price: 7.33 CNY 2.81%
Market Cap: 526.9B CNY
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Cash Flow Statement

Cash Flow Statement
Bank of Communications 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
(32 335)
(31 323)
(34 111)
(32 511)
(31 672)
(33 056)
(31 686)
(34 404)
(34 020)
(33 709)
(31 883)
(30 425)
(30 337)
(27 651)
(29 400)
(28 372)
(21 715)
(31 965)
(37 330)
(29 034)
(32 365)
(27 294)
(22 000)
(31 176)
(36 796)
(33 521)
(32 537)
(31 975)
(30 370)
(29 179)
(30 116)
(32 356)
(33 428)
(35 101)
(34 819)
(32 265)
(30 712)
(28 893)
(28 457)
(28 776)
(27 492)
Change in Working Capital
(72 045)
(51 441)
76 927
305 007
247 505
276 309
187 170
157 989
118 098
405 958
472 226
229 441
299 945
(79 861)
(104 985)
(38 211)
23 301
23 704
9 610
(56 767)
(40 398)
(149 378)
(10 419)
(38 761)
(33 500)
57 065
(177 509)
(195 370)
(293 384)
(159 006)
23 616
43 124
63 044
236 931
274 929
144 513
158 922
14 803
(238 875)
(185 173)
(87 740)
Cash from Operating Activities
16 633
N/A
49 715
+199%
188 485
+279%
415 903
+121%
360 295
-13%
379 122
+5%
281 783
-26%
249 177
-12%
217 590
-13%
485 066
+123%
552 634
+14%
305 214
-45%
371 933
+22%
10 727
-97%
(22 607)
N/A
40 784
N/A
108 346
+166%
123 892
+14%
102 674
-17%
50 630
-51%
61 470
+21%
(82 545)
N/A
67 699
N/A
33 868
-50%
37 782
+12%
149 398
+295%
(75 914)
N/A
(82 703)
-9%
(170 813)
-107%
(34 775)
+80%
149 212
N/A
167 077
+12%
190 545
+14%
368 221
+93%
399 577
+9%
273 989
-31%
286 819
+5%
137 323
-52%
(121 414)
N/A
(79 996)
+34%
13 762
N/A
Investing Cash Flow
Capital Expenditures
(26 736)
(25 859)
(27 242)
(28 833)
(27 176)
(26 767)
(27 718)
(28 535)
(29 495)
(35 584)
(34 249)
(35 942)
(32 449)
(29 271)
(29 309)
(29 248)
(33 125)
(31 343)
(40 064)
(38 612)
(34 574)
(32 376)
(24 772)
(27 383)
(26 683)
(24 149)
(22 487)
(17 859)
(15 925)
(22 947)
(23 789)
(26 883)
(28 578)
(31 655)
(38 966)
(46 416)
(49 614)
(47 591)
(44 240)
(39 854)
(43 420)
Other Items
(33 179)
2 508
(82 529)
(166 003)
(336 988)
(417 622)
(439 923)
(542 874)
(495 884)
(549 361)
(495 421)
(340 771)
(256 726)
(93 688)
(92 158)
(72 337)
(124 991)
(68 797)
(83 825)
(70 816)
(22 742)
(49 432)
(69 639)
(64 770)
(73 207)
(70 442)
52 887
21 665
18 542
(52 601)
(164 680)
(165 907)
(60 729)
(253 242)
(273 767)
(192 431)
(273 766)
(69 032)
82 195
83 501
4 548
Cash from Investing Activities
(59 915)
N/A
(23 351)
+61%
(109 771)
-370%
(194 836)
-77%
(364 164)
-87%
(444 389)
-22%
(467 641)
-5%
(571 409)
-22%
(525 379)
+8%
(584 945)
-11%
(529 670)
+9%
(376 713)
+29%
(289 175)
+23%
(122 959)
+57%
(121 467)
+1%
(101 585)
+16%
(158 116)
-56%
(100 140)
+37%
(123 889)
-24%
(109 428)
+12%
(57 316)
+48%
(81 808)
-43%
(94 411)
-15%
(92 153)
+2%
(99 890)
-8%
(94 591)
+5%
30 400
N/A
3 806
-87%
2 617
-31%
(75 548)
N/A
(188 469)
-149%
(192 790)
-2%
(89 307)
+54%
(284 897)
-219%
(312 733)
-10%
(238 847)
+24%
(323 380)
-35%
(116 623)
+64%
37 955
N/A
43 647
+15%
(38 872)
N/A
Financing Cash Flow
Net Issuance of Debt
62 473
67 758
59 646
101 356
84 914
105 076
136 778
200 159
244 713
102 866
68 913
30 934
(72 200)
60 633
66 633
44 754
39 450
21 514
32 462
22 127
75 603
121 437
125 825
157 076
182 107
129 274
106 994
158 925
118 871
46 372
64 676
(26 358)
(48 947)
16 479
23 859
55 786
55 084
55 717
17 617
12 029
46 954
Cash Paid for Dividends
(23 838)
(24 060)
(24 998)
(35 386)
(27 136)
(28 394)
(27 907)
(17 425)
(28 762)
(24 953)
(24 830)
(24 989)
(26 743)
(32 095)
(31 607)
(33 026)
(28 945)
(36 115)
(36 033)
(36 579)
(43 381)
(34 709)
(34 797)
(34 681)
(36 932)
(40 997)
(41 334)
(42 008)
(44 197)
(44 502)
(45 335)
(48 350)
(51 460)
(48 939)
(50 082)
(49 089)
(51 119)
(50 390)
(51 008)
(52 087)
(52 164)
Other
24
0
291
(46 212)
267
277
0
10
(38)
(48)
0
1 921
1 969
1 944
0
1 100
1 100
1 125
0
0
(1 989)
0
0
0
0
0
0
0
0
(564)
0
0
(150)
(515)
0
(795)
(787)
(439)
(505)
(236)
(239)
Cash from Financing Activities
38 659
N/A
43 698
+13%
34 915
-20%
19 734
-43%
58 021
+194%
76 959
+33%
108 881
+41%
182 744
+68%
215 913
+18%
77 865
-64%
44 035
-43%
7 866
-82%
(96 974)
N/A
30 482
N/A
36 970
+21%
12 828
-65%
11 605
-10%
(13 476)
N/A
(2 446)
+82%
(14 452)
-491%
30 233
N/A
86 728
+187%
91 028
+5%
122 395
+34%
147 164
+20%
88 277
-40%
65 660
-26%
116 917
+78%
74 674
-36%
1 306
-98%
19 341
+1 381%
(74 708)
N/A
(100 557)
-35%
(32 975)
+67%
(26 738)
+19%
5 902
N/A
3 178
-46%
4 888
+54%
(33 896)
N/A
(40 294)
-19%
(5 449)
+86%
Change in Cash
Effect of Foreign Exchange Rates
525
170
(103)
(408)
3 046
5 117
4 493
7 102
3 900
7 975
7 417
2 137
761
(5 727)
(7 796)
(885)
1 695
4 297
5 869
3 502
4 452
1 868
3 989
2 902
(2 736)
(3 699)
(4 572)
(7 704)
(3 435)
(3 795)
(4 417)
935
2 593
4 146
3 971
4 011
173
1 070
1 323
(1 771)
(769)
Net Change in Cash
(4 098)
N/A
70 232
N/A
113 526
+62%
240 393
+112%
57 198
-76%
16 809
-71%
(72 484)
N/A
(132 386)
-83%
(87 976)
+34%
(14 039)
+84%
74 416
N/A
(61 496)
N/A
(13 455)
+78%
(87 477)
-550%
(114 900)
-31%
(48 858)
+57%
(36 470)
+25%
14 573
N/A
(17 792)
N/A
(69 748)
-292%
38 839
N/A
(75 757)
N/A
68 305
N/A
67 012
-2%
82 320
+23%
139 385
+69%
15 574
-89%
30 316
+95%
(96 957)
N/A
(112 812)
-16%
(24 333)
+78%
(99 486)
-309%
3 274
N/A
54 495
+1 564%
64 077
+18%
45 055
-30%
(33 210)
N/A
26 658
N/A
(116 032)
N/A
(78 414)
+32%
(31 328)
+60%

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