Yantai Tayho Advanced Materials Co Ltd
SZSE:002254

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Yantai Tayho Advanced Materials Co Ltd Logo
Yantai Tayho Advanced Materials Co Ltd
SZSE:002254
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Price: 9.94 CNY -0.4% Market Closed
Market Cap: 8.6B CNY
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Cash Flow Statement

Cash Flow Statement
Yantai Tayho Advanced Materials 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
(87)
(92)
(90)
(88)
(80)
(81)
(67)
(78)
(84)
(72)
(90)
(80)
(83)
(89)
(68)
(67)
(61)
(62)
(65)
(75)
(73)
(69)
(64)
(76)
(83)
(44)
(40)
(21)
(61)
(94)
(133)
(61)
37
71
138
140
169
185
116
6
(91)
Change in Working Capital
(111)
(129)
(127)
(136)
(146)
(142)
(124)
(123)
(108)
(131)
(141)
(145)
(157)
(144)
(173)
(225)
(259)
(220)
(190)
(149)
(127)
(202)
(211)
(207)
(218)
(216)
(72)
(344)
(395)
(433)
(739)
(642)
(705)
(651)
(601)
(589)
(698)
(170)
(179)
(96)
(12)
Cash from Operating Activities
235
N/A
318
+35%
236
-26%
160
-32%
164
+2%
99
-40%
131
+33%
289
+121%
340
+18%
326
-4%
329
+1%
273
-17%
271
-1%
307
+14%
320
+4%
211
-34%
236
+12%
98
-58%
89
-10%
171
+93%
164
-4%
287
+75%
255
-11%
337
+32%
323
-4%
551
+71%
959
+74%
863
-10%
968
+12%
845
-13%
405
-52%
554
+37%
597
+8%
472
-21%
554
+17%
436
-21%
354
-19%
436
+23%
56
-87%
270
+387%
136
-50%
Investing Cash Flow
Capital Expenditures
(43)
(73)
(121)
(95)
(95)
(32)
16
21
28
(12)
(10)
(10)
(9)
(8)
(19)
(167)
(259)
(321)
(438)
(327)
(359)
(660)
(608)
(647)
(577)
(271)
(313)
(408)
(557)
(777)
(929)
(1 017)
(991)
(1 584)
(1 912)
(2 011)
(2 216)
(1 778)
(1 804)
(1 614)
(1 566)
Other Items
(58)
(187)
(92)
29
52
(16)
30
(106)
(172)
(7)
(7)
(106)
(137)
112
78
(5)
37
(371)
(11)
37
160
442
(193)
(539)
(383)
262
346
833
429
(357)
(155)
(9)
455
(179)
(358)
(908)
(869)
(68)
(8)
725
387
Cash from Investing Activities
(100)
N/A
(260)
-159%
(213)
+18%
(66)
+69%
(43)
+34%
(47)
-10%
47
N/A
(86)
N/A
(143)
-67%
(20)
+86%
(17)
+12%
(117)
-573%
(146)
-26%
104
N/A
59
-44%
(172)
N/A
(222)
-29%
(692)
-212%
(449)
+35%
(291)
+35%
(199)
+31%
(218)
-10%
(800)
-267%
(1 187)
-48%
(960)
+19%
(9)
+99%
32
N/A
425
+1 213%
(128)
N/A
(1 134)
-786%
(1 084)
+4%
(1 026)
+5%
(537)
+48%
(1 763)
-228%
(2 270)
-29%
(2 919)
-29%
(3 085)
-6%
(1 846)
+40%
(1 813)
+2%
(889)
+51%
(1 179)
-33%
Financing Cash Flow
Net Issuance of Debt
(28)
(20)
(20)
(23)
(22)
(67)
(70)
(71)
(74)
(10)
(8)
(8)
(10)
(13)
(20)
(19)
(13)
(7)
0
390
289
455
731
414
735
536
374
379
693
729
585
604
238
233
210
225
12
(269)
601
442
575
Cash Paid for Dividends
0
(10)
(14)
(14)
(40)
(31)
(31)
(27)
(1)
(0)
(0)
0
(61)
(62)
(62)
(63)
(32)
(31)
0
(68)
(33)
(40)
(50)
(19)
(36)
(43)
(46)
(534)
(546)
(554)
(564)
(409)
(396)
(435)
(433)
(375)
(383)
(340)
(335)
(411)
(342)
Other
20
15
0
0
12
(9)
0
1
6
6
0
0
(13)
(9)
(4)
83
151
149
142
94
35
77
0
33
39
522
540
545
555
38
36
61
(220)
218
3 186
3 388
3 713
3 092
57
(342)
(415)
Cash from Financing Activities
(9)
N/A
(15)
-70%
(18)
-21%
(21)
-17%
(50)
-143%
(107)
-114%
(110)
-3%
(98)
+11%
(69)
+30%
(4)
+94%
(3)
+40%
(12)
-392%
(84)
-585%
(85)
0%
(86)
-2%
1
N/A
106
+8 046%
111
+5%
110
-1%
416
+280%
292
-30%
492
+69%
760
+54%
428
-44%
738
+72%
1 015
+37%
868
-14%
389
-55%
703
+80%
213
-70%
57
-73%
256
+348%
(378)
N/A
17
N/A
2 962
+17 632%
3 238
+9%
3 341
+3%
2 483
-26%
322
-87%
(310)
N/A
(183)
+41%
Change in Cash
Effect of Foreign Exchange Rates
(0)
(1)
(2)
(2)
(0)
1
1
3
2
8
7
6
5
(2)
(4)
(3)
1
2
5
5
3
2
3
2
(2)
(4)
(4)
(7)
(5)
(5)
(7)
7
14
18
20
18
9
8
8
2
1
Net Change in Cash
126
N/A
42
-67%
4
-91%
72
+1 736%
70
-2%
(55)
N/A
68
N/A
109
+59%
130
+20%
310
+138%
316
+2%
150
-52%
45
-70%
325
+628%
289
-11%
38
-87%
120
+219%
(481)
N/A
(245)
+49%
301
N/A
260
-14%
563
+116%
217
-61%
(420)
N/A
100
N/A
1 553
+1 453%
1 855
+19%
1 671
-10%
1 538
-8%
(81)
N/A
(629)
-677%
(209)
+67%
(303)
-45%
(1 256)
-314%
1 267
N/A
774
-39%
620
-20%
1 082
+75%
(1 427)
N/A
(926)
+35%
(1 225)
-32%
Free Cash Flow
Free Cash Flow
192
N/A
245
+27%
115
-53%
65
-44%
68
+6%
67
-2%
147
+119%
310
+111%
369
+19%
313
-15%
319
+2%
263
-18%
261
-1%
299
+15%
301
+1%
44
-85%
(23)
N/A
(223)
-853%
(350)
-57%
(156)
+55%
(195)
-25%
(373)
-91%
(353)
+5%
(311)
+12%
(254)
+18%
280
N/A
645
+131%
455
-29%
411
-10%
68
-83%
(524)
N/A
(463)
+12%
(395)
+15%
(1 112)
-182%
(1 357)
-22%
(1 575)
-16%
(1 861)
-18%
(1 342)
+28%
(1 748)
-30%
(1 343)
+23%
(1 430)
-6%

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