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China Gas Holdings Ltd
HKEX:384

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China Gas Holdings Ltd
HKEX:384
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Price: 7.84 HKD -5.31%
Updated: May 15, 2024

Cash Flow Statement

Cash Flow Statement
China Gas Holdings Ltd

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Cash Flow Statement
Currency: HKD
Mar-2005 Sep-2005 Mar-2006 Sep-2006 Mar-2007 Sep-2007 Mar-2008 Sep-2008 Mar-2009 Sep-2009 Mar-2010 Sep-2010 Mar-2011 Sep-2011 Mar-2012 Sep-2012 Mar-2013 Sep-2013 Mar-2014 Sep-2014 Mar-2015 Sep-2015 Mar-2016 Sep-2016 Mar-2017 Sep-2017 Mar-2018 Sep-2018 Mar-2019 Sep-2019 Mar-2020 Sep-2020 Mar-2021 Sep-2021 Mar-2022 Sep-2022 Mar-2023 Sep-2023
Operating Cash Flow
Net Income
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
3 721
0
4 810
0
3 718
0
5 902
0
8 600
0
11 183
0
12 725
0
14 090
0
10 787
0
6 038
0
Depreciation & Amortization
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
711
0
883
0
914
0
960
0
1 174
0
1 326
0
1 764
0
2 139
0
2 593
0
2 812
0
Other Non-Cash Items
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(41)
0
(258)
0
1 030
0
(170)
0
4
0
(720)
0
400
0
(406)
0
147
0
925
0
Cash Taxes Paid
2
0
1
0
0
0
32
0
63
0
99
0
338
0
438
0
416
0
657
0
910
0
992
0
1 102
0
1 567
0
1 861
0
2 184
0
2 868
0
1 971
0
1 614
0
Cash Interest Paid
23
0
36
0
72
0
239
0
360
0
473
0
627
0
902
0
0
0
540
0
554
0
840
0
963
0
1 049
0
1 455
0
1 842
0
1 905
0
2 111
0
2 478
0
Change in Working Capital
35
18
44
126
169
176
632
1 048
1 023
1 113
1 358
1 559
2 080
1 836
1 512
3 885
2 896
2 578
(1 008)
3 139
(783)
4 714
201
6 328
(2 575)
6 829
(3 332)
5 297
(1 672)
9 732
(8 404)
9 341
(7 544)
5 533
(3 650)
10 469
252
12 857
Cash from Operating Activities
35
N/A
18
-49%
44
+144%
126
+186%
169
+34%
176
+4%
632
+259%
1 048
+66%
1 023
-2%
1 113
+9%
1 358
+22%
1 559
+15%
2 080
+33%
1 836
-12%
1 512
-18%
3 885
+157%
2 896
-25%
2 578
-11%
3 383
+31%
3 139
-7%
4 653
+48%
4 714
+1%
5 862
+24%
6 328
+8%
4 116
-35%
6 829
+66%
6 446
-6%
5 297
-18%
10 117
+91%
9 732
-4%
6 486
-33%
9 341
+44%
8 279
-11%
5 533
-33%
9 876
+78%
10 469
+6%
10 027
-4%
12 857
+28%
Investing Cash Flow
Capital Expenditures
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(3 453)
0
(3 986)
0
(3 287)
0
(3 155)
0
(6 565)
0
(8 680)
0
(7 127)
0
(8 350)
0
(9 009)
0
(5 960)
0
Other Items
(904)
(522)
(564)
(928)
(1 342)
(2 003)
(2 572)
(1 580)
(2 030)
(3 428)
(1 701)
(964)
(3 511)
(4 065)
(1 124)
(1 698)
(2 576)
(3 562)
(1 688)
(4 455)
(1 184)
(4 936)
(715)
(3 969)
(957)
(4 935)
(603)
(8 583)
(2 352)
(12 451)
(2 328)
(6 947)
25
(12 468)
(3 196)
(8 860)
(1 547)
(6 203)
Cash from Investing Activities
(904)
N/A
(522)
+42%
(564)
-8%
(928)
-65%
(1 342)
-45%
(2 003)
-49%
(2 572)
-28%
(1 580)
+39%
(2 030)
-28%
(3 428)
-69%
(1 701)
+50%
(964)
+43%
(3 511)
-264%
(4 065)
-16%
(1 124)
+72%
(1 698)
-51%
(2 576)
-52%
(3 562)
-38%
(5 141)
-44%
(4 455)
+13%
(5 170)
-16%
(4 936)
+5%
(4 001)
+19%
(3 969)
+1%
(4 112)
-4%
(4 935)
-20%
(7 168)
-45%
(8 583)
-20%
(11 032)
-29%
(12 451)
-13%
(9 455)
+24%
(6 947)
+27%
(8 325)
-20%
(12 468)
-50%
(12 205)
+2%
(8 860)
+27%
(7 507)
+15%
(6 203)
+17%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
498
0
(184)
0
(947)
0
(539)
0
0
0
3 156
0
0
0
(133)
0
7 671
0
0
0
Net Issuance of Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
4 730
0
768
0
1 693
0
1 430
0
7 509
0
6 829
0
3 355
0
5 871
0
5 105
0
6 708
0
Cash Paid for Dividends
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(411)
0
(606)
0
(942)
0
(954)
0
(1 391)
0
(1 777)
0
(2 401)
0
(2 609)
0
(3 062)
0
(2 992)
0
Other
1 109
1 881
1 539
1 131
833
1 209
1 850
1 924
1 501
913
2 159
1 805
2 574
2 590
(715)
(1 971)
(976)
3 140
(591)
629
(687)
(290)
(1 131)
(3 033)
(458)
639
(2 210)
6 517
(1 874)
2 511
(3 616)
(3 529)
(2 264)
9 868
(6 018)
1 517
(5 129)
(8 954)
Cash from Financing Activities
1 109
N/A
1 881
+70%
1 539
-18%
1 131
-27%
833
-26%
1 209
+45%
1 850
+53%
1 924
+4%
1 501
-22%
913
-39%
2 159
+136%
1 805
-16%
2 574
+43%
2 590
+1%
(715)
N/A
(1 971)
-176%
(976)
+50%
3 140
N/A
4 226
+35%
629
-85%
(708)
N/A
(290)
+59%
(1 327)
-358%
(3 033)
-129%
(520)
+83%
639
N/A
3 908
+512%
6 517
+67%
6 335
-3%
2 511
-60%
(2 661)
N/A
(3 529)
-33%
866
N/A
9 868
+1 040%
3 695
-63%
1 517
-59%
(1 414)
N/A
(8 954)
-533%
Change in Cash
Effect of Foreign Exchange Rates
1
9
(4)
(14)
95
94
118
167
45
(2)
8
8
66
127
63
30
32
44
27
(13)
0
(124)
(265)
(216)
(256)
(30)
336
(492)
(427)
(435)
(490)
544
355
92
351
(777)
(678)
(525)
Net Change in Cash
241
N/A
1 386
+475%
1 015
-27%
315
-69%
(245)
N/A
(524)
-114%
28
N/A
1 559
+5 468%
539
-65%
(1 404)
N/A
1 824
N/A
2 408
+32%
1 209
-50%
488
-60%
(264)
N/A
246
N/A
(624)
N/A
2 200
N/A
2 495
+13%
(700)
N/A
(1 225)
-75%
(636)
+48%
268
N/A
(890)
N/A
(772)
+13%
2 502
N/A
3 522
+41%
2 739
-22%
4 993
+82%
(643)
N/A
(6 120)
-851%
(591)
+90%
1 175
N/A
3 026
+158%
1 717
-43%
2 348
+37%
428
-82%
(2 826)
N/A
Free Cash Flow
Free Cash Flow
35
N/A
18
-49%
44
+144%
126
+186%
169
+34%
176
+4%
632
+259%
1 048
+66%
1 023
-2%
1 113
+9%
1 358
+22%
1 559
+15%
2 080
+33%
1 836
-12%
1 512
-18%
3 885
+157%
2 896
-25%
2 578
-11%
(70)
N/A
3 139
N/A
666
-79%
4 714
+607%
2 575
-45%
6 328
+146%
961
-85%
6 829
+610%
(119)
N/A
5 297
N/A
1 436
-73%
9 732
+578%
(641)
N/A
9 341
N/A
(71)
N/A
5 533
N/A
867
-84%
10 469
+1 107%
4 067
-61%
12 857
+216%

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