C

CITIC Heavy Industries Co Ltd
SSE:601608

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CITIC Heavy Industries Co Ltd
SSE:601608
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Price: 7.36 CNY -0.54% Market Closed
Market Cap: ¥33.7B

Cash Flow Statement

Cash Flow Statement
CITIC Heavy Industries Co Ltd

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Cash Flow Statement
Currency: CNY
Jun-2012 Sep-2012 Dec-2012 Mar-2013 Jun-2013 Sep-2013 Dec-2013 Mar-2014 Jun-2014 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 Dec-2024 Mar-2025 Jun-2025 Sep-2025
Operating Cash Flow
Cash Taxes Paid
201
131
(529)
(448)
(451)
(345)
(353)
(341)
(264)
(257)
(191)
(144)
(145)
(165)
(166)
(208)
(241)
(201)
(206)
(196)
(156)
(157)
(155)
(251)
(288)
(287)
(259)
(262)
(215)
(239)
(272)
(182)
(198)
(225)
(216)
(260)
(271)
(257)
(239)
(274)
(312)
(345)
(361)
(325)
(311)
(256)
(248)
(256)
(267)
(219)
(180)
(127)
(85)
(122)
Change in Working Capital
14
19
(1 068)
(1 224)
(1 443)
(1 838)
(838)
(789)
(846)
(937)
(1 019)
(1 165)
(1 006)
(944)
(1 236)
(1 057)
(1 203)
(1 009)
(1 247)
(1 187)
(1 167)
(1 251)
(868)
(945)
(934)
(1 078)
(981)
(1 061)
(1 033)
(1 052)
(1 134)
(1 110)
(1 070)
(1 038)
(1 034)
(1 091)
(1 191)
(1 248)
(1 228)
(1 261)
(1 236)
(1 273)
(1 229)
(1 225)
(1 242)
(1 260)
(1 318)
(1 418)
(1 428)
(1 454)
(1 516)
(1 524)
(1 570)
(1 555)
Cash from Operating Activities
1 042
N/A
1 067
+2%
828
-22%
681
-18%
84
-88%
(133)
N/A
46
N/A
106
+133%
99
-7%
47
-52%
(365)
N/A
(553)
-52%
(356)
+36%
(358)
-1%
56
N/A
255
+359%
16
-94%
83
+407%
(688)
N/A
(304)
+56%
(165)
+46%
178
N/A
771
+333%
387
-50%
488
+26%
418
-14%
724
+73%
630
-13%
725
+15%
617
-15%
451
-27%
499
+11%
666
+33%
540
-19%
605
+12%
418
-31%
440
+5%
539
+23%
682
+26%
837
+23%
1 410
+68%
1 470
+4%
1 213
-17%
1 341
+11%
946
-29%
1 123
+19%
1 200
+7%
1 358
+13%
954
-30%
624
-35%
816
+31%
382
-53%
303
-21%
549
+81%
Investing Cash Flow
Capital Expenditures
(5)
17
(696)
(782)
(722)
(742)
(227)
(154)
(149)
(184)
(162)
(168)
(147)
(27)
(474)
(427)
(435)
(440)
(457)
(457)
(428)
(426)
(330)
(366)
(369)
(415)
(350)
(270)
(325)
(359)
(401)
(444)
(453)
(460)
(368)
(344)
(291)
(229)
(315)
(278)
(250)
(221)
(133)
(141)
(140)
(137)
(147)
(132)
(161)
(175)
(233)
(286)
(360)
(382)
Other Items
(1 210)
(1 833)
(608)
(593)
(456)
(210)
(124)
(216)
6
106
(780)
(845)
(517)
(399)
649
(189)
(535)
(384)
(718)
51
73
(146)
(120)
395
838
876
644
279
(441)
(248)
216
204
311
151
89
77
98
175
101
113
149
(84)
(33)
(3)
10
109
107
80
50
(313)
(107)
44
53
90
Cash from Investing Activities
(1 215)
N/A
(1 816)
-49%
(1 304)
+28%
(1 375)
-5%
(1 178)
+14%
(951)
+19%
(350)
+63%
(369)
-5%
(143)
+61%
(78)
+46%
(942)
-1 114%
(1 013)
-8%
(664)
+34%
(426)
+36%
175
N/A
(616)
N/A
(970)
-58%
(825)
+15%
(1 174)
-42%
(407)
+65%
(355)
+13%
(572)
-61%
(450)
+21%
29
N/A
470
+1 514%
461
-2%
295
-36%
8
-97%
(766)
N/A
(606)
+21%
(185)
+69%
(241)
-30%
(141)
+41%
(309)
-119%
(279)
+10%
(267)
+4%
(193)
+28%
(54)
+72%
(214)
-294%
(165)
+23%
(101)
+39%
(304)
-201%
(165)
+46%
(144)
+13%
(130)
+10%
(27)
+79%
(40)
-48%
(51)
-26%
(111)
-117%
(488)
-340%
(340)
+30%
(241)
+29%
(306)
-27%
(292)
+5%
Financing Cash Flow
Net Issuance of Debt
354
296
(88)
576
858
839
1 016
321
(5)
691
1 243
1 226
1 398
1 091
337
234
604
90
954
722
425
1 296
(436)
(347)
(10)
(1 505)
(298)
(110)
(807)
(149)
(216)
(502)
(278)
315
(1 343)
(1 295)
(1 840)
(2 021)
(241)
(627)
(400)
(491)
(1 261)
(1 433)
(1 439)
(2 163)
(1 570)
(1 025)
(586)
(201)
(234)
(49)
(288)
(221)
Cash Paid for Dividends
(28)
(36)
(217)
(202)
(179)
(303)
(308)
(387)
(421)
(407)
(393)
(414)
(430)
(475)
(472)
(516)
(488)
(410)
(473)
(411)
(414)
(327)
(329)
(388)
(418)
(480)
(459)
(363)
(367)
(345)
(330)
(315)
(302)
(305)
(284)
(252)
(212)
(219)
(223)
(219)
(204)
(211)
(194)
(182)
(169)
(82)
(116)
(105)
(223)
(218)
(166)
(164)
(45)
(175)
Other
0
3 097
3 376
3 371
3 366
265
(6)
0
0
0
53
0
0
0
865
0
0
658
31
46
123
230
(6)
0
(99)
(12)
(12)
(7)
(6)
6
107
102
105
111
(31)
0
0
(47)
(40)
0
(50)
(44)
(39)
(29)
(37)
(85)
(6)
0
(12)
851
791
783
794
(25)
Cash from Financing Activities
327
N/A
3 354
+927%
3 071
-8%
3 745
+22%
4 046
+8%
800
-80%
702
-12%
(67)
N/A
(422)
-529%
293
N/A
902
+208%
865
-4%
1 020
+18%
668
-34%
730
+9%
583
-20%
981
+68%
338
-66%
512
+51%
357
-30%
133
-63%
1 200
+802%
(771)
N/A
(756)
+2%
(526)
+30%
(1 997)
-280%
(769)
+61%
(480)
+38%
(1 179)
-145%
(488)
+59%
(439)
+10%
(716)
-63%
(476)
+34%
120
N/A
(1 658)
N/A
(1 578)
+5%
(2 086)
-32%
(2 287)
-10%
(505)
+78%
(886)
-76%
(653)
+26%
(747)
-14%
(1 494)
-100%
(1 643)
-10%
(1 645)
0%
(2 330)
-42%
(1 692)
+27%
(1 147)
+32%
(820)
+28%
431
N/A
391
-9%
570
+46%
461
-19%
(422)
N/A
Change in Cash
Effect of Foreign Exchange Rates
0
0
10
0
0
0
5
6
0
0
(23)
0
0
0
(24)
0
(22)
0
26
28
24
18
(9)
(12)
(8)
0
1
0
1
(1)
0
(0)
(3)
(3)
(1)
2
4
0
(4)
(2)
(13)
(14)
(12)
(17)
35
1
3
5
(34)
0
2
12
12
16
Net Change in Cash
154
N/A
2 605
+1 597%
2 606
+0%
3 051
+17%
2 952
-3%
(284)
N/A
403
N/A
(325)
N/A
(466)
-43%
263
N/A
(428)
N/A
(701)
-64%
0
N/A
(115)
N/A
937
N/A
223
-76%
6
-97%
(404)
N/A
(1 324)
-228%
(325)
+75%
(363)
-12%
824
N/A
(459)
N/A
(352)
+23%
424
N/A
(1 117)
N/A
251
N/A
158
-37%
(1 219)
N/A
(477)
+61%
(173)
+64%
(457)
-165%
46
N/A
348
+659%
(1 333)
N/A
(1 425)
-7%
(1 836)
-29%
(1 801)
+2%
(40)
+98%
(217)
-438%
643
N/A
406
-37%
(458)
N/A
(464)
-1%
(795)
-71%
(1 234)
-55%
(529)
+57%
165
N/A
(11)
N/A
568
N/A
869
+53%
722
-17%
470
-35%
(148)
N/A
Free Cash Flow
Free Cash Flow
1 037
N/A
1 084
+5%
132
-88%
(101)
N/A
(638)
-532%
(875)
-37%
(181)
+79%
(48)
+74%
(49)
-4%
(136)
-176%
(527)
-287%
(721)
-37%
(502)
+30%
(384)
+24%
(418)
-9%
(172)
+59%
(419)
-144%
(358)
+15%
(1 145)
-220%
(761)
+34%
(593)
+22%
(248)
+58%
440
N/A
21
-95%
120
+470%
3
-98%
375
+12 814%
360
-4%
401
+11%
259
-35%
50
-81%
55
+10%
214
+289%
80
-63%
237
+197%
74
-69%
148
+101%
311
+110%
367
+18%
559
+52%
1 159
+107%
1 250
+8%
1 080
-14%
1 200
+11%
805
-33%
986
+22%
1 053
+7%
1 226
+16%
793
-35%
449
-43%
582
+30%
97
-83%
(56)
N/A
167
N/A