C

China National Building Material Co Ltd
SWB:D1Y

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China National Building Material Co Ltd
SWB:D1Y
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Price: 0.527 EUR -1.86% Market Closed
Market Cap: €13.5B

Cash Flow Statement

Cash Flow Statement
China National Building Material Co Ltd

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Cash Flow Statement
Currency: CNY
Dec-2017 Jun-2018 Dec-2018 Jun-2019 Dec-2019 Jun-2020 Dec-2020 Jun-2021 Dec-2021 Jun-2022 Dec-2022 Jun-2023 Dec-2023 Jun-2024 Dec-2024 Jun-2025 Dec-2025
Operating Cash Flow
Net Income
14 048
0
20 192
0
27 448
0
30 060
0
33 709
0
17 433
0
12 520
0
9 493
0
1 167
Depreciation & Amortization
11 351
0
13 004
0
14 138
0
14 499
0
14 827
0
15 588
0
16 179
0
16 013
0
16 181
Stock-Based Compensation
0
0
0
0
0
0
6
0
0
0
43
0
68
0
45
0
9
Other Non-Cash Items
13 137
0
20 095
0
18 789
0
13 935
0
8 592
0
738
0
4 337
0
2 750
0
11 597
Cash Taxes Paid
3 354
0
5 961
0
8 872
0
8 528
0
8 869
0
5 917
0
3 349
0
2 472
0
2 876
Cash Interest Paid
12 195
12 676
12 316
10 534
9 469
8 747
8 476
6 620
8 489
8 086
7 566
6 233
6 342
5 509
5 994
5 848
5 699
Change in Working Capital
(13 237)
32 645
(4 760)
51 001
3 042
65 711
5 755
59 444
(7 114)
45 698
(7 490)
23 777
(4 012)
23 638
(5 060)
22 583
(6 427)
Cash from Operating Activities
25 299
N/A
32 645
+29%
48 531
+49%
51 001
+5%
63 417
+24%
65 711
+4%
64 249
-2%
59 444
-7%
50 015
-16%
45 698
-9%
26 846
-41%
23 777
-11%
29 025
+22%
23 638
-19%
23 196
-2%
22 583
-3%
22 518
0%
Investing Cash Flow
Capital Expenditures
(14 708)
(14 670)
(17 400)
(20 845)
(27 349)
(26 945)
(27 910)
(35 077)
(36 936)
(33 869)
(31 902)
(28 748)
(22 043)
(21 797)
(21 800)
(17 256)
(14 356)
Other Items
5 296
2 920
1 148
2 625
699
(319)
(1 393)
0
1 324
2 688
5 933
4 682
(5 296)
(6 401)
1 524
4 641
4 987
Cash from Investing Activities
(9 412)
N/A
(11 750)
-25%
(16 252)
-38%
(18 221)
-12%
(26 650)
-46%
(27 265)
-2%
(29 302)
-7%
(35 076)
-20%
(35 612)
-2%
(31 182)
+12%
(25 969)
+17%
(24 066)
+7%
(27 339)
-14%
(28 198)
-3%
(20 277)
+28%
(12 614)
+38%
(9 369)
+26%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
41
0
0
0
0
0
0
(3 204)
(3 212)
Net Issuance of Debt
(10 024)
(14 121)
(18 880)
(28 893)
(20 600)
(16 858)
(13 208)
(2 072)
4 768
12 710
6 934
6 409
10 574
7 166
6 204
6 129
246
Cash Paid for Dividends
(339)
(951)
(843)
(1 518)
(1 518)
(2 952)
(2 953)
(3 964)
(4 087)
(5 845)
(6 335)
(3 188)
(3 188)
(1 932)
(1 932)
(1 200)
(1 200)
Other
(7 741)
(8 866)
(15 137)
(9 387)
(11 392)
(13 226)
(12 780)
(15 573)
(17 489)
(10 848)
(3 253)
(9 419)
(8 464)
(7 931)
(10 842)
(10 462)
(8 657)
Cash from Financing Activities
(18 105)
N/A
(23 937)
-32%
(34 860)
-46%
(39 798)
-14%
(33 510)
+16%
(33 037)
+1%
(28 941)
+12%
(21 609)
+25%
(16 767)
+22%
(3 983)
+76%
(2 655)
+33%
(6 198)
-133%
(1 078)
+83%
(2 696)
-150%
(6 570)
-144%
(8 736)
-33%
(12 823)
-47%
Change in Cash
Effect of Foreign Exchange Rates
(319)
(434)
112
314
(101)
(140)
(375)
(512)
(326)
(65)
28 610
28 452
(167)
(459)
(246)
254
(18)
Net Change in Cash
(2 537)
N/A
(3 476)
-37%
(2 469)
+29%
(6 704)
-172%
3 156
N/A
5 269
+67%
5 630
+7%
2 247
-60%
(2 690)
N/A
10 469
N/A
26 832
+156%
21 965
-18%
440
-98%
(7 716)
N/A
(3 897)
+49%
1 487
N/A
308
-79%
Free Cash Flow
Free Cash Flow
10 591
N/A
17 974
+70%
31 131
+73%
30 156
-3%
36 068
+20%
38 766
+7%
36 339
-6%
24 368
-33%
13 079
-46%
11 829
-10%
(5 057)
N/A
(4 971)
+2%
6 982
N/A
1 841
-74%
1 396
-24%
5 327
+282%
8 162
+53%
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