Luxi Chemical Group Co., Ltd.

000830.SZ · SHZ
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net IncomeCN¥2,031CN¥819CN¥3,156CN¥4,620
Dep. & Amort.CN¥2,224CN¥2,308CN¥2,162CN¥2,084
Deferred TaxCN¥0CN¥0-CN¥176-CN¥25
Stock-Based Comp.CN¥0-CN¥10CN¥28CN¥0
Change in WC-CN¥597CN¥439-CN¥788CN¥1,680
Other Non-CashCN¥280CN¥309CN¥734CN¥1,080
Operating Cash FlowCN¥3,939CN¥3,865CN¥5,116CN¥9,464
Investing Activities
PP&E Inv.-CN¥2,533-CN¥3,489-CN¥4,462-CN¥3,761
Net AcquisitionsCN¥0CN¥0CN¥105CN¥77
Inv. PurchasesCN¥0CN¥0-CN¥105-CN¥77
Inv. Sales/Matur.CN¥0CN¥4CN¥8CN¥12
Other Inv. Act.CN¥119CN¥57CN¥105CN¥77
Investing Cash Flow-CN¥2,414-CN¥3,428-CN¥4,350-CN¥3,672
Financing Activities
Debt Repay.-CN¥565CN¥1,361CN¥3,182-CN¥2,634
Stock IssuedCN¥0CN¥0CN¥0CN¥0
Stock Repurch.-CN¥44-CN¥47CN¥0CN¥0
Dividends Paid-CN¥585-CN¥1,671-CN¥4,179-CN¥1,434
Other Fin. Act.-CN¥6CN¥21-CN¥189-CN¥2,140
Financing Cash Flow-CN¥1,199-CN¥336-CN¥845-CN¥5,725
Forex EffectCN¥13CN¥6CN¥10-CN¥0
Net Chg. in CashCN¥339CN¥108-CN¥69CN¥66
Supplemental Information
Beg. CashCN¥382CN¥274CN¥344CN¥277
End CashCN¥721CN¥382CN¥274CN¥344
Free Cash FlowCN¥1,406CN¥375CN¥654CN¥5,704