LB Group Co., Ltd.

002601.SZ · SHZ
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net IncomeCN¥2,240CN¥3,226CN¥3,537CN¥4,735
Dep. & Amort.CN¥3,055CN¥2,503CN¥1,710CN¥1,497
Deferred TaxCN¥0CN¥0-CN¥17-CN¥137
Stock-Based Comp.CN¥0CN¥0CN¥0CN¥0
Change in WC-CN¥2,899-CN¥3,216-CN¥2,455-CN¥2,477
Other Non-CashCN¥1,400CN¥892CN¥405CN¥574
Operating Cash FlowCN¥3,797CN¥3,404CN¥3,197CN¥4,328
Investing Activities
PP&E Inv.-CN¥1,583-CN¥2,941-CN¥4,679-CN¥2,758
Net AcquisitionsCN¥19-CN¥755-CN¥8-CN¥370
Inv. Purchases-CN¥88-CN¥1,244-CN¥273-CN¥2,224
Inv. Sales/Matur.CN¥83CN¥1,317CN¥76CN¥98
Other Inv. Act.CN¥9CN¥646-CN¥705CN¥10
Investing Cash Flow-CN¥1,559-CN¥2,977-CN¥5,588-CN¥5,245
Financing Activities
Debt Repay.CN¥857CN¥3,250CN¥4,591CN¥693
Stock Issued-CN¥185CN¥0CN¥17CN¥4,463
Stock Repurch.-CN¥113-CN¥1-CN¥17-CN¥23
Dividends Paid-CN¥2,933-CN¥2,777-CN¥3,157-CN¥2,904
Other Fin. Act.CN¥1,166-CN¥1,692CN¥1,459CN¥3,502
Financing Cash Flow-CN¥1,209-CN¥1,220CN¥2,893CN¥1,291
Forex EffectCN¥69-CN¥13CN¥42-CN¥20
Net Chg. in CashCN¥1,098-CN¥804CN¥544CN¥355
Supplemental Information
Beg. CashCN¥1,601CN¥2,406CN¥1,862CN¥1,506
End CashCN¥2,699CN¥1,601CN¥2,406CN¥1,862
Free Cash FlowCN¥2,215CN¥464-CN¥1,482CN¥1,570
LB Group Co., Ltd. (002601.SZ) Financial Statements & Key Stats | AlphaPilot