Red Avenue New Materials Group Co., Ltd.

603650.SS · SHH
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net IncomeCN¥534CN¥407CN¥281CN¥310
Dep. & Amort.CN¥161CN¥150CN¥128CN¥97
Deferred TaxCN¥0CN¥0-CN¥12-CN¥208
Stock-Based Comp.CN¥43CN¥4CN¥4CN¥7
Change in WC-CN¥244-CN¥212-CN¥200CN¥67
Other Non-Cash-CN¥252-CN¥164-CN¥97CN¥72
Operating Cash FlowCN¥243CN¥184CN¥103CN¥345
Investing Activities
PP&E Inv.-CN¥256-CN¥170-CN¥363-CN¥698
Net AcquisitionsCN¥0CN¥0-CN¥112-CN¥118
Inv. Purchases-CN¥662CN¥0-CN¥564-CN¥1,709
Inv. Sales/Matur.CN¥140CN¥247CN¥485CN¥1,509
Other Inv. Act.CN¥1CN¥37CN¥19CN¥23
Investing Cash Flow-CN¥777CN¥114-CN¥536-CN¥993
Financing Activities
Debt Repay.CN¥1,134CN¥85CN¥481CN¥785
Stock IssuedCN¥0CN¥0CN¥33-CN¥0
Stock Repurch.-CN¥111-CN¥30-CN¥33CN¥0
Dividends Paid-CN¥585-CN¥124-CN¥125-CN¥249
Other Fin. Act.-CN¥67-CN¥50-CN¥20-CN¥5
Financing Cash FlowCN¥371-CN¥12CN¥303CN¥532
Forex EffectCN¥6CN¥7CN¥26-CN¥6
Net Chg. in Cash-CN¥158CN¥291-CN¥104-CN¥122
Supplemental Information
Beg. CashCN¥661CN¥371CN¥474CN¥597
End CashCN¥503CN¥661CN¥371CN¥474
Free Cash Flow-CN¥13CN¥14-CN¥260-CN¥354