¥6.54
¥-0.07 (-1.06%)
End-of-day quote: 05/08/2024
SHSE:601390

China Railway Group Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007
Rev. Revenue
¥1.26T ¥1.15T ¥1.07T ¥974.75B ¥850.84B ¥740.38B ¥693.37B ¥643.36B ¥624.10B ¥611.96B ¥560.12B ¥483.79B ¥460.58B ¥473.65B ¥346.89B ¥234.57B ¥184.15B
GM % Gross Margin %
10.20% 9.96% 10.12% 9.79% 9.39% 9.68% 9.88% 9.01% 11.11% 11.07% 10.39% 10.74% 15.65% 8.95% 9.15% 10.40% 10.01%
OM Operating Margin
4.25% 3.98% 3.91% 3.97% 3.74% 3.66% 3.11% 2.82% 2.93% 2.90% 2.63% 2.76% 2.64% 2.26% 2.37% 2.92% 2.34%
EPS Earnings Per Share
¥0.00 ¥1.19 ¥1.08 ¥0.97 ¥0.83 ¥0.70 ¥0.66 ¥0.66 ¥0.44 ¥0.48 ¥0.46 ¥0.44 ¥0.35 ¥0.30 ¥0.31 ¥0.25 ¥0.20 ¥0.07
Div. Dividends
¥0.21 ¥0.20 ¥0.20 ¥0.18 ¥0.17 ¥0.13 ¥0.11 ¥0.09 ¥0.09 ¥0.08 ¥0.07 ¥0.05 ¥0.05 ¥0.06 ¥0.06 ¥0.00 ¥0.00
PR % Payout Ratio %
17.65% 18.52% 20.62% 21.69% 24.29% 19.70% 16.67% 20.45% 18.75% 17.39% 15.91% 14.29% 16.67% 19.35% 24.00% 0.00% 0.00%
Sha. Shares
0m 24752.2m 24570.93m 24570.93m 24570.93m 22844.3m 22844.3m 22844.3m 22844.3m 21299.9m 21299.9m 21299.9m 21299.9m 21299.9m 21299.9m 21299.9m 21299.9m
OCF Operating Cash Flow
¥38.36B ¥43.55B ¥13.07B ¥30.99B ¥22.20B ¥11.96B ¥33.22B ¥54.50B ¥30.56B ¥19.45B ¥8.00B ¥-4185.77M ¥-13480.35M ¥1.01B ¥18.96B ¥780.11M ¥-55.55M
FCF Free Cash Flow
¥7.10B ¥-16192.40M ¥-40643.50M ¥-10627.46M ¥-17981.00M ¥-5357.49M ¥19.32B ¥43.61B ¥16.81B ¥7.11M ¥-2545.00M ¥-13212.00M ¥-24443.00M ¥-12656.37M ¥2.62B ¥-13786.09M ¥-11081.23M
FCFS Free Cash Flow Per Share
¥0.00 ¥-0.76 ¥-1.75 ¥-0.50 ¥0.15 ¥-0.28 ¥0.79 ¥1.83 ¥0.71 ¥0.46 ¥-0.09 ¥-0.65 ¥-1.12 ¥-0.65 ¥0.12 ¥-0.65 ¥-0.83