HK Stock MarketDetailed Quotes

CSC (06066)

Watchlist
  • 11.620
  • +0.460+4.12%
Market Closed Apr 30 16:08 CST
90.13BMarket Cap7.06P/E (TTM)

CSC (06066) Cash Flow

All
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q9)Sep 30, 2025
(Q6)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q9)Sep 30, 2024
(Q6)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
Cash flow from operating activities
Earning before tax
----
35.06%11.74B
----
66.85%5.32B
----
3.80%8.69B
----
-38.28%3.19B
----
-11.62%8.37B
Profit adjustment
Interest expense - adjustment
----
10.80%4.78B
----
12.44%2.34B
----
--4.31B
----
6.47%2.08B
----
----
Dividend (income)- adjustment
----
-37.16%-3.02B
----
-21.31%-1.36B
----
9.00%-2.2B
----
8.63%-1.12B
----
-28.42%-2.42B
Attributable subsidiary (profit) loss
----
60.77%-3.26M
----
73.28%-1.66M
----
-12.82%-8.32M
----
-5,660.19%-6.22M
----
45.45%-7.37M
Impairment and provisions:
----
180.75%306.08M
----
-2.44%97.88M
----
189.42%109.02M
----
804.31%100.33M
----
-139.23%-121.93M
-Impairment of property, plant and equipment (reversal)
----
1,961.64%2.96M
----
----
----
---159K
----
----
----
----
-Other impairments and provisions
----
177.63%303.12M
----
-2.44%97.88M
----
189.55%109.18M
----
804.31%100.33M
----
-139.23%-121.93M
Revaluation surplus:
----
-150.75%-339.82M
----
100.54%6.91M
----
93.92%-135.52M
----
33.79%-1.28B
----
-251.15%-2.23B
-Other fair value changes
----
-150.75%-339.82M
----
100.54%6.91M
----
93.92%-135.52M
----
33.79%-1.28B
----
-251.15%-2.23B
Asset sale loss (gain):
----
48.85%-207.28M
----
-17.83%-225.36M
----
-9.97%-405.22M
----
-65.11%-191.26M
----
-95.49%-368.48M
-Loss (gain) on sale of property, machinery and equipment
----
----
----
-270.64%-831K
----
----
----
342.29%487K
----
-230.79%-2.01M
-Loss (gain) from selling other assets
----
48.85%-207.28M
----
-17.10%-224.53M
----
-10.57%-405.22M
----
-65.81%-191.75M
----
-86.24%-366.47M
Depreciation and amortization:
----
-2.04%1.23B
----
-1.41%619.8M
----
10.19%1.25B
----
15.28%628.65M
----
12.30%1.14B
-Depreciation
----
-2.04%1.23B
----
-1.41%619.8M
----
10.19%1.25B
----
15.28%628.65M
----
12.30%1.14B
Exchange Loss (gain)
----
-219.11%-123.64M
----
-777.29%-49.45M
----
-564.02%-38.75M
----
87.12%-5.64M
----
-68.01%8.35M
Special items
----
----
----
----
----
----
----
----
----
7.24%4.01B
Operating profit before the change of operating capital
----
24.02%14.36B
----
99.20%6.75B
----
38.16%11.58B
----
-21.66%3.39B
----
-39.92%8.38B
Change of operating capital
Financial assets at fair value (increase)decrease
----
31.39%19.46B
----
22.72%7.22B
----
157.12%14.81B
----
140.50%5.88B
----
12.07%-25.93B
Financial liabilities at fair value (increase)decrease
----
189.71%1.73B
----
63.13%-597.4M
----
4.22%-1.93B
----
-136.54%-1.62B
----
-135.42%-2.02B
Buy and sell back financial assets (increase) decrease
----
60.48%4.72B
----
160.19%5.5B
----
-74.62%2.94B
----
-37.49%-9.13B
----
280.96%11.6B
Special items for working capital changes
----
119.21%4.8B
----
458.44%27.29B
----
-3,262.07%-24.98B
----
-53.38%4.89B
----
-101.73%-743.07M
Cash  from business operations
----
1,766.36%45.07B
----
1,255.07%46.15B
----
127.72%2.41B
----
276.89%3.41B
----
-132.49%-8.71B
Other taxs
----
-73.88%-2.35B
----
-41.35%-1.1B
----
4.73%-1.35B
----
45.94%-780.79M
----
44.07%-1.42B
Special items of business
48.21%31.02B
----
218.95%57.95B
----
3,523.34%20.93B
----
517.32%18.17B
----
106.14%577.63M
----
Net cash from operations
48.21%31.02B
3,911.74%42.72B
218.95%57.95B
1,616.09%45.05B
3,523.34%20.93B
110.52%1.06B
517.32%18.17B
177.90%2.62B
106.14%577.63M
-141.71%-10.13B
Cash flow from investment activities
Dividend received - investment
----
----
31.71%261.05K
----
----
----
-27.93%198.19K
----
----
----
Purchase of fixed assets
-10.16%-43.89M
1.74%-529.44M
7.15%-218.42M
1.48%-130.79M
23.63%-39.84M
50.00%-538.84M
12.64%-235.24M
1.76%-132.75M
19.86%-52.16M
-97.05%-1.08B
Recovery of cash from investments
----
----
----
----
----
----
--2.3B
----
--4.37B
----
Cash on investment
73.47%-5.81B
-246.29%-52.51B
---40.75B
-2,150.43%-34.74B
---21.92B
-257.14%-15.16B
----
126.32%1.69B
----
80.92%-4.25B
Other items in the investment business
-82.47%114.74K
20.46%2.87B
411.77%1.87M
-20.73%914.51M
274.21%654.62K
-10.79%2.38B
7.40%366.24K
-20.76%1.15B
18.06%174.93K
28,488.13%2.67B
Net cash from investment operations
73.32%-5.86B
-276.63%-50.17B
-2,085.14%-40.96B
-1,350.65%-33.96B
-608.42%-21.96B
-401.87%-13.32B
199.31%2.06B
153.07%2.72B
343.35%4.32B
87.50%-2.65B
Net cash before financing
2,551.34%25.16B
39.19%-7.45B
-16.04%16.99B
107.62%11.09B
-120.96%-1.03B
4.10%-12.26B
414.58%20.23B
162.93%5.34B
143.77%4.9B
-520.83%-12.78B
Cash flow from financing activities
New borrowing
61.35%24.53B
120.63%60.9B
178.00%43.87B
217.39%23.82B
469.62%15.2B
225.53%27.6B
114.14%15.78B
29.42%7.51B
-30.09%2.67B
-3.64%8.48B
Refund
-119.06%-55.8B
----
-64.39%-99.61B
----
-4.46%-25.47B
----
9.63%-60.6B
----
-5.74%-24.38B
----
Issuance of bonds
272.05%58.86B
18.18%116.16B
61.39%73.75B
-19.05%32.95B
-3.60%15.82B
-0.64%98.28B
-33.18%45.7B
-12.50%40.71B
-39.26%16.41B
0.12%98.91B
Interest paid - financing
----
-7.48%-4.6B
----
-3.29%-1.62B
----
-5.38%-4.28B
----
19.93%-1.57B
----
-5.64%-4.06B
Dividends paid - financing
-72.67%-2.54B
30.50%-2.52B
9.97%-4.91B
-20.95%-852.21M
-14.86%-1.47B
-73.40%-3.63B
8.41%-5.45B
---704.6M
21.72%-1.28B
31.65%-2.09B
Absorb investment income
109.52%4.4B
----
30.00%9.1B
----
-53.33%2.1B
----
--7B
----
--4.5B
----
Other items of the financing business
96.87%-162.38M
-61.55%-154.04B
0.01%-5.51B
-33.57%-62.08B
-3,115.44%-5.18B
-5.48%-95.35B
-885.02%-5.51B
-7.90%-46.48B
17.30%-161.09M
10.10%-90.4B
Net cash from financing operations
2,834.79%29.28B
-29.77%15.89B
641.68%16.69B
-1,342.88%-7.78B
144.42%997.83M
108.73%22.63B
-240.51%-3.08B
-107.40%-538.99M
-137.81%-2.25B
7,940.64%10.84B
Effect of rate
-106.02%-2.15M
85.64%-98.42M
73.03%-182.59M
50.16%-113.18M
-86.21%35.71M
-24.38%-685.17M
-61.52%-677.05M
12.66%-227.08M
162.97%258.95M
-458.53%-550.88M
Net Cash
190,376.46%54.45B
-18.64%8.44B
96.33%33.68B
-31.05%3.31B
-101.08%-28.61M
633.93%10.37B
504.61%17.15B
500.58%4.8B
150.51%2.65B
-161.22%-1.94B
Begining period cash
28.97%216.64B
26.85%45.75B
29.35%167.98B
26.85%45.75B
29.35%167.98B
-6.46%36.07B
-8.73%129.86B
-6.46%36.07B
-8.73%129.86B
9.44%38.56B
Cash at the end
61.38%271.09B
18.22%54.09B
37.68%201.47B
20.44%48.95B
26.53%167.98B
26.85%45.75B
6.33%146.33B
9.54%40.64B
-2.82%132.77B
-6.46%36.07B
Cash balance analysis
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
CAS (2007)
IAS
CAS (2007)
IAS
CAS (2007)
IAS
CAS (2007)
IAS
CAS (2007)
IAS
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q9)Sep 30, 2025(Q6)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q9)Sep 30, 2024(Q6)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023
Cash flow from operating activities
Earning before tax ----35.06%11.74B----66.85%5.32B----3.80%8.69B-----38.28%3.19B-----11.62%8.37B
Profit adjustment
Interest expense - adjustment ----10.80%4.78B----12.44%2.34B------4.31B----6.47%2.08B--------
Dividend (income)- adjustment -----37.16%-3.02B-----21.31%-1.36B----9.00%-2.2B----8.63%-1.12B-----28.42%-2.42B
Attributable subsidiary (profit) loss ----60.77%-3.26M----73.28%-1.66M-----12.82%-8.32M-----5,660.19%-6.22M----45.45%-7.37M
Impairment and provisions: ----180.75%306.08M-----2.44%97.88M----189.42%109.02M----804.31%100.33M-----139.23%-121.93M
-Impairment of property, plant and equipment (reversal) ----1,961.64%2.96M---------------159K----------------
-Other impairments and provisions ----177.63%303.12M-----2.44%97.88M----189.55%109.18M----804.31%100.33M-----139.23%-121.93M
Revaluation surplus: -----150.75%-339.82M----100.54%6.91M----93.92%-135.52M----33.79%-1.28B-----251.15%-2.23B
-Other fair value changes -----150.75%-339.82M----100.54%6.91M----93.92%-135.52M----33.79%-1.28B-----251.15%-2.23B
Asset sale loss (gain): ----48.85%-207.28M-----17.83%-225.36M-----9.97%-405.22M-----65.11%-191.26M-----95.49%-368.48M
-Loss (gain) on sale of property, machinery and equipment -------------270.64%-831K------------342.29%487K-----230.79%-2.01M
-Loss (gain) from selling other assets ----48.85%-207.28M-----17.10%-224.53M-----10.57%-405.22M-----65.81%-191.75M-----86.24%-366.47M
Depreciation and amortization: -----2.04%1.23B-----1.41%619.8M----10.19%1.25B----15.28%628.65M----12.30%1.14B
-Depreciation -----2.04%1.23B-----1.41%619.8M----10.19%1.25B----15.28%628.65M----12.30%1.14B
Exchange Loss (gain) -----219.11%-123.64M-----777.29%-49.45M-----564.02%-38.75M----87.12%-5.64M-----68.01%8.35M
Special items ------------------------------------7.24%4.01B
Operating profit before the change of operating capital ----24.02%14.36B----99.20%6.75B----38.16%11.58B-----21.66%3.39B-----39.92%8.38B
Change of operating capital
Financial assets at fair value (increase)decrease ----31.39%19.46B----22.72%7.22B----157.12%14.81B----140.50%5.88B----12.07%-25.93B
Financial liabilities at fair value (increase)decrease ----189.71%1.73B----63.13%-597.4M----4.22%-1.93B-----136.54%-1.62B-----135.42%-2.02B
Buy and sell back financial assets (increase) decrease ----60.48%4.72B----160.19%5.5B-----74.62%2.94B-----37.49%-9.13B----280.96%11.6B
Special items for working capital changes ----119.21%4.8B----458.44%27.29B-----3,262.07%-24.98B-----53.38%4.89B-----101.73%-743.07M
Cash  from business operations ----1,766.36%45.07B----1,255.07%46.15B----127.72%2.41B----276.89%3.41B-----132.49%-8.71B
Other taxs -----73.88%-2.35B-----41.35%-1.1B----4.73%-1.35B----45.94%-780.79M----44.07%-1.42B
Special items of business 48.21%31.02B----218.95%57.95B----3,523.34%20.93B----517.32%18.17B----106.14%577.63M----
Net cash from operations 48.21%31.02B3,911.74%42.72B218.95%57.95B1,616.09%45.05B3,523.34%20.93B110.52%1.06B517.32%18.17B177.90%2.62B106.14%577.63M-141.71%-10.13B
Cash flow from investment activities
Dividend received - investment --------31.71%261.05K-------------27.93%198.19K------------
Purchase of fixed assets -10.16%-43.89M1.74%-529.44M7.15%-218.42M1.48%-130.79M23.63%-39.84M50.00%-538.84M12.64%-235.24M1.76%-132.75M19.86%-52.16M-97.05%-1.08B
Recovery of cash from investments --------------------------2.3B------4.37B----
Cash on investment 73.47%-5.81B-246.29%-52.51B---40.75B-2,150.43%-34.74B---21.92B-257.14%-15.16B----126.32%1.69B----80.92%-4.25B
Other items in the investment business -82.47%114.74K20.46%2.87B411.77%1.87M-20.73%914.51M274.21%654.62K-10.79%2.38B7.40%366.24K-20.76%1.15B18.06%174.93K28,488.13%2.67B
Net cash from investment operations 73.32%-5.86B-276.63%-50.17B-2,085.14%-40.96B-1,350.65%-33.96B-608.42%-21.96B-401.87%-13.32B199.31%2.06B153.07%2.72B343.35%4.32B87.50%-2.65B
Net cash before financing 2,551.34%25.16B39.19%-7.45B-16.04%16.99B107.62%11.09B-120.96%-1.03B4.10%-12.26B414.58%20.23B162.93%5.34B143.77%4.9B-520.83%-12.78B
Cash flow from financing activities
New borrowing 61.35%24.53B120.63%60.9B178.00%43.87B217.39%23.82B469.62%15.2B225.53%27.6B114.14%15.78B29.42%7.51B-30.09%2.67B-3.64%8.48B
Refund -119.06%-55.8B-----64.39%-99.61B-----4.46%-25.47B----9.63%-60.6B-----5.74%-24.38B----
Issuance of bonds 272.05%58.86B18.18%116.16B61.39%73.75B-19.05%32.95B-3.60%15.82B-0.64%98.28B-33.18%45.7B-12.50%40.71B-39.26%16.41B0.12%98.91B
Interest paid - financing -----7.48%-4.6B-----3.29%-1.62B-----5.38%-4.28B----19.93%-1.57B-----5.64%-4.06B
Dividends paid - financing -72.67%-2.54B30.50%-2.52B9.97%-4.91B-20.95%-852.21M-14.86%-1.47B-73.40%-3.63B8.41%-5.45B---704.6M21.72%-1.28B31.65%-2.09B
Absorb investment income 109.52%4.4B----30.00%9.1B-----53.33%2.1B------7B------4.5B----
Other items of the financing business 96.87%-162.38M-61.55%-154.04B0.01%-5.51B-33.57%-62.08B-3,115.44%-5.18B-5.48%-95.35B-885.02%-5.51B-7.90%-46.48B17.30%-161.09M10.10%-90.4B
Net cash from financing operations 2,834.79%29.28B-29.77%15.89B641.68%16.69B-1,342.88%-7.78B144.42%997.83M108.73%22.63B-240.51%-3.08B-107.40%-538.99M-137.81%-2.25B7,940.64%10.84B
Effect of rate -106.02%-2.15M85.64%-98.42M73.03%-182.59M50.16%-113.18M-86.21%35.71M-24.38%-685.17M-61.52%-677.05M12.66%-227.08M162.97%258.95M-458.53%-550.88M
Net Cash 190,376.46%54.45B-18.64%8.44B96.33%33.68B-31.05%3.31B-101.08%-28.61M633.93%10.37B504.61%17.15B500.58%4.8B150.51%2.65B-161.22%-1.94B
Begining period cash 28.97%216.64B26.85%45.75B29.35%167.98B26.85%45.75B29.35%167.98B-6.46%36.07B-8.73%129.86B-6.46%36.07B-8.73%129.86B9.44%38.56B
Cash at the end 61.38%271.09B18.22%54.09B37.68%201.47B20.44%48.95B26.53%167.98B26.85%45.75B6.33%146.33B9.54%40.64B-2.82%132.77B-6.46%36.07B
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards CAS (2007)IASCAS (2007)IASCAS (2007)IASCAS (2007)IASCAS (2007)IAS

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

Market Insights
China and the US begin implementing the Kuala Lumpur economic and trade consultation consensus.
China and the United States have successively adjusted multiple tariff and non-tariff measures, beginning to implement the consensus outcome Show More