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Annual
Reporting Year March 31 2023
1、Cash Flows From Operating Activities
Cash Received From Sales of Goods and Rendering of Services 177,778,813.37
Tax Rebates Received 1,789,340.62
Other Cash Received Concerning Operating Activities 16,033,171.35
Sub-total of Cash Inflows from Operating Activities 195,604,892.02
Cash Paid For Goods Purchased and Services Received 213,424,560.91
Cash Paid to and For Employees 44,655,428.38
Cash Paid For Taxes and Surcharges 8,691,067.92
Other Paid Cash Relevant To Operating Activities 25,032,488.48
Sub-Total of Cash Outflow From Operating Activities 292,516,882.09
Net Cash Flow From Operating Activities -96,911,990.07
2、Cash Flow From Investing Activities
Cash Received From Sales of Investments --
Investment Income Received 862,481.98
Net Cash From Disposal of Fixed Assets, Intangible Assets and Other Long-term Assets 43,000.00
Net Cash Received From Disposal of Subsidiaries and Other Business Units --
Other Cash Received Relating to Investing Activities --
Sub-Total of Cash inflow From Investing Activities 905,481.98
Cash Paid For Purchase and Construction of Fixed Assets, Intangible Assets and Other Long-term Assets 14,428,387.80
Cash Paid For Acquisition of Investments --
Net Cash Paid For Acquisition of Subsidiaries and Other Business Units --
Other Cash Paid Relating to Investing Activities --
Sub-Total of Cash Outflows From Investing Activities 14,428,387.80
Net Cash Flows From Investing Activities -13,522,905.82
3、Cash Flows From Financing Activities 5,866,747.45
Cash Received From Capital Contributions --
Borrowings Received 55,000,000.00
Amounts Of Other Received Cash Relevant to Financing Activities 8,828,158.28
Sub-Total of Cash Inflows From Financing Activities 63,828,158.28
Repayment Of Borrowings 55,817,606.34
Cash Paid For Dividend and Profit Distribution Or Interest Payment 1,733,599.07
Other Cash Payments Relating Financing Activities 410,205.42
other cash payments relating to financing activites 57,961,410.83
Sub-Total of Cash Ouflows From Financiing Activities 5,866,747.45
4、Foreign Exchange Rate Fluctuation Consequences On Cash --
4(2)、Other Reasons to The Influence of Cash
5、Net Increase In Cash and Cash Equivalents
The Initial Cash and Cash Equivalents Balance 350,492,057.79
The Final Cash and Cash Equivalents Balance 245,923,909.35
Note:1、Note:Adjusting Net Profit to Determine Cash Flows From Operating Activities --
Net profit --
ADD:Provision For Assets Impairment --
Depreciations Of Fixed Assets, Oil & Gas Gssets, and Capitalized Biological Assets --
Amortization of Intangible Asset --
Amortization Of Long-Term Expenses Prepayments --
Losses On Disposal Of Fixed Intangible And Other Long-Term Assets (LESS: Income) --
Losses On Fixed Assets Written Off --
Loss On Change In Fair Value --
Financial Expenses --
Losses On Investment --
Decrease of Deferred Tax Assets --
Increase of Deferred Tax Liabilities --
Decrease of Inventories --
Decrease of Receivables In Operating (LESS: Increase) --
Increase of Payables In Operating (LESS: Decrease) --
Others --
Net Cash Flows From Operating Activities --
2、Supplementary Material: 2. Investment And Financing Activities Involving No Cash Incomings / Outgoings --
Conversion of Debt Into Capital --
Reclassification of Convertible Bonds Expiring Within One Year As Current Liability --
Fixed Assets Acquired Under Finance Leases --
3、Net Increase In Cash and Cash Equivalents --
The Final Cash --
LESS:The Initial Cash --
ADD:The Final Cash and Cash Equivalents Balance --
LESS:The Initial Cash and Cash Equivalents Balance --
ADD:Other Reasons to The Influence of Cash --
Net Increase In Cash and Cash Equivalents --
Currency in : RMB