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DONGFANG ELEC (01072)

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  • 39.940
  • +0.860+2.20%
Noon Break May 4 11:59 CST
138.13BMarket Cap28.61P/E (TTM)

DONGFANG ELEC (01072) 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
----
20.64%3.97B
----
13.95%2.06B
----
-9.78%3.29B
----
-13.72%1.81B
----
20.90%3.64B
Profit adjustment
Investment loss (gain)
----
45.02%-867.12M
----
-456.01%-141.07M
----
-110.80%-1.58B
----
122.31%39.63M
----
-55.68%-748.15M
Impairment and provisions:
----
46.58%1.9B
----
172.39%666.5M
----
92.68%1.29B
----
-24.54%244.69M
----
342.22%671.59M
-Other impairments and provisions
----
46.58%1.9B
----
172.39%666.5M
----
92.68%1.29B
----
-24.54%244.69M
----
342.22%671.59M
Revaluation surplus:
----
-141.40%-84.52M
----
365.54%75.26M
----
340.01%204.16M
----
41.73%-28.34M
----
-238.22%-85.06M
-Other fair value changes
----
-141.40%-84.52M
----
365.54%75.26M
----
340.01%204.16M
----
41.73%-28.34M
----
-238.22%-85.06M
Asset sale loss (gain):
----
63.87%-5.95M
----
-2,907.99%-3.5M
----
-68.44%-16.45M
----
97.61%-116.26K
----
80.54%-9.77M
-Loss (gain) on sale of property, machinery and equipment
----
63.87%-5.95M
----
-2,907.99%-3.5M
----
-68.44%-16.45M
----
97.61%-116.26K
----
80.54%-9.77M
Depreciation and amortization:
----
4.94%1.17B
----
9.05%550.72M
----
27.40%1.12B
----
14.62%504.99M
----
-1.13%876.11M
-Amortization of intangible assets
----
18.00%158.4M
----
9.14%70.76M
----
13.25%134.24M
----
47.60%64.83M
----
-2.85%118.53M
-Other depreciation and amortization
----
289.05%10.89M
----
600.02%2.49M
----
268.67%2.8M
----
-26.49%356.35K
----
12.87%759.19K
Financial expense
----
-30.73%61.58M
----
-92.78%3.53M
----
1,092.92%88.9M
----
211.61%48.95M
----
110.10%7.45M
Change of operating capital
Inventory (increase) decrease
----
-24.98%-4.44B
----
-495.60%-5.6B
----
-636.97%-3.55B
----
355.55%1.42B
----
8.82%660.88M
Accounts receivable (increase)decrease
----
-255.41%-4.9B
----
-52.90%-7.28B
----
139.92%3.15B
----
63.88%-4.76B
----
-222.85%-7.89B
Accounts payable increase (decrease)
----
-11.86%5.37B
----
86.84%9.23B
----
1,022.26%6.1B
----
-44.07%4.94B
----
-109.90%-661.11M
Special items of business
18.06%-2.7B
-339.50%-165.17M
-161.30%-3.7B
19.52%-122.03M
-365.42%-3.29B
-187.49%-37.58M
297.68%6.04B
-259.31%-151.63M
148.66%1.24B
-91.22%42.96M
Net cash from operations
18.06%-2.7B
-79.98%2.01B
-161.30%-3.7B
-113.69%-556.47M
-365.42%-3.29B
387.75%10.06B
297.68%6.04B
283.76%4.06B
148.66%1.24B
-141.58%-3.5B
Cash flow from investment activities
Dividend received - investment
----
9.41%131.3M
223.21%66.21M
-77.34%1.89M
--4.63K
6.55%120.01M
-58.20%20.48M
284.31%8.36M
----
-37.18%112.63M
Sale of fixed assets
-51.14%73.05K
-29.56%808.22K
-75.27%149.1K
508.41%149.38K
--149.52K
-87.53%1.15M
-92.85%602.87K
-99.67%24.55K
----
-66.12%9.2M
Purchase of fixed assets
-98.24%-544.67M
-42.85%-4.28B
-68.09%-1.29B
-42.34%-742.16M
-6.45%-274.76M
-170.17%-3B
-20.91%-768.61M
-47.69%-521.38M
-48.37%-258.1M
-48.37%-1.11B
Sale of subsidiaries
----
----
----
----
----
--492.57M
----
---8.49M
----
----
Recovery of cash from investments
-2.16%7.94B
-28.66%25.16B
42.55%22.58B
40.04%15.45B
44.85%8.11B
9.30%35.26B
-33.55%15.84B
-43.64%11.03B
-33.35%5.6B
111.28%32.26B
Cash on investment
79.19%-1.06B
11.76%-31.46B
5.82%-23.19B
-36.48%-15.58B
27.44%-5.11B
-41.36%-35.65B
-43.07%-24.62B
21.99%-11.42B
-22.49%-7.05B
9.62%-25.22B
Other items in the investment business
---780.62K
-1,920,417.80%-134.44M
----
1,399.60%1M
----
-100.27%-7K
5.96%-136.74K
68.40%-76.95K
----
126.91%2.61M
Net cash from investment operations
132.23%6.33B
-281.70%-10.59B
80.80%-1.83B
3.72%-876.5M
259.87%2.73B
-145.81%-2.77B
-257.29%-9.52B
-119.84%-910.35M
-168.83%-1.7B
145.92%6.05B
Net cash before financing
739.57%3.63B
-217.67%-8.57B
-58.98%-5.53B
-145.43%-1.43B
-22.35%-567.68M
184.70%7.29B
-216.10%-3.48B
32.77%3.15B
-535.50%-463.97M
153.56%2.56B
Cash flow from financing activities
New borrowing
-2.72%1.35B
121.74%5.57B
101.68%4.17B
41.59%1.67B
336.45%1.39B
190.23%2.51B
174.49%2.07B
547.46%1.18B
332.27%318.92M
59.04%865.44M
Refund
35.20%-46.1M
-243.34%-1.09B
-41.12%-431.81M
-236.79%-436.55M
-74.69%-71.15M
55.40%-316.22M
48.17%-305.99M
-127.77%-129.62M
-20.70%-40.73M
-741.88%-709M
Dividends paid - financing
-164.60%-29.71M
-11.62%-1.85B
-11.82%-1.81B
-29.21%-175.7M
-10.59%-11.23M
-39.25%-1.66B
-36.11%-1.62B
-20.57%-135.98M
-16.94%-10.15M
-44.18%-1.19B
Absorb investment income
-74.51%11.24M
4,659.41%5.24B
8,845.45%5.19B
7,810.79%4.21B
1.60%44.1M
-60.20%110.02M
-78.46%58.07M
-77.81%53.17M
--43.4M
-32.59%276.46M
Other items of the financing business
3,798.14%51.01M
-732.02%-2.77B
-51.17%-51.99M
-159.05%-47.41M
110.60%1.31M
69.50%438.41M
-66.76%-34.39M
-17.70%-18.3M
-341.50%-12.34M
258.09%258.65M
Net cash from financing operations
-1.07%1.34B
368.58%5.1B
4,104.51%7.07B
448.38%5.22B
353.01%1.35B
319.02%1.09B
121.68%168.17M
301.67%952.1M
720.26%299.1M
-321.50%-497.1M
Effect of rate
-652.63%-60.93M
-28.75%-50.58M
87.47%-4.63M
215.83%50.78M
135.20%11.02M
-111.27%-39.29M
-485.13%-36.93M
-171.23%-43.84M
-53.59%-31.32M
-102.71%-18.6M
Net Cash
531.43%4.97B
-141.45%-3.47B
146.41%1.54B
-7.75%3.79B
577.53%787.3M
306.13%8.37B
-249.06%-3.31B
57.16%4.11B
-351.14%-164.87M
142.12%2.06B
Begining period cash
-15.65%18.98B
58.83%22.5B
58.83%22.5B
58.83%22.5B
58.83%22.5B
16.85%14.17B
16.93%14.17B
16.93%14.17B
16.93%14.17B
-25.78%12.12B
Cash at the end
2.53%23.89B
-15.65%18.98B
122.18%24.04B
44.50%26.34B
66.78%23.3B
58.83%22.5B
-24.60%10.82B
23.25%18.23B
15.86%13.97B
16.85%14.17B
Cash balance analysis
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
Audit Opinions
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
Auditor
--
Lixin Certified Public Accountants (Special General Partnership)
--
--
--
Lixin Certified Public Accountants (Special General Partnership)
--
--
--
Lixin Certified Public Accountants (Special General Partnership)
(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 ----20.64%3.97B----13.95%2.06B-----9.78%3.29B-----13.72%1.81B----20.90%3.64B
Profit adjustment
Investment loss (gain) ----45.02%-867.12M-----456.01%-141.07M-----110.80%-1.58B----122.31%39.63M-----55.68%-748.15M
Impairment and provisions: ----46.58%1.9B----172.39%666.5M----92.68%1.29B-----24.54%244.69M----342.22%671.59M
-Other impairments and provisions ----46.58%1.9B----172.39%666.5M----92.68%1.29B-----24.54%244.69M----342.22%671.59M
Revaluation surplus: -----141.40%-84.52M----365.54%75.26M----340.01%204.16M----41.73%-28.34M-----238.22%-85.06M
-Other fair value changes -----141.40%-84.52M----365.54%75.26M----340.01%204.16M----41.73%-28.34M-----238.22%-85.06M
Asset sale loss (gain): ----63.87%-5.95M-----2,907.99%-3.5M-----68.44%-16.45M----97.61%-116.26K----80.54%-9.77M
-Loss (gain) on sale of property, machinery and equipment ----63.87%-5.95M-----2,907.99%-3.5M-----68.44%-16.45M----97.61%-116.26K----80.54%-9.77M
Depreciation and amortization: ----4.94%1.17B----9.05%550.72M----27.40%1.12B----14.62%504.99M-----1.13%876.11M
-Amortization of intangible assets ----18.00%158.4M----9.14%70.76M----13.25%134.24M----47.60%64.83M-----2.85%118.53M
-Other depreciation and amortization ----289.05%10.89M----600.02%2.49M----268.67%2.8M-----26.49%356.35K----12.87%759.19K
Financial expense -----30.73%61.58M-----92.78%3.53M----1,092.92%88.9M----211.61%48.95M----110.10%7.45M
Change of operating capital
Inventory (increase) decrease -----24.98%-4.44B-----495.60%-5.6B-----636.97%-3.55B----355.55%1.42B----8.82%660.88M
Accounts receivable (increase)decrease -----255.41%-4.9B-----52.90%-7.28B----139.92%3.15B----63.88%-4.76B-----222.85%-7.89B
Accounts payable increase (decrease) -----11.86%5.37B----86.84%9.23B----1,022.26%6.1B-----44.07%4.94B-----109.90%-661.11M
Special items of business 18.06%-2.7B-339.50%-165.17M-161.30%-3.7B19.52%-122.03M-365.42%-3.29B-187.49%-37.58M297.68%6.04B-259.31%-151.63M148.66%1.24B-91.22%42.96M
Net cash from operations 18.06%-2.7B-79.98%2.01B-161.30%-3.7B-113.69%-556.47M-365.42%-3.29B387.75%10.06B297.68%6.04B283.76%4.06B148.66%1.24B-141.58%-3.5B
Cash flow from investment activities
Dividend received - investment ----9.41%131.3M223.21%66.21M-77.34%1.89M--4.63K6.55%120.01M-58.20%20.48M284.31%8.36M-----37.18%112.63M
Sale of fixed assets -51.14%73.05K-29.56%808.22K-75.27%149.1K508.41%149.38K--149.52K-87.53%1.15M-92.85%602.87K-99.67%24.55K-----66.12%9.2M
Purchase of fixed assets -98.24%-544.67M-42.85%-4.28B-68.09%-1.29B-42.34%-742.16M-6.45%-274.76M-170.17%-3B-20.91%-768.61M-47.69%-521.38M-48.37%-258.1M-48.37%-1.11B
Sale of subsidiaries ----------------------492.57M-------8.49M--------
Recovery of cash from investments -2.16%7.94B-28.66%25.16B42.55%22.58B40.04%15.45B44.85%8.11B9.30%35.26B-33.55%15.84B-43.64%11.03B-33.35%5.6B111.28%32.26B
Cash on investment 79.19%-1.06B11.76%-31.46B5.82%-23.19B-36.48%-15.58B27.44%-5.11B-41.36%-35.65B-43.07%-24.62B21.99%-11.42B-22.49%-7.05B9.62%-25.22B
Other items in the investment business ---780.62K-1,920,417.80%-134.44M----1,399.60%1M-----100.27%-7K5.96%-136.74K68.40%-76.95K----126.91%2.61M
Net cash from investment operations 132.23%6.33B-281.70%-10.59B80.80%-1.83B3.72%-876.5M259.87%2.73B-145.81%-2.77B-257.29%-9.52B-119.84%-910.35M-168.83%-1.7B145.92%6.05B
Net cash before financing 739.57%3.63B-217.67%-8.57B-58.98%-5.53B-145.43%-1.43B-22.35%-567.68M184.70%7.29B-216.10%-3.48B32.77%3.15B-535.50%-463.97M153.56%2.56B
Cash flow from financing activities
New borrowing -2.72%1.35B121.74%5.57B101.68%4.17B41.59%1.67B336.45%1.39B190.23%2.51B174.49%2.07B547.46%1.18B332.27%318.92M59.04%865.44M
Refund 35.20%-46.1M-243.34%-1.09B-41.12%-431.81M-236.79%-436.55M-74.69%-71.15M55.40%-316.22M48.17%-305.99M-127.77%-129.62M-20.70%-40.73M-741.88%-709M
Dividends paid - financing -164.60%-29.71M-11.62%-1.85B-11.82%-1.81B-29.21%-175.7M-10.59%-11.23M-39.25%-1.66B-36.11%-1.62B-20.57%-135.98M-16.94%-10.15M-44.18%-1.19B
Absorb investment income -74.51%11.24M4,659.41%5.24B8,845.45%5.19B7,810.79%4.21B1.60%44.1M-60.20%110.02M-78.46%58.07M-77.81%53.17M--43.4M-32.59%276.46M
Other items of the financing business 3,798.14%51.01M-732.02%-2.77B-51.17%-51.99M-159.05%-47.41M110.60%1.31M69.50%438.41M-66.76%-34.39M-17.70%-18.3M-341.50%-12.34M258.09%258.65M
Net cash from financing operations -1.07%1.34B368.58%5.1B4,104.51%7.07B448.38%5.22B353.01%1.35B319.02%1.09B121.68%168.17M301.67%952.1M720.26%299.1M-321.50%-497.1M
Effect of rate -652.63%-60.93M-28.75%-50.58M87.47%-4.63M215.83%50.78M135.20%11.02M-111.27%-39.29M-485.13%-36.93M-171.23%-43.84M-53.59%-31.32M-102.71%-18.6M
Net Cash 531.43%4.97B-141.45%-3.47B146.41%1.54B-7.75%3.79B577.53%787.3M306.13%8.37B-249.06%-3.31B57.16%4.11B-351.14%-164.87M142.12%2.06B
Begining period cash -15.65%18.98B58.83%22.5B58.83%22.5B58.83%22.5B58.83%22.5B16.85%14.17B16.93%14.17B16.93%14.17B16.93%14.17B-25.78%12.12B
Cash at the end 2.53%23.89B-15.65%18.98B122.18%24.04B44.50%26.34B66.78%23.3B58.83%22.5B-24.60%10.82B23.25%18.23B15.86%13.97B16.85%14.17B
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)
Audit Opinions --Unqualified Opinion------Unqualified Opinion------Unqualified Opinion
Auditor --Lixin Certified Public Accountants (Special General Partnership)------Lixin Certified Public Accountants (Special General Partnership)------Lixin Certified Public Accountants (Special General Partnership)

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.

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