XCMG Historical Cash Flow

000425 Stock   7.69  0.01  0.13%   
Analysis of XCMG Construction cash flow over time is an excellent tool to project XCMG Construction future capital expenditures as well as to predict the amount of cash needed to cover cost of sales, R&D expenses or production expansions. Investors should almost always look for trends in cash flow indicators such as Dividends Paid of 3.9 B or Capital Expenditures of 7.2 B as it is a great indicator of XCMG Construction ability to facilitate future growth, repay debt on time or pay out dividends.
 
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Financial Statement Analysis is much more than just reviewing and examining XCMG Construction latest accounting reports to predict its past. Macroaxis encourages investors to analyze financial statements over time for various trends across multiple indicators and accounts to determine whether XCMG Construction is a good buy for the upcoming year.
  
Check out Trending Equities to better understand how to build diversified portfolios, which includes a position in XCMG Construction Machinery. Also, note that the market value of any company could be closely tied with the direction of predictive economic indicators such as signals in nation.

About XCMG Cash Flow Analysis

The Cash Flow Statement is a financial statement that shows how changes in XCMG balance sheet and income statement accounts affect cash and cash equivalents. It breaks the analysis down to operating, investing, and financing activities. One of the most critical aspects of the cash flow statement is liquidity, which is the degree to which XCMG's non-liquid assets can be easily converted into cash.

XCMG Construction Cash Flow Chart

At present, XCMG Construction's Change To Inventory is projected to increase significantly based on the last few years of reporting. The current year's Dividends Paid is expected to grow to about 3.9 B, whereas Other Cashflows From Financing Activities is forecasted to decline to about 218.8 M.

Dividends Paid

The total amount of dividends that a company has paid out to its shareholders over a specific period.

Capital Expenditures

Capital Expenditures are funds used by XCMG Construction to acquire physical assets such as property, industrial buildings or equipment. This type of outlay is used by management to increase the scope of XCMG Construction operations. These expenditures can include everything from repairing an office equipment, building a brand new facility, or writing new software.

Net Income

Net income is one of the most important fundamental items in finance. It plays a large role in XCMG Construction financial statement analysis. It represents the amount of money remaining after all of XCMG Construction Machinery operating expenses, interest, taxes and preferred stock dividends have been deducted from a company total revenue.
Most accounts from XCMG Construction's cash flow statement are interrelated and interconnected. However, analyzing cash flow statement accounts one by one will only give a small insight into XCMG Construction current financial condition. On the other hand, looking into the entire matrix of cash flow statement accounts, and analyzing their relationships over time can provide a more complete picture of the company financial strength now and in the future. Check out Trending Equities to better understand how to build diversified portfolios, which includes a position in XCMG Construction Machinery. Also, note that the market value of any company could be closely tied with the direction of predictive economic indicators such as signals in nation.
At present, XCMG Construction's Change To Inventory is projected to increase significantly based on the last few years of reporting. The current year's Dividends Paid is expected to grow to about 3.9 B, whereas Other Cashflows From Financing Activities is forecasted to decline to about 218.8 M.
 2022 2023 2024 2025 (projected)
Capital Expenditures8.0B6.0B6.9B7.2B
Dividends Paid3.8B3.3B3.7B3.9B

XCMG Construction cash flow statement Correlations

-0.040.230.060.58-0.270.240.110.02-0.14-0.22-0.060.40.130.010.17
-0.040.860.390.35-0.590.790.92-0.720.77-0.440.83-0.84-0.890.870.88
0.230.860.030.67-0.370.710.78-0.670.71-0.130.85-0.52-0.720.830.76
0.060.390.03-0.13-0.80.330.440.030.04-0.93-0.05-0.42-0.310.160.43
0.580.350.67-0.13-0.140.340.36-0.280.21-0.010.530.08-0.20.50.37
-0.27-0.59-0.37-0.8-0.14-0.67-0.710.3-0.40.84-0.280.550.61-0.5-0.74
0.240.790.710.330.34-0.670.77-0.470.64-0.540.67-0.64-0.760.750.79
0.110.920.780.440.36-0.710.77-0.70.84-0.480.79-0.83-0.930.860.99
0.02-0.72-0.670.03-0.280.3-0.47-0.7-0.64-0.02-0.730.610.68-0.72-0.61
-0.140.770.710.040.21-0.40.640.84-0.64-0.060.82-0.81-0.930.810.86
-0.22-0.44-0.13-0.93-0.010.84-0.54-0.48-0.02-0.06-0.050.410.34-0.26-0.49
-0.060.830.85-0.050.53-0.280.670.79-0.730.82-0.05-0.71-0.840.970.75
0.4-0.84-0.52-0.420.080.55-0.64-0.830.61-0.810.41-0.710.93-0.77-0.79
0.13-0.89-0.72-0.31-0.20.61-0.76-0.930.68-0.930.34-0.840.93-0.89-0.93
0.010.870.830.160.5-0.50.750.86-0.720.81-0.260.97-0.77-0.890.83
0.170.880.760.430.37-0.740.790.99-0.610.86-0.490.75-0.79-0.930.83
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XCMG Construction Account Relationship Matchups

XCMG Construction cash flow statement Accounts

202020212022202320242025 (projected)
Change To Inventory(2.7B)4.0B(7.7B)2.6B2.3B2.5B
Dividends Paid1.2B3.7B3.8B3.3B3.7B3.9B
Capital Expenditures2.1B3.3B8.0B6.0B6.9B7.2B
Total Cash From Operating Activities2.8B8.1B1.6B3.6B4.1B4.3B
Net Income3.7B5.6B4.3B5.3B6.1B6.4B
Other Cashflows From Financing Activities1.2B315.3M(451.5M)255.9M230.3M218.8M
Total Cash From Financing Activities682.4M411.3M(7.6B)3.1B2.8B2.9B
Other Cashflows From Investing Activities(942.5M)1.4B958.7M3.9B4.5B4.7B
Change To Account Receivables(10.6B)(10.6B)(5.0B)2.5B2.3B2.4B
Total Cashflows From Investing Activities(2.8B)(1.0B)(8.1B)(5.7B)(5.1B)(4.8B)
Investments(505.2M)6.2B(1.6B)1.4B1.6B1.7B
Change In Cash2.2B1.4B(713.0M)(3.0B)(2.7B)(2.5B)
Net Borrowings566.9M4.0B3.8B5.6B6.4B6.7B
Depreciation1.2B1.3B3.5B3.9B4.5B4.8B
Change To Operating Activities(567.6M)(288.0M)(316.7M)(481.7M)(433.5M)(455.2M)
Change To Netincome901.1M2.1B339.4M1.8B2.1B2.2B
Change To Liabilities10.9B9.4B2.0B(2.4B)(2.8B)(2.7B)
End Period Cash Flow15.1B16.5B21.4B18.4B21.2B14.5B
Free Cash Flow736.3M4.8B(6.4B)(2.4B)(2.2B)(2.0B)
Change In Working Capital(3.6B)1.0B(7.7B)(7.6B)(6.9B)(6.5B)
Begin Period Cash Flow12.9B15.1B22.1B21.4B24.6B14.5B
Other Non Cash Items697.7M512.4M1.2B1.6B1.8B1.9B

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Other Information on Investing in XCMG Stock

The Cash Flow Statement is a financial statement that shows how changes in XCMG balance sheet and income statement accounts affect cash and cash equivalents. It breaks the analysis down to operating, investing, and financing activities. One of the most critical aspects of the cash flow statement is liquidity, which is the degree to which XCMG's non-liquid assets can be easily converted into cash.