REPT BATTERO Energy Co., Ltd. (HKG:0666)
Hong Kong flag Hong Kong · Delayed Price · Currency is HKD
12.67
+0.21 (1.69%)
Aug 15, 2025, 4:08 PM HKT

REPT BATTERO Energy Cash Flow Statement

Millions CNY. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Net Income
-785.44-1,163-1,472-354.12-717.23-40.84
Depreciation & Amortization
1,5171,414913.01508.66163.6988.66
Other Amortization
16.8916.899.375.622.680.78
Loss (Gain) From Sale of Assets
3.826.52-5.540--
Asset Writedown & Restructuring Costs
138.81138.81----
Loss (Gain) From Sale of Investments
-40.06-19.87-5.76-2.190.450.19
Loss (Gain) on Equity Investments
0.671.021.641.59--
Stock-Based Compensation
111.84123.07147.99133.6442.61-
Provision & Write-off of Bad Debts
86.16142.45297.7181.051.591.95
Other Operating Activities
183.8466.79132.7146.5655.9813.36
Change in Accounts Receivable
-1,335-1,69370.83-3,211-443.16-517.7
Change in Inventory
293.24261.67-316.28-2,498-558.7-85.9
Change in Accounts Payable
1,7384,806481.045,1131,073385.96
Change in Unearned Revenue
112.98-21.51-57.0825.87149.685.49
Change in Other Net Operating Assets
-1,164-2,923876.76-2,081-1,728324.6
Operating Cash Flow
878.771,1571,075-2,230-1,957176.55
Operating Cash Flow Growth
-53.26%7.66%----
Capital Expenditures
-3,201-3,803-5,193-3,713-2,363-727.82
Sale of Property, Plant & Equipment
1.270.540.61-1.59-
Cash Acquisitions
----2.9-475.98-
Divestitures
--4.65---
Sale (Purchase) of Intangibles
-33.95-25.74-23.36-25.2-6.28-6.95
Investment in Securities
-1,670-1,483-600.49-106.075030.46
Other Investing Activities
-87.2812.761,423-134.52-127.5414.93
Investing Cash Flow
-4,991-5,298-4,388-3,982-2,921-689.37
Short-Term Debt Issued
---2,1845,270463.84
Long-Term Debt Issued
-4,4986,1675,291538.07100.79
Total Debt Issued
4,4204,4986,1677,4755,808564.63
Short-Term Debt Repaid
---2.6-4,838-3,342-134.91
Long-Term Debt Repaid
--4,146-1,202-1,200-251.13-12.15
Total Debt Repaid
-4,169-4,146-1,204-6,038-3,594-147.06
Net Debt Issued (Repaid)
250.77352.154,9631,4372,214417.57
Issuance of Common Stock
--1,9318,9412,615-
Other Financing Activities
-324.09-325.92-96.61153.95478.48213.63
Financing Cash Flow
-73.3226.236,79710,5325,307631.2
Foreign Exchange Rate Adjustments
26.9821.32-5.461.124.83-2.01
Net Cash Flow
-4,159-4,0943,4784,321434.08116.37
Free Cash Flow
-2,322-2,646-4,118-5,944-4,320-551.27
Free Cash Flow Margin
-11.79%-14.87%-29.95%-40.58%-204.82%-60.78%
Free Cash Flow Per Share
-1.02-1.16-1.90-3.35-6.49-1.84
Cash Interest Paid
334.7334.54257.41136.9421.9217.39
Cash Income Tax Paid
0.040.031.65---
Levered Free Cash Flow
-3,472-4,161-2,114-5,013-2,833-
Unlevered Free Cash Flow
-3,270-3,948-1,954-4,895-2,812-
Change in Working Capital
-355.06430.41,055-2,651-1,507112.45
Updated Sep 10, 2024. Source: S&P Global Market Intelligence. Standard template. Financial Sources.