US Stock MarketDetailed Quotes

PPCCY PICC PROPERTY CA

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  • 30.790
  • -0.900-2.84%
15min DelayClose Apr 17 16:00 ET
27.39BMarket Cap8.07P/E (TTM)

PICC PROPERTY CA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-17.59%28.04B
30.71%34.02B
5.48%26.03B
3.75%24.68B
1.52%23.78B
-13.74%23.43B
20.98%27.16B
-20.39%22.45B
45.07%28.2B
44.66%19.44B
Other non cash items
19.11%-10.56B
-951.47%-13.05B
-0.90%1.53B
8.64%1.55B
-40.52%1.42B
-10.50%2.39B
44.83%2.68B
-19.20%1.85B
21.99%2.29B
-17.41%1.87B
Change in working capital
-46.42%17.29B
112.41%32.27B
40.29%15.19B
-53.54%10.83B
131.81%23.31B
-47.08%10.05B
-16.47%19B
2.44%22.75B
-13.31%22.2B
63.08%25.61B
-Change in receivables
----
----
-259.61%-5.39B
129.61%3.38B
-166.85%-11.41B
44.90%-4.27B
32.83%-7.76B
-416.27%-11.55B
-132.17%-2.24B
390.19%6.95B
-Change in other current assets
-218.62%-1.99B
38.68%-623M
14.12%-1.02B
-474.27%-1.18B
82.59%-206M
73.69%-1.18B
-158.30%-4.5B
-100.81%-1.74B
-4,235.00%-867M
---20M
-Change in other current liabilities
----
----
----
----
----
----
-21.95%6.34B
-0.75%8.12B
55.03%8.18B
152.27%5.28B
Cash from discontinued operating activities
Operating cash flow
-51.90%20.54B
161.45%42.71B
27.52%16.34B
-50.35%12.81B
161.21%25.81B
-53.85%9.88B
-3.03%21.41B
-18.93%22.08B
-13.46%27.23B
46.98%31.47B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale
1.77%-46.57B
-72.69%-47.4B
15.92%-27.45B
-59.48%-32.65B
-113.26%-20.47B
65.50%-9.6B
26.26%-27.83B
-53.13%-37.74B
-135.67%-24.64B
-101.91%-10.46B
Net PPE purchase and sale
7.39%218M
-40.29%203M
116.56%340M
86.90%157M
-50.30%84M
8.33%169M
-25.00%156M
-17.46%208M
129.09%252M
-23.61%110M
Net business purchase and sale
---980M
--0
----
114.10%294M
-2,027.55%-2.09B
90.90%-98M
95.68%-1.08B
-681.94%-24.94B
---3.19B
--0
Net other investing changes
7,113.22%17.46B
110.28%242M
62.55%-2.35B
-163.88%-6.29B
179.25%9.84B
-271.14%-12.42B
-76.33%7.26B
401.83%30.66B
57.05%-10.16B
-150.01%-23.65B
Capital expenditure
50.85%-2.73B
-130.16%-5.56B
75.29%-2.42B
-156.49%-9.78B
8.71%-3.81B
-141.45%-4.18B
17.81%-1.73B
1.68%-2.11B
-15.79%-2.14B
6.24%-1.85B
Cash from discontinued investing activities
Investing cash flow
65.42%-11.13B
-294.56%-32.19B
72.24%-8.16B
-3,223.27%-29.39B
110.78%941M
-16.07%-8.73B
58.68%-7.52B
31.32%-18.21B
-5.44%-26.51B
-85.99%-25.14B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
----
----
-287.50%-15B
200.00%8B
---8B
--0
----
216.67%7B
-300.00%-6B
--3B
Net common stock issuance
----
----
----
----
----
----
----
----
----
25.48%7.22B
Cash dividends paid
-17.44%-10.63B
-8.52%-9.05B
18.65%-8.34B
-69.49%-10.25B
-20.71%-6.05B
-9.38%-5.01B
-1.64%-4.58B
-12.59%-4.51B
-33.16%-4B
9.04%-3.01B
Net other financing charges
-143.16%-1.67B
-57.85%3.88B
-37.81%9.2B
231.55%14.79B
-330.42%-11.24B
133.29%4.88B
181.87%2.09B
-125.83%-2.55B
350.88%9.89B
21.79%-3.94B
Cash from discontinued financing activities
Financing cash flow
-103.27%-14.22B
58.46%-7B
-261.83%-16.85B
137.09%10.41B
-1,276.99%-28.06B
53.04%-2.04B
-179.10%-4.34B
24.29%-1.56B
-231.84%-2.05B
134.55%1.56B
Net cash flow
Beginning cash position
22.03%21.25B
-33.51%17.41B
-19.46%26.19B
-3.78%32.52B
-2.57%33.8B
37.96%34.69B
10.15%25.14B
-5.50%22.83B
48.46%24.16B
26.24%16.27B
Current changes in cash
-236.48%-4.81B
140.67%3.53B
-40.47%-8.67B
-368.49%-6.17B
-47.81%-1.32B
-109.34%-891M
312.09%9.54B
274.27%2.32B
-116.85%-1.33B
133.15%7.89B
Effect of exchange rate changes
-84.24%49M
380.18%311M
29.75%-111M
---158M
----
----
----
----
----
----
End cash position
-22.41%16.49B
22.03%21.25B
-33.51%17.41B
-19.46%26.19B
-3.78%32.52B
-2.57%33.8B
37.96%34.69B
10.15%25.14B
-5.50%22.83B
48.46%24.16B
Free cash flow
-52.06%17.81B
166.88%37.15B
359.22%13.92B
-86.22%3.03B
285.69%21.99B
-71.02%5.7B
-1.48%19.68B
-20.40%19.97B
-15.28%25.09B
52.38%29.62B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -17.59%28.04B30.71%34.02B5.48%26.03B3.75%24.68B1.52%23.78B-13.74%23.43B20.98%27.16B-20.39%22.45B45.07%28.2B44.66%19.44B
Other non cash items 19.11%-10.56B-951.47%-13.05B-0.90%1.53B8.64%1.55B-40.52%1.42B-10.50%2.39B44.83%2.68B-19.20%1.85B21.99%2.29B-17.41%1.87B
Change in working capital -46.42%17.29B112.41%32.27B40.29%15.19B-53.54%10.83B131.81%23.31B-47.08%10.05B-16.47%19B2.44%22.75B-13.31%22.2B63.08%25.61B
-Change in receivables ---------259.61%-5.39B129.61%3.38B-166.85%-11.41B44.90%-4.27B32.83%-7.76B-416.27%-11.55B-132.17%-2.24B390.19%6.95B
-Change in other current assets -218.62%-1.99B38.68%-623M14.12%-1.02B-474.27%-1.18B82.59%-206M73.69%-1.18B-158.30%-4.5B-100.81%-1.74B-4,235.00%-867M---20M
-Change in other current liabilities -------------------------21.95%6.34B-0.75%8.12B55.03%8.18B152.27%5.28B
Cash from discontinued operating activities
Operating cash flow -51.90%20.54B161.45%42.71B27.52%16.34B-50.35%12.81B161.21%25.81B-53.85%9.88B-3.03%21.41B-18.93%22.08B-13.46%27.23B46.98%31.47B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale 1.77%-46.57B-72.69%-47.4B15.92%-27.45B-59.48%-32.65B-113.26%-20.47B65.50%-9.6B26.26%-27.83B-53.13%-37.74B-135.67%-24.64B-101.91%-10.46B
Net PPE purchase and sale 7.39%218M-40.29%203M116.56%340M86.90%157M-50.30%84M8.33%169M-25.00%156M-17.46%208M129.09%252M-23.61%110M
Net business purchase and sale ---980M--0----114.10%294M-2,027.55%-2.09B90.90%-98M95.68%-1.08B-681.94%-24.94B---3.19B--0
Net other investing changes 7,113.22%17.46B110.28%242M62.55%-2.35B-163.88%-6.29B179.25%9.84B-271.14%-12.42B-76.33%7.26B401.83%30.66B57.05%-10.16B-150.01%-23.65B
Capital expenditure 50.85%-2.73B-130.16%-5.56B75.29%-2.42B-156.49%-9.78B8.71%-3.81B-141.45%-4.18B17.81%-1.73B1.68%-2.11B-15.79%-2.14B6.24%-1.85B
Cash from discontinued investing activities
Investing cash flow 65.42%-11.13B-294.56%-32.19B72.24%-8.16B-3,223.27%-29.39B110.78%941M-16.07%-8.73B58.68%-7.52B31.32%-18.21B-5.44%-26.51B-85.99%-25.14B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt ---------287.50%-15B200.00%8B---8B--0----216.67%7B-300.00%-6B--3B
Net common stock issuance ------------------------------------25.48%7.22B
Cash dividends paid -17.44%-10.63B-8.52%-9.05B18.65%-8.34B-69.49%-10.25B-20.71%-6.05B-9.38%-5.01B-1.64%-4.58B-12.59%-4.51B-33.16%-4B9.04%-3.01B
Net other financing charges -143.16%-1.67B-57.85%3.88B-37.81%9.2B231.55%14.79B-330.42%-11.24B133.29%4.88B181.87%2.09B-125.83%-2.55B350.88%9.89B21.79%-3.94B
Cash from discontinued financing activities
Financing cash flow -103.27%-14.22B58.46%-7B-261.83%-16.85B137.09%10.41B-1,276.99%-28.06B53.04%-2.04B-179.10%-4.34B24.29%-1.56B-231.84%-2.05B134.55%1.56B
Net cash flow
Beginning cash position 22.03%21.25B-33.51%17.41B-19.46%26.19B-3.78%32.52B-2.57%33.8B37.96%34.69B10.15%25.14B-5.50%22.83B48.46%24.16B26.24%16.27B
Current changes in cash -236.48%-4.81B140.67%3.53B-40.47%-8.67B-368.49%-6.17B-47.81%-1.32B-109.34%-891M312.09%9.54B274.27%2.32B-116.85%-1.33B133.15%7.89B
Effect of exchange rate changes -84.24%49M380.18%311M29.75%-111M---158M------------------------
End cash position -22.41%16.49B22.03%21.25B-33.51%17.41B-19.46%26.19B-3.78%32.52B-2.57%33.8B37.96%34.69B10.15%25.14B-5.50%22.83B48.46%24.16B
Free cash flow -52.06%17.81B166.88%37.15B359.22%13.92B-86.22%3.03B285.69%21.99B-71.02%5.7B-1.48%19.68B-20.40%19.97B-15.28%25.09B52.38%29.62B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY

Analysis

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