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ChartFinancialsNewsAbout
HighlightsIncome StatementBalance SheetCash Flow
Currency in CNYFY2021FY2022FY2023FY2024FY2025

Operating Activities

Net Income139.67M96.08M739.06M1.28B1.58B
Depreciation & Amortization93.91M88.56M85.02M65.23M52.63M
Stock-Based Compensation0.00163.19M163.98M0.000.00
Working Capital Changes197.34M-12.74M727.20M0.000.00
Operating Cash Flow417.88M283.68M1.99B1.73B1.94B
YoY Growth %—-32.1%+601.0%-13.2%+12.3%

Investing Activities

Capital Expenditures-65.97M-39.23M-41.72M-56.24M-83.44M
Acquisitions-2.00M155.80M0.000.005.62M
Investing Cash Flow-42.23M-192.22M-600.52M-520.55M-1.30B

Financing Activities

Debt Issuance (Net)-12.00M64.52M-101.96M-10.00M184.82M
Share Repurchases-111.26M0.000.000.00-320.91M
Dividends Paid-20.64M0.00-150.58M-436.05M-750.97M
Financing Cash Flow-161.08M456.31M-146.92M-426.60M-899.69M

Summary

Net Change in Cash206.39M550.58M1.25B777.88M-160.38M
Free Cash Flow351.91M244.45M1.95B1.67B1.86B
YoY Growth %—-30.5%+696.5%-14.2%+11.1%

Financials are standardized for comparability and may differ from company-reported line-item presentation.

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