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 Home >> Investor Relations >> Financial Highlights

Financial Highlights

Financial Review | Income Statements | Balance Sheet | Cash Flow Statement

Whole Year

Interim

 

2006

2007

2008

2008

2009

 

RMB'000

RMB'000

RMB'000

RMB'000

RMB'000

Net cash inflow/(outflow) from operating Activities 17,785 100,610 -5,310 -223,047 157,129
Net cash outflow from investing activities -214,188 -591,669 -217,100 -76,722 -210,671
Net cash generated from financing activities 341,866 443,903 247,534 365,266 55,768
Net increase/(decrease) in cash and cash equivalents 145,463 -47,156 25,124 65,497 2,226
Cash and cash equivalents at beginning of period 77,482 222,627 173,037 173,037 202,403
Exchange gains/(loss) -318 -2,434 4,242 564 -792
Cash and cash equivalents at end of period 222,627 173,037 202,403 239,098 203,837


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