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XNGSY ENN ENERGY HOLDING

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  • 28.495
  • +0.645+2.32%
15min DelayTrading Aug 15 15:16 ET
8.01BMarket Cap8.42P/E (TTM)

ENN ENERGY HOLDING 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
10.53%10.01B
-20.55%9.05B
19.20%11.39B
8.11%9.56B
57.85%8.84B
7.92%5.6B
23.72%5.19B
4.17%4.2B
-15.17%4.03B
71.99%4.75B
Other non cash items
29.98%607M
21.61%467M
-7.25%384M
-19.14%414M
-28.79%512M
21.66%719M
44.85%591M
-30.38%408M
260.55%586M
-131.12%-365M
Change In working capital
72.86%-403M
-415.29%-1.49B
25.94%471M
-89.58%374M
42.53%3.59B
228.29%2.52B
2.13%767M
56.13%751M
-71.47%481M
81.68%1.69B
-Change in receivables
-20.74%-361M
81.65%-299M
-12.27%-1.63B
-219.72%-1.45B
173.32%1.21B
38.66%-1.65B
-161.14%-2.7B
-767.23%-1.03B
-235.23%-119M
114.01%88M
-Change in inventory
72.14%-56M
14.10%-201M
-100.00%-234M
-154.17%-117M
153.47%216M
-83.64%-404M
-109.52%-220M
-197.22%-105M
307.69%108M
50.48%-52M
-Change in other current assets
-216.95%-483M
-20.12%413M
-67.09%517M
-32.37%1.57B
11.47%2.32B
250.84%2.08B
-4.35%594M
8.95%621M
--570M
----
Cash from discontinued investing activities
Operating cash flow
-4.85%9.61B
-3.48%10.1B
7.94%10.47B
-17.06%9.7B
40.95%11.69B
36.12%8.29B
13.55%6.09B
13.78%5.37B
-7.22%4.72B
26.25%5.08B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-7.38%-6.45B
2.83%-6B
-14.45%-6.18B
24.33%-5.4B
-17.98%-7.13B
-31.83%-6.05B
-82.46%-4.59B
-1.82%-2.51B
9.16%-2.47B
11.78%-2.72B
Net intangibles purchase and sale
44.65%-274M
-1,237.84%-495M
39.34%-37M
-56.41%-61M
46.58%-39M
1.35%-73M
-196.00%-74M
76.85%-25M
-575.00%-108M
68.63%-16M
Net business purchase and sale
-8.13%-519M
44.89%-480M
-10.81%-871M
38.26%-786M
13.64%-1.27B
-306.06%-1.47B
-8.04%-363M
-38.84%-336M
78.72%-242M
-154.93%-1.14B
Net investment purchase and sale
43.95%904M
245.05%628M
578.95%182M
-112.42%-38M
5,000.00%306M
-99.50%6M
191.56%1.2B
67.68%-1.32B
-36,890.91%-4.07B
89.62%-11M
Net other investing changes
-70.51%23M
134.06%78M
-193.09%-229M
174.55%246M
-904.88%-330M
-64.04%41M
156.44%114M
58.86%-202M
-178.94%-491M
52.45%622M
Cash from discontinued investing activities
Investing cash flow
15.32%-4.85B
15.37%-5.73B
-4.24%-6.77B
3.06%-6.49B
-1.42%-6.7B
-45.68%-6.6B
-18.02%-4.53B
44.04%-3.84B
-151.17%-6.86B
11.70%-2.73B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
286.96%2.35B
-336.91%-1.26B
105.52%531M
7.35%-9.62B
-1,060.31%-10.38B
-15.88%1.08B
160.65%1.29B
24.18%493M
-84.91%397M
352.06%2.63B
Net common stock issuance
-535.42%-209M
-46.67%48M
-6.25%90M
196.97%96M
-120.00%-99M
-218.42%-45M
246.15%38M
-62.50%-26M
-633.33%-16M
--3M
Cash dividends paid
-12.04%-2.98B
6.01%-2.66B
-64.46%-2.83B
-46.17%-1.72B
-23.53%-1.18B
-22.84%-952M
-9.93%-775M
0.56%-705M
-71.26%-709M
-14.36%-414M
Net other financing activities
-194.77%-399M
316.83%421M
-99.06%101M
42.47%10.79B
1,421.99%7.58B
-2,103.85%-573M
91.53%-26M
-170.41%-307M
80.17%436M
-63.72%242M
Cash from discontinued financing activities
Financing cash flow
37.40%-3.14B
-38.09%-5.02B
-91.27%-3.64B
65.73%-1.9B
-212.68%-5.55B
-150.56%-1.77B
59.22%-708M
-70.53%-1.74B
-176.14%-1.02B
699.55%1.34B
Net cash flow
Beginning cash position
-7.23%8.06B
0.63%8.68B
17.05%8.63B
-6.94%7.37B
-0.65%7.92B
11.34%7.98B
-2.61%7.16B
-29.97%7.36B
53.96%10.5B
10.82%6.82B
Current changes in cash
351.16%1.62B
-1,107.81%-645M
-95.09%64M
335.80%1.3B
-574.39%-553M
-109.61%-82M
506.19%853M
93.36%-210M
-185.79%-3.16B
420.17%3.69B
Effect of exchange rate changes
-23.53%13M
270.00%17M
78.72%-10M
-1,666.67%-47M
-90.00%3M
173.17%30M
-327.78%-41M
12.50%18M
328.57%16M
83.72%-7M
End cash Position
20.27%9.69B
-7.23%8.06B
0.63%8.68B
17.05%8.63B
-6.94%7.37B
-0.65%7.92B
11.34%7.98B
-2.61%7.16B
-29.97%7.36B
53.96%10.5B
Free cash flow
-17.69%2.63B
-21.61%3.19B
1.02%4.07B
-3.29%4.03B
103.92%4.16B
48.62%2.04B
-33.85%1.37B
4.06%2.08B
-12.30%2B
166.82%2.28B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(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 10.53%10.01B-20.55%9.05B19.20%11.39B8.11%9.56B57.85%8.84B7.92%5.6B23.72%5.19B4.17%4.2B-15.17%4.03B71.99%4.75B
Other non cash items 29.98%607M21.61%467M-7.25%384M-19.14%414M-28.79%512M21.66%719M44.85%591M-30.38%408M260.55%586M-131.12%-365M
Change In working capital 72.86%-403M-415.29%-1.49B25.94%471M-89.58%374M42.53%3.59B228.29%2.52B2.13%767M56.13%751M-71.47%481M81.68%1.69B
-Change in receivables -20.74%-361M81.65%-299M-12.27%-1.63B-219.72%-1.45B173.32%1.21B38.66%-1.65B-161.14%-2.7B-767.23%-1.03B-235.23%-119M114.01%88M
-Change in inventory 72.14%-56M14.10%-201M-100.00%-234M-154.17%-117M153.47%216M-83.64%-404M-109.52%-220M-197.22%-105M307.69%108M50.48%-52M
-Change in other current assets -216.95%-483M-20.12%413M-67.09%517M-32.37%1.57B11.47%2.32B250.84%2.08B-4.35%594M8.95%621M--570M----
Cash from discontinued investing activities
Operating cash flow -4.85%9.61B-3.48%10.1B7.94%10.47B-17.06%9.7B40.95%11.69B36.12%8.29B13.55%6.09B13.78%5.37B-7.22%4.72B26.25%5.08B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -7.38%-6.45B2.83%-6B-14.45%-6.18B24.33%-5.4B-17.98%-7.13B-31.83%-6.05B-82.46%-4.59B-1.82%-2.51B9.16%-2.47B11.78%-2.72B
Net intangibles purchase and sale 44.65%-274M-1,237.84%-495M39.34%-37M-56.41%-61M46.58%-39M1.35%-73M-196.00%-74M76.85%-25M-575.00%-108M68.63%-16M
Net business purchase and sale -8.13%-519M44.89%-480M-10.81%-871M38.26%-786M13.64%-1.27B-306.06%-1.47B-8.04%-363M-38.84%-336M78.72%-242M-154.93%-1.14B
Net investment purchase and sale 43.95%904M245.05%628M578.95%182M-112.42%-38M5,000.00%306M-99.50%6M191.56%1.2B67.68%-1.32B-36,890.91%-4.07B89.62%-11M
Net other investing changes -70.51%23M134.06%78M-193.09%-229M174.55%246M-904.88%-330M-64.04%41M156.44%114M58.86%-202M-178.94%-491M52.45%622M
Cash from discontinued investing activities
Investing cash flow 15.32%-4.85B15.37%-5.73B-4.24%-6.77B3.06%-6.49B-1.42%-6.7B-45.68%-6.6B-18.02%-4.53B44.04%-3.84B-151.17%-6.86B11.70%-2.73B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 286.96%2.35B-336.91%-1.26B105.52%531M7.35%-9.62B-1,060.31%-10.38B-15.88%1.08B160.65%1.29B24.18%493M-84.91%397M352.06%2.63B
Net common stock issuance -535.42%-209M-46.67%48M-6.25%90M196.97%96M-120.00%-99M-218.42%-45M246.15%38M-62.50%-26M-633.33%-16M--3M
Cash dividends paid -12.04%-2.98B6.01%-2.66B-64.46%-2.83B-46.17%-1.72B-23.53%-1.18B-22.84%-952M-9.93%-775M0.56%-705M-71.26%-709M-14.36%-414M
Net other financing activities -194.77%-399M316.83%421M-99.06%101M42.47%10.79B1,421.99%7.58B-2,103.85%-573M91.53%-26M-170.41%-307M80.17%436M-63.72%242M
Cash from discontinued financing activities
Financing cash flow 37.40%-3.14B-38.09%-5.02B-91.27%-3.64B65.73%-1.9B-212.68%-5.55B-150.56%-1.77B59.22%-708M-70.53%-1.74B-176.14%-1.02B699.55%1.34B
Net cash flow
Beginning cash position -7.23%8.06B0.63%8.68B17.05%8.63B-6.94%7.37B-0.65%7.92B11.34%7.98B-2.61%7.16B-29.97%7.36B53.96%10.5B10.82%6.82B
Current changes in cash 351.16%1.62B-1,107.81%-645M-95.09%64M335.80%1.3B-574.39%-553M-109.61%-82M506.19%853M93.36%-210M-185.79%-3.16B420.17%3.69B
Effect of exchange rate changes -23.53%13M270.00%17M78.72%-10M-1,666.67%-47M-90.00%3M173.17%30M-327.78%-41M12.50%18M328.57%16M83.72%-7M
End cash Position 20.27%9.69B-7.23%8.06B0.63%8.68B17.05%8.63B-6.94%7.37B-0.65%7.92B11.34%7.98B-2.61%7.16B-29.97%7.36B53.96%10.5B
Free cash flow -17.69%2.63B-21.61%3.19B1.02%4.07B-3.29%4.03B103.92%4.16B48.62%2.04B-33.85%1.37B4.06%2.08B-12.30%2B166.82%2.28B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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