Cash flow Mech-Mind Robotics Technologies Co., Ltd.
Stocks
9615
CNE100007VR0
Industrial Machinery & Equipment
|
End-of-day quote
Hong Kong S.E.
31/08/2026
|
5-day change | 1st Jan Change | ||
| 98.50 HKD | -.--% |
|
-.--% | - |
| 12:58pm | Hong Kong Stocks Fall on Higher Bond Yields, Oil Prices; SHEIN Close Marginally Lower on Debut | MT |
| 11:49am | Shein founder Xu true to form with minimalist presence at Hong Kong listing | RE |
| Fiscal Period: December | 2023 (CNY) | 2024 (CNY) | 2025 (CNY) |
|---|---|---|---|
Net Income | -401M | -283M | -360M |
Depreciation & Amortization - CF | 37.59M | 34.85M | 27.93M |
Amortization of Goodwill and Intangible Assets - (CF) | 1.18M | 1.42M | 958K |
Depreciation & Amortization, Total | 38.77M | 36.27M | 28.89M |
(Gain) Loss From Sale Of Asset | 1.07M | -1.28M | 123K |
(Gain) Loss on Sale of Investments - (CF) | -2.28M | -306K | -1.27M |
Stock-Based Compensation (CF) | 8.84M | 9.04M | 13.75M |
Provision and Write-off of Bad Debts | 6.3M | 4.96M | 4.53M |
Other Operating Activities, Total | 61.63M | 64.17M | 214M |
Change In Accounts Receivable | -13.01M | -49.03M | -14.84M |
Change In Inventories | 17.1M | 2.63M | -25.86M |
Change In Accounts Payable | 6.75M | 6.8M | 3.56M |
Change in Unearned Revenues | -3.24M | 829K | 12.32M |
Change in Other Net Operating Assets | 4.96M | 3.45M | 17.14M |
Cash from Operations | -274M | -206M | -107M |
Capital Expenditure | -14.6M | -8.61M | -18.14M |
Sale of Property, Plant, and Equipment | 37K | 470K | 199K |
Investment in Marketable and Equity Securities, Total | 133M | -49.16M | -28.79M |
Cash from Investing | 118M | -57.3M | -46.73M |
Short Term Debt Issued, Total | 54.72M | 80.7M | 66.56M |
Total Debt Issued | 54.72M | 80.7M | 66.56M |
Short Term Debt Repaid, Total | -5.99M | -59.81M | -129M |
Long-Term Debt Repaid, Total | -16.94M | -16.86M | -14.59M |
Total Debt Repaid | -22.93M | -76.67M | -144M |
Issuance of Common Stock | 96.68M | 99.01M | 366M |
Other Financing Activities, Total | -3.5M | -3.93M | -5.15M |
Cash from Financing | 125M | 99.1M | 284M |
Foreign Exchange Rate Adjustments | 1.29M | -2.1M | -674K |
Net Change in Cash | -29.82M | -166M | 130M |
Supplemental Items | |||
Cash Interest Paid | 3.34M | 3.4M | 3.23M |
Cash Income Tax Paid (Refund) | - | - | 1.6M |
Levered Free Cash Flow | - | 28.65M | 497M |
Unlevered Free Cash Flow | - | 30.77M | 499M |
Change In Net Working Capital | - | -133M | -567M |
Net Debt Issued / Repaid | 31.79M | 4.03M | -76.96M |
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