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                Welcome to the official website of Shenzhen Expressway!

                Financial highlights

                Current Position:Home > Investor Relations > Financial highlights



                Financial Highlights (Unit: RMB million, unless otherwise  stated )

                Item

                2018

                2017
                  
                (Restated)

                2016
                  
                (Restated)

                2015
                  
                (Restated)

                2014
                  
                (Restated)

                Revenue

                5,807

                5,210

                4,867

                3,746

                3,888

                Of which: Toll revenue

                5,066

                4,684

                4,064

                3,338

                3,275

                Profit before interests and tax

                5,463

                2,816

                2,360

                2,275

                3,590

                Net profit

                3,440

                1,384

                1,061

                1,407

                2,016

                Net cash  inflows from operating activities

                3,222

                2,975

                2,379

                2,034

                1,988

                Net cash  inflows from operating activities and cash return on investments

                5,195

                3,340

                2,663

                2,205

                2,083

                Interest covered multiple (Times)

                5.54

                3.02

                2.78

                3.02

                4.52

                Earnings per share (RMB)

                1.570

                0.635

                0.487

                0.645

                0.925

                Cash dividends per share (RMB)

                0.71

                0.30

                0.22

                0.34

                0.45

                Item

                As at
                   31 Dec 2018

                As at
                   31 Dec 2017
                  
                (Restated)

                As at
                   31 Dec 2016
                  
                (Restated)

                As at
                   31 Dec 2015
                  
                (Restated)

                As at
                   31 Dec 2014
                  
                (Restated)

                Total assets

                41,101

                44,015

                39,218

                38,267

                30,986

                Total liabilities

                21,561

                28,225

                22,977

                21,668

                16,082

                Total equity

                19,540

                15,789

                16,241

                16,599

                14,904

                Debt-to-asset ratio (%)

                52.46%

                64.13%

                58.59%

                56.62%

                51.90%

                Gross liabilities-to-equity ratio (%)

                110.34%

                178.76%

                141.48%

                130.54%

                107.91%

                Net borrowings-to-equity ratio (%)

                58.04%

                125.41%

                81.32%

                66.78%

                71.62%

                Net assets per share (RMB)

                7.97

                6.25

                6.51

                6.42

                6.23

                a Description on the restatement
                As the financial statements of JEL Company have been consolidated into those of the Group since 1 July 2011, which represents the business combinations involving entities under common control, the Group made corresponding restatement to the financial statements for the financial years before 2011 according to the relevant requirements of CASBE.

                a Description of principal financial ratios
                Profit before interests and tax = Net profit + Income tax expenses + Interest expenses
                Net cash inflows from operating activities and cash return on investments = Net cash flows from operating activities + Cash received from disposal of investments + Cash received from returns on investments
                Interest covered multiple = Profit before interests and tax / Interest expenses   
                Debt-to-asset ratio = Total liabilities / Total assets                        
                Gross liabilities-to-equity ratio = Total liabilities / Total equity
                Net borrowings-to-equity ratio = (Total amount of borrowings - Cash and cash equivalents) / Total equity