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What is BYD Cash Flow about?

The consolidated cash flow statement for BYD Company Limited for the year ending December 31, 2024, shows a net cash flow from operating activities of RMB 133,453,873, down from RMB 169,725,025 in 2023. Cash flows from investing activities resulted in a net outflow of RMB 129,082,282, while financing activities led to a net outflow of RMB 10,267,547. The closing balance of cash and cash equivalents decreased to RMB 102,256,542 from RMB 108,511,745 in the previous year.

Author
chiukhang2000
Language
EN