CXMT

688825 · SSE · CNY

¥54.79Change from previous close: −1.37%Absolute change: −¥0.76

Close · September 30, 2026

At a glance

Revenue growth
+155.60%
2025 vs 2024
Net margin
3.0%
2024: -29.6%

Financial data

Amounts in millions of CNY; per-share values in CNY; shares in millions.

Cash flow · Annual
Item2025202420232022
Operating cash flow36,5206,897-7,272-1,957
Depreciation and amortization26,43015,85411,9175,938
Capital expenditure-49,739-71,230-43,658-35,431
Investing cash flow-86,823-72,415-44,002-26,949
Financing cash flow46,12177,21450,80738,971
Dividends paid-3,077-3,204-2,706-1,265
Debt issued75,50738,06239,99047,810
Debt repaid-60,230-10,302-8,113-9,732
Effect of exchange rates-528-301-202111
Net change in cash-4,71011,396-66910,176
Free cash flow-13,219-64,332-50,930-37,388
Levered free cash flow-23,807-63,593-39,258—