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FIRST QUARTERLY REPORT OF 2022

29 Apr 2022 09:55

RNS Number : 8592J
Air China Ld
29 April 2022
 

Hong Kong Exchanges and Clearing Limited and The Stock Exchange of Hong Kong Limited take no responsibility for the contents of this announcement, make no representation as to its accuracy or completeness and expressly disclaim any liability whatsoever for any loss howsoever arising from or in reliance upon the whole or any part of the contents of this announcement.

 

 

中國國際航空股份有限公司

AIR CHINA LIMITED

(a joint stock limited company incorporated in the People's Republic of China with limited liability)

(Stock Code: 00753)

 

 

 

FIRST QUARTERLY REPORT OF 2022

 

This announcement is made pursuant to Part XIVA of the Securities and Futures Ordinance (Chapter 571 of the Laws of Hong Kong) and Rule 13.09 and Rule 13.10B of the Rules Governing the Listing of Securities on The Stock Exchange of Hong Kong Limited.

 

The board of directors (the "Board") of Air China Limited (the "Company") held a meeting of the Board on 28 April 2022 and passed the resolution approving the first quarterly report of 2022 of the Company for the period ended 31 March 2022 (the "Reporting Period" or "Period") prepared in accordance with the PRC Accounting Standards for Business Enterprises.

 

IMPORTANT NOTICE

 

The Board and the supervisory committee of the Company together with the directors, supervisors and the senior management of the Company guarantee that the contents of the quarterly report are true, accurate and complete and do not contain any false representation, misleading statement or material omission, and shall jointly and severally accept legal liability.

 

The person in charge of the Company, person in charge of accounting function and person in charge of accounting department (accounting superintendent) hereby guarantee that the financial statements set out in this quarterly report are true, accurate and complete.

 

Whether the first quarterly report of the Company is audited

 

Yes X No

 

I. MAJOR FINANCIAL DATA

 

(1) MAJOR ACCOUNTING DATA AND FINANCIAL INDICATORS

 

Unit: RMB'000

 

 

 

 

Items

 

 

During the Reporting Period

Increase/decrease as compared to the same period of the previous year (%)

 

 

 

Revenue

12,917,577

-11.41

Net profit attributable to shareholders of the listed company

 

-8,899,923

 

N/A

Net profit attributable to shareholders

of the listed company after deducting non- recurring profits and losses

 

 

-8,962,346

 

 

N/A

Net cash flows from operating activities

-7,658,829

N/A

Basic earnings per share (RMB per share)

-0.65

N/A

Diluted earnings per share (RMB per share)

N/A

N/A

 

 

Weighted average return on net assets (%)

 

 

-15.64

Decreased by

7.31 percentage

points

 

 

 

 

 

 

At the end of the Reporting Period

 

 

 

 

At the end of the previous year

Increase/decrease at the end of the Reporting Period as compared to the end of the previous year (%)

 

 

 

 

Total assets

293,138,034

298,415,152

-1.77

Owners' equity attributable to shareholders of the listed company

 

52,375,762

 

61,402,519

 

-14.70

 

(2) Items and amount of non-recurring profits and losses

 

Unit: RMB'000

 

 

Items

Amount for the Period

 

 

Gains or losses on disposal of non-current assets

-4,081

Government subsidies recorded in the income statement for the current period (excluding those closely related to the Company's normal business and continuously entitled to in fixed amounts or quotas in accordance with the requirements of the state policy)

 

 

 

73,932

Gain or loss from change in fair value by holding tradable financial assets, derivative financial assets, tradable financial liabilities and derivative financial liabilities, and investment income from disposal of tradable financial assets, derivative financial assets, tradable financial liabilities and derivative financial liabilities as well as other debt investments, excluding the effective hedging businesses related with the normal operations of the Company

 

 

 

 

 

 

 

-657

Switch-back of impairment provisions of accounts receivable and contract assets that have undergone impairment test alone

 

2,892

Other non-operating income and expenses besides the above items

14,539

Less: Effect of income tax

13,589

Effect of non-controlling interests (after tax)

10,613

 

 

Total

62,423

 

 

 

Explanation of non-recurring profits and losses items listed in the "Interpretative Announcement for Information Disclosure of Companies That Issue Securities to the Public

No.1 - Non-recurring Profits and Losses" (《公開發行證券的公司信息披露解釋性公告

1號-非經常性損益》) which are defined as recurring profits and losses items

 

Applicable X Not applicable

 

(3) Particulars of, and reasons for, changes in major accounting data and financial indicators

 

3 Applicable Not applicable

 

 

Items

Percentage of Change (%)

 

Major Reasons

 

 

 

Net profit attributable to shareholders of the listed company

N/A

Mainly due to the combined effects of the domestic sporadic outbreak of the pandemic and the rising aviation fuel price

Net profit attributable to shareholders of the listed company after deducting non-recurring profits and losses

N/A

Mainly due to the combined effects of the domestic sporadic outbreak of the pandemic and the rising aviation fuel price

Net cash flows from operating activities

N/A

Mainly due to the effect of the decrease of deposits received by the finance company under the Group during the Period

Basic earnings per share (RMB per share)

N/A

Mainly due to the combined effects of the domestic sporadic outbreak of the pandemic and the rising aviation fuel price

 

II. INFORMATION OF SHAREHOLDERS

 

(1) Total number of holders of ordinary shares, the number of holders of preference shares with restored voting rights and the particulars of the top 10 shareholders

 

Unit: share

 

 

Total number of holders of ordinary shares as at the end of the Reporting Period

 

111,662 accounts, of which 3,022 were registered shareholders of H shares

Total number of holders of preference shares with restored voting rights as at the end of the Reporting Period (account, if any)

 

 

/

 

Particulars of the top 10 shareholders

 

 

 

Name of shareholder

 

 

Nature of shareholder

 

 

Number of shares held

 

 

Shareholding percentage

Number of shares held subject to selling restrictions

 

 

Shares pledged, marked or frozen

Status

Number

 

 

 

(%)

 

 

 

 

 

 

 

 

 

 

China National Aviation Holding Corporation Limited

State-owned legal person

 

5,952,236,697

 

40.98

 

0

 

Frozen

 

127,445,536

 

 

 

 

 

 

 

Cathay Pacific Airways Limited

Foreign legal person

2,633,725,455

18.13

0

Nil

0

HKSCC NOMINEES LIMITED

Foreign legal person

1,688,204,365

11.62

0

Nil

0

China National Aviation Corporation (Group) Limited

Foreign legal person

1,556,334,920

10.72

0

Frozen

36,454,464

 

Particulars of the top 10 shareholders

 

 

 

Name of shareholder

 

 

Nature of shareholder

 

 

Number of shares held

 

 

Shareholding percentage

Number of shares held subject to selling restrictions

 

 

Shares pledged, marked or frozen

Status

Number

 

 

 

(%)

 

 

 

 

 

 

 

 

 

 

China National Aviation Fuel Group Corporation

State-owned legal person

324,541,025

2.23

0

Nil

0

China Securities Finance Corporation Limited

State-owned legal person

311,302,365

2.14

0

Nil

0

Hong Kong Securities Clearing Company Ltd.

Foreign legal person

82,153,262

0.57

0

Nil

0

Agricultural Bank of China Limited - GF Balanced Preferred Hybrid Securities Investment Fund

(中國農業銀行股份有限公司-廣發均衡優選混

合型證券投資基金)

Domestic

non-state-owned legal person

58,402,229

0.40

0

Nil

0

Bank of China - YFD Stable Income Bond Investment Fund (中國銀行-易方達穩健收益債

券型證券投資基金)

Domestic

non-state-owned legal person

42,570,400

0.29

0

Nil

0

Industrial Bank Co., Ltd. - GF Stable Preferred Six-Month Holding Period Hybrid Securities

Investment Fund (興業銀行股份有限公司-廣發

穩健優選六個月持有期混合型證券投資基金)

Domestic

non-state-owned legal person

32,184,214

0.22

0

Nil

0

 

Particulars of the top 10 shareholders not subject to selling restrictions

 

 

Name of shareholder

 

Number of tradable shares

held not subject to selling restrictions

 

Class and number of shares

Class

Number

 

 

 

 

China National Aviation Holding Corporation Limited

5,952,236,697

RMB ordinary shares

5,952,236,697

Cathay Pacific Airways Limited

2,633,725,455

Overseas listed foreign shares

2,633,725,455

HKSCC NOMINEES LIMITED

1,688,204,365

Overseas listed foreign shares

1,688,204,365

China National Aviation Corporation (Group) Limited

1,556,334,920

RMB ordinary shares

1,332,482,920

 

 

Overseas listed foreign shares

223,852,000

China National Aviation Fuel Group Corporation

324,541,025

RMB ordinary shares

324,541,025

China Securities Finance Corporation Limited

311,302,365

RMB ordinary shares

311,302,365

Hong Kong Securities Clearing Company Ltd.

82,153,262

RMB ordinary shares

82,153,262

Agricultural Bank of China Limited - GF Balanced Preferred Hybrid Securities Investment Fund

(中國農業銀行股份有限公司-廣發均衡優選混合型證券投資基金)

58,402,229

RMB ordinary shares

58,402,229

Bank of China - YFD Stable Income Bond Investment Fund

(中國銀行-易方達穩健收益債券型證券投資基金)

42,570,400

RMB ordinary shares

42,570,400

Industrial Bank Co., Ltd. - GF Stable Preferred Six-Month Holding Period Hybrid Securities Investment Fund (興業銀行股份有限公司-廣發穩健優選

六個月持有期混合型證券投資基金)

32,184,214

RMB ordinary shares

32,184,214

Explanation on connected relationship or action in concert among the above shareholders

China National Aviation Corporation (Group) Limited is a wholly-owned subsidiary of China National Aviation Holding Corporation Limited. Accordingly, China National Aviation Holding Corporation Limited is directly and indirectly interested in 51.70% of the shares of the Company.

Explanation on the participation of the top 10 shareholders and the top 10 shareholders not subject to selling restrictions in margin financing and securities lending as well as margin and securities refinancing business (if any)

Nil

 

1. HKSCC NOMINEES LIMITED is a subsidiary of The Stock Exchange of Hong Kong Limited and its principal business is acting as nominee for and on behalf of other corporate shareholders or individual shareholders. The 1,688,204,365 H shares held by it in the Company do not include the 166,852,000 shares held by it as nominee of China National Aviation Corporation (Group) Limited.

 

2. According to the "Implementation Measures on Partial Transfer of State-owned Shares to the National Social Security Fund in the Domestic Securities Market" (Cai Qi [2009] No. 94) (《境內證券市場轉持部分國有股充實全國社會保障基金實施辦法》 (財企[2009]94)) and the Notice ([2009] No. 63) jointly issued by the Ministry of Finance, the SASAC, China Securities Regulatory Commission and the National Council for Social Security Fund, 127,445,536 and 36,454,464 shares held by China National Aviation Holding Corporation Limited, the controlling shareholder of the Company, and China National Aviation Corporation (Group) Limited respectively are frozen at present.

 

III. OTHER ALERTS

 

Other important information that needs to be brought to the attention of investors regarding the Company's operations during the Reporting Period

 

Applicable X Not applicable

 

IV. QUARTERLY FINANCIAL STATEMENTS

 

(1) Type of audit opinion

 

Applicable X Not applicable

 

(2) Financial statements

 

CONSOLIDATED BALANCE SHEET

31 March 2022

Prepared by Air China Limited

 

Unit: RMB'000 (Unaudited)

 

 

Items

31 March

2022

31 December

2021

 

 

 

CURRENT ASSETS:

 

 

Cash and bank balance

11,953,983

16,709,664

Provisions on payables

 

 

Contributions made

 

 

Financial assets held-for-trading

3,500

4,157

Derivative financial assets

 

 

Bills receivable

1,193

3,591

Accounts receivable

1,565,549

2,991,037

Receivables financing

 

 

Prepayments

598,670

440,274

Premium receivable

 

 

Receivables on reinsurance

 

 

Provisions for reinsurance contracts

 

 

Other receivables

3,466,217

3,191,247

Including: Interest receivable

 

 

Dividend receivable

 

 

Purchase of financial assets resold

 

 

Inventories

2,611,116

2,050,282

Contract assets

 

 

Held-for-sale assets

111,502

333,884

Non-current assets due within a year

 

 

Other current assets

5,703,688

4,672,592

Total current assets

26,015,418

30,396,728

 

 

Items

31 March

2022

31 December

2021

 

 

 

NON-CURRENT ASSETS:

 

 

Loans and advances

 

 

Debt investments

 

 

Other debt investments

1,329,109

1,373,634

Long-term receivables

552,506

574,646

Long-term equity investments

11,125,478

12,081,091

Investments in other equity instruments

157,396

178,366

Other non-current financial assets

 

 

Investment properties

127,210

128,782

Fixed assets

83,721,874

85,009,447

Construction in progress

33,915,102

34,862,651

Biological assets for production

 

 

Oil and gas assets

 

 

Right-of-use assets

121,067,139

119,213,535

Intangible assets

3,502,815

3,544,175

Development expenses

 

 

Goodwill

1,102,185

1,102,185

Long-term deferred expenses

234,267

249,358

Deferred tax assets

10,287,535

9,700,554

Other non-current assets

 

 

Total non-current assets

267,122,616

268,018,424

Total assets

293,138,034

298,415,152

CURRENT LIABILITIES:

 

 

Short-term loans

19,442,120

22,001,916

Short-term financing bonds payable

11,880,363

12,332,635

Borrowings from central bank

 

 

Contributions received

 

 

Financial liabilities held-for-trading

 

 

Derivative financial liabilities

 

 

Bills payable

377,793

199,276

Accounts payable

14,405,302

13,307,360

Air traffic liabilities

1,926,792

2,116,028

Receipts in advance

 

 

Contract liabilities

1,705,498

1,479,717

Sale of financial assets repurchased

 

 

Deposits from clients and placements from other banks

 

 

Brokerage payable

 

 

Underwriting fees payable

 

 

Employee compensations payable

2,776,794

3,502,384

Taxes payable

138,485

166,085

Other payables

16,195,803

17,239,846

Including: Interest payable

 

 

Dividend payable

 

 

Fees and commissions payable

 

 

Amounts payable on reinsurance

 

 

Held-for-sale liabilities

 

 

Non-current liabilities due within a year

24,080,838

19,070,477

Other current liabilities

 

 

Total current liabilities

92,929,788

91,415,724

 

 

Items

31 March

2022

31 December

2021

 

 

 

NON-CURRENT LIABILITIES:

 

 

Reserves on insurance contracts

 

 

Long-term loans

48,114,323

43,620,468

Debentures payable

7,492,253

9,499,579

Including: Preference shares

 

 

Perpetual bonds

 

 

Lease liabilities

77,056,885

76,347,051

Long-term payables

5,749,470

5,656,909

Long-term employee compensation payables

220,736

218,336

Accrued liabilities

3,136,799

3,147,357

Deferred income

533,592

544,383

Deferred tax liabilities

326,954

328,063

Other non-current liabilities

1,721,906

1,772,209

Total non-current liabilities

144,352,918

141,134,355

Total liabilities

237,282,706

232,550,079

 

 

 

OWNERS' EQUITY

(OR SHAREHOLDERS' EQUITY):

 

 

Paid-up capital (or share capital)

14,524,815

14,524,815

Other equity instruments

 

 

Including: Preference shares

 

 

Perpetual bonds

 

 

Capital reserve

26,270,841

26,270,841

Less: Treasury shares

 

 

Other comprehensive income

-532,143

-405,309

Special reserves

 

 

Surplus reserves

11,564,287

11,564,287

General risk provisions

131,916

131,916

Retained earnings

416,046

9,315,969

Total owners' equity (or shareholders' equity) attributable to the parent company

 

52,375,762

 

61,402,519

Non-controlling interests

3,479,566

4,462,554

Total owners' equity (or shareholders' equity)

55,855,328

65,865,073

Total liabilities and owners' equity (or shareholders' equity)

 

293,138,034

 

298,415,152

 

Person in charge of the Company: Mr. Song Zhiyong Person in charge of accounting function: Mr. Xiao Feng

Person in charge of accounting department: Mr. Zhan Zhong

 

CONSOLIDATED INCOME STATEMENT

January to March 2022

Prepared by Air China Limited

 

Unit: RMB'000 (Unaudited)

 

Items

First quarter of 2022

First quarter of 2021

 

 

 

I. Total revenue from operations

12,917,577

14,580,678

Including: Operating income

12,917,577

14,580,678

Interest income

 

 

Premium earned

 

 

Fees and commission income

 

 

 

 

 

II. Total operating cost

23,144,688

23,098,558

Including: Operating costs

19,688,533

19,241,297

Interest expenses

 

 

Fees and commission expenses

 

 

Returned premium

 

 

Net reimbursement paid

 

 

Net amounts of provisions on insurance obligations drawn

 

 

Bonus paid on insurance policy

 

 

Reinsurance premium

 

 

Taxes and other levies

52,195

58,856

Selling expenses

1,048,349

1,095,861

General and administrative expenses

1,066,408

1,056,567

R&D expenses

38,099

30,249

Finance expenses

1,251,104

1,615,728

Including: Interest expenses

1,500,782

1,313,417

Interest income

29,366

8,188

Add: Other income

613,591

913,601

Investment income (loss is represented by "-" sign)

-842,440

-1,047,673

Including: Share of profits of associates and joint ventures

-853,876

-1,062,546

Gains on derecognition of financial assets measured at amortised cost

 

 

Exchange gains (loss is represented by "-" sign)

 

 

Gains from net exposure to hedging (loss is represented by "-" sign)

 

 

Gains from changes in fair value (loss is represented by "-" sign)

 

-657

 

Impairment loss of credit (loss is represented by "-" sign)

4,948

-5,228

Impairment loss of assets (loss is represented by "-" sign)

 

 

Gains from disposal of assets (loss is represented by "-" sign)

1,193

-914

 

Items

First quarter of 2022

First quarter of 2021

 

 

 

III. Profit from operations (loss is represented by "-" sign)

-10,450,476

-8,658,094

Add: Non-operating income

27,255

27,204

Less: Non-operating expenses

17,989

7,119

 

 

 

IV. Total profit (total loss is represented by "-" sign)

-10,441,210

-8,638,009

Less: Income tax expenses

-569,551

-1,690,959

 

 

 

V. Net profit (net loss is represented by "-" sign)

-9,871,659

-6,947,050

(I) Classified by continuity of operations

 

 

1. Net profit from continuing operations (net loss is represented by "-" sign)

 

-9,871,659

 

-6,947,050

2. Net profit from discontinued operation (net loss is represented by "-" sign)

 

 

(II) Classified by ownership

 

 

1. Net profits attributable to shareholders of the parent company (net loss is represented by "-" sign)

 

-8,899,923

 

-6,207,790

2. Profit or loss attributable to non-controlling interests (net loss is represented by "-" sign)

 

-971,736

 

-739,260

 

 

 

VI. Other comprehensive income after tax, net

-138,086

82,705

(I) Other comprehensive income after tax attributable to owners of the parent company, net

 

-126,834

 

89,375

1. Other comprehensive income that cannot be subsequently reclassified to profit or loss

 

-8,021

 

-1,854

(1) Changes arising on remeasurement of defined benefit plans

 

 

(2) Other comprehensive income accounted for using the equity method that cannot be reclassified to profit or loss

 

 

(3) Change in fair value of investments in other equity instruments

 

-8,021

 

-1,854

(4) Change in fair value of own credit risk of the Company

 

 

2. Other comprehensive income that will be reclassified to profit or

loss

 

 

-118,813

 

 

91,229

(1) Other comprehensive income accounted for using the equity method that may be reclassified to profit or loss

 

 

(2) Change in fair value of other debt investments

 

-1,945

(3) Amount of financial assets reclassified into other comprehensive income

 

 

(4) Provisions for credit impairment of other debt investments

 

-2,387

(5) Reserve for cash flow hedging

 

 

(6) Exchange difference on translation of financial statements in foreign currency

 

-118,813

 

95,561

(7) Others

 

 

(II) Other comprehensive income after tax attributable to non-controlling interests, net

 

-11,252

 

-6,670

 

Items

First quarter of 2022

First quarter of 2021

 

 

 

VII. Total comprehensive income

-10,009,745

-6,864,345

(I) Total comprehensive income attributable to owners of the parent company

 

-9,026,757

 

-6,118,415

(II) Total comprehensive income attributable to non-controlling interests

-982,988

-745,930

 

 

 

VIII. Earnings per share:

 

 

(I) Basic earnings per share (RMB per share)

-0.65

-0.45

(II) Diluted earnings per share (RMB per share)

N/A

N/A

 

For business combination under common control during the Period, the net profit of merged party before the business combination is Nil, and the net profit of the merged party for the last period is Nil.

 

Person in charge of the Company: Mr. Song Zhiyong Person in charge of accounting function: Mr. Xiao Feng

Person in charge of accounting department: Mr. Zhan Zhong

 

CONSOLIDATED CASH FLOW STATEMENT

January to March 2022

Prepared by Air China Limited

 

Unit: RMB'000 (Unaudited)

 

 

Items

First quarter of

2022

First quarter of

2021

 

 

 

I. Cash flows from operating activities:

 

 

Cash received from sales of goods and provision of services

 

14,657,731

 

14,380,541

Net increase in deposits from clients and placements from banks

 

 

Net increase in borrowings from central bank

 

 

Net increase in contributions received from other financial institutions

 

 

Cash received from premiums of original insurance contracts

 

 

Net cash receipt from reinsurance operations

 

 

Net increase in reserve of the insured and investment

 

 

Cash received from interest, fees and commission

 

 

Net increase in contributions received

 

 

Net increase in cash from repurchase operations

 

 

Net cash receipt from securities trading as agent

 

 

Refund of taxes and levies

9,761

4,636

Other cash received relating to operating activities

1,204,029

1,624,412

Subtotal of cash inflows of operating activities

15,871,521

16,009,589

Cash paid for goods purchased and services received

9,480,709

8,587,763

Net increase in loans and advances to clients

 

 

Net increase in deposits in central bank and other banks

 

 

Cash paid in respect of claims under original insurance contracts

 

 

Net increase in contributions made

 

 

Cash paid for interest, fees and commissions

 

 

Cash paid for bonus paid on insurance policy

 

 

Cash paid to or on behalf of employees

6,550,937

6,584,075

Taxes and levies paid

236,815

266,475

Other cash paid relating to operating activities

7,261,889

1,825,572

Subtotal of cash outflows from operating activities

23,530,350

17,263,885

Net cash flows from operating activities

-7,658,829

-1,254,296

 

 

Items

First quarter of

2022

First quarter of

2021

 

 

 

II. Cash flows from investing activities:

 

 

Cash received from sale and redemption of investments

30,061

722,905

Cash received from investment income

22,064

291

Net cash proceeds from disposal of fixed assets, intangible assets and other long-term assets

 

233,921

 

8,251

Net cash proceeds from disposal of subsidiaries and other business units

 

 

Other cash received relating to investing activities

76,675

31,118

Subtotal of cash inflows from investing activities

362,721

762,565

Cash paid for purchase and construction of fixed assets, intangible assets and other long-term assets

 

1,466,844

 

562,481

Cash paid for investments

794,343

50,000

Net increase in secured loans

 

 

Net cash payments for acquisition of subsidiaries and other business units

 

 

Other cash paid relating to investing activities

1,554

6,758

Subtotal of cash outflows from investing activities

2,262,741

619,239

Net cash flows from investing activities

-1,900,020

143,326

III. Cash flows from financing activities:

 

 

Cash received from issuance of debentures

5,750,000

700,000

Cash received from capital injection

 

490,148

Including: Cash received from capital injection of

non-controlling shareholders in subsidiaries

 

 

490,148

Cash received from borrowings

15,029,966

13,650,876

Other cash received relating to financing activities

 

 

Subtotal of cash inflows from financing activities

20,779,966

14,841,024

Cash paid for repayment of borrowings

7,581,824

4,219,254

Cash paid for repayment of debentures

3,250,000

1,000,000

Cash paid for distribution of dividends, profits or payment of interest expenses

 

1,588,383

 

1,564,579

Including: Dividends and profits paid to non-controlling shareholders by subsidiaries

 

 

Other cash paid relating to financing activities

3,516,104

3,616,317

Subtotal of cash outflows from financing activities

15,936,311

10,400,150

Net cash flows from financing activities

4,843,655

4,440,874

 

 

Items

First quarter of

2022

First quarter of

2021

 

 

 

IV. Effect of exchange rate changes on cash and cash equivalents

 

-7,693

 

23,666

 

 

 

V. Net increase in cash and cash equivalents

-4,722,887

3,353,570

Add: Balance of cash and cash equivalents as at the beginning of the Period

 

15,934,713

 

5,837,998

 

 

 

VI. Balance of cash and cash equivalents as at the end of the Period

 

11,211,826

 

9,191,568

 

Person in charge of the Company: Mr. Song Zhiyong Person in charge of accounting function: Mr. Xiao Feng

Person in charge of accounting department: Mr. Zhan Zhong

 

Particulars in relation to adjustments made to the financial statements as at the beginning of the year for the initial implementation of New Accounting Standards since 2022

 

Applicable X Not applicable

 

By Order of the Board

Air China Limited

 Huang Bin Huen Ho Yin

Joint Company Secretaries

 

Beijing, the PRC, 28 April 2022

 

As at the date of this announcement, the directors of the Company are Mr. Song Zhiyong, Mr. Ma Chongxian, Mr. Feng Gang, Mr. Patrick Healy, Mr. Li Fushen*, Mr. He Yun*, Mr. Xu Junxin* and Ms. Winnie Tam Wan-chi*.

 

* Independent non-executive director of the Company

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