合景泰富集团 (01813.HK)

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现金流量表(合景泰富集团)

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完整财报对比
2024年中报2023年年报2023年中报2022年年报2022年中报
起始日期 2024-01-012023-01-012023-01-012022-01-012022-01-01
截止日期 2024-06-302023-12-312023-06-302022-12-312022-06-30
报表类型 合并报表合并报表合并报表合并报表合并报表
报表年结日 12311231123112311231
上市前/上市后 上市后上市后上市后上市后上市后
原始币种 人民币人民币人民币人民币人民币
经营活动产生的现金流量
 除税前利润(元) -7,819,148,000.00-17,627,048,000.00-9,799,945,000.00-10,697,269,000.00749,076,000.00
 资产减值准备(元) 3,917,521,000.002,537,864,000.002,509,844,000.001,084,132,000.00-
 折旧与摊销(元) 140,054,000.00350,904,000.00180,832,000.00384,480,000.00205,198,000.00
 出售物业、厂房及设备的亏损收益(元) -33,168,000.00-849,364,000.00-54,226,000.00781,319,000.00-1,558,000.00
 应占联营及合营公司亏损收益(元) 928,821,000.005,010,602,000.004,701,802,000.003,817,975,000.00-48,309,000.00
 重估盈余(元) 470,912,000.002,516,081,000.001,254,009,000.001,064,022,000.00259,977,000.00
 利息支出(元) 1,910,503,000.002,852,833,000.001,334,651,000.00128,850,000.00107,750,000.00
 利息收入(元) -23,417,000.00-277,198,000.00-147,539,000.00-515,938,000.00-255,225,000.00
 应收帐款减少增加(元) -159,735,000.00-881,179,000.00-
 预付款项、按金及其他应收款项减少增加(元) -2,757,892,000.00-662,370,000.00-
 应付帐款增加减少(元) -666,900,000.00-2,437,502,000.00-
 预收账款、按金及其他应付款增加减少(元) ----3,441,553,000.00-
 经营资金变动其他项目(元) 1,937,083,000.002,801,906,000.00567,621,000.0014,493,466,000.002,839,084,000.00
 经营活动产生的现金(元) 1,429,161,000.00901,107,000.00547,049,000.0011,080,535,000.003,855,993,000.00
 已收利息经营(元) 23,417,000.00277,198,000.00147,539,000.00515,938,000.00255,225,000.00
 已付税项(元) -65,812,000.00-83,902,000.00-48,527,000.00-254,670,000.00-303,965,000.00
 经营活动产生的现金流量净额其他项目(元) 23,417,000.00257,257,000.00147,539,000.00402,705,000.00255,225,000.00
 经营活动产生的现金流量净额(元) 1,386,766,000.001,074,462,000.00646,061,000.0011,228,570,000.003,807,253,000.00
投资活动产生的现金流量
 购买物业、厂房及设备支付的现金(元) -67,137,000.00-89,189,000.00-17,240,000.00-1,185,289,000.00-16,536,000.00
 出售物业、厂房及设备收到的现金(元) 290,227,000.0038,234,000.00762,000.00760,000.00445,000.00
 购买无形资产及其他资产支付的现金(元) --722,955,000.00-68,444,000.00-648,225,000.00-324,208,000.00
 出售无形资产及其他资产收到的现金(元) 182,107,000.00665,626,000.00498,806,000.00345,809,000.00-
 购买子公司、联营企业及合营企业支付的现金(元) --94,805,000.00-82,375,000.00-26,428,000.00-19,910,000.00
 出售子公司、联营企业及合营企业收到的现金(元) -1,362,000.001,013,899,000.0028,350,000.003,081,374,000.00-
 已收利息及股息投资(元) -831,818,000.00497,855,000.00431,304,000.00218,871,000.00
 投资活动产生的现金流量净额其他项目(元) -367,575,000.00163,088,000.00-1,300,522,000.00-4,812,777,000.00820,125,000.00
 投资活动产生的现金流量净额(元) 36,260,000.001,805,716,000.00-442,808,000.00-2,813,472,000.00678,787,000.00
融资活动产生的现金流量
 新增借款(元) -1,310,555,000.00-17,341,121,000.00-
 偿还借款(元) -939,663,000.00-5,690,582,000.00-788,838,000.00-24,466,057,000.00-2,214,650,000.00
 发行股份(元) ---417,570,000.00-
 发行债券(元) -2,471,150,000.00-856,800,000.00-1,643,675,000.00
 赎回偿还债券(元) ----1,939,614,000.00-
 已付股息融资(元) ----553,928,000.00-539,289,000.00
 已付利息融资(元) -572,112,000.00-3,352,384,000.00-2,001,920,000.00-5,336,681,000.00-2,411,881,000.00
 融资活动产生的现金流量净额其他项目(元) --195,152,000.00-186,000,000.00848,213,000.00-297,000,000.00
 融资活动产生的现金流量净额(元) -1,511,775,000.00-5,456,413,000.00-2,976,758,000.00-12,832,576,000.00-7,106,495,000.00
现金及现金等价物净增加额(元) -88,749,000.00-2,576,235,000.00-2,773,505,000.00-4,417,478,000.00-2,620,455,000.00
现金及现金等价物的期初余额(元) 781,358,000.003,356,104,000.003,356,104,000.007,715,390,000.007,715,390,000.00
现金及现金等价物的期末余额其他项目(元) 47,000.001,489,000.003,300,000.0058,192,000.0028,908,000.00
现金及现金等价物的期末余额(元) 692,656,000.00781,358,000.00585,899,000.003,356,104,000.005,123,843,000.00
公告日期 2024-08-282024-04-252023-08-302023-04-282022-08-30
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