*ST嘉寓 (300117.sz)

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现金流量表(*ST嘉寓)

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一、经营活动产生的现金流量
 销售商品、提供劳务收到的现金(元) 12,453,473.53184,909,498.05164,616,480.9597,562,720.2268,827,756.051,566,825,647.791,379,343,308.77666,675,918.07209,933,678.13
 收到的税费返还(元) -554,562.76100.92100.92-1,104,127.211,103,979.641,065,952.05164,536.61
 收到其他与经营活动有关的现金(元) 14,447,387.6628,294,687.0418,219,029.879,680,627.156,563,368.4855,773,163.2919,288,161.6818,949,111.9729,573,217.86
 经营活动现金流入小计(元) 26,900,861.19213,758,747.85182,835,611.74107,243,448.2975,391,124.531,623,702,938.291,399,735,450.09686,690,982.09239,671,432.60
 购买商品、接受劳务支付的现金(元) 8,196,248.45229,925,849.57212,914,109.98169,283,365.80175,337,193.79880,404,893.26739,503,746.11310,300,813.67158,036,338.11
 支付给职工以及为职工支付的现金(元) 1,562,388.1154,120,887.4143,890,109.1126,675,111.1415,460,624.3281,320,668.2965,718,775.7740,933,949.8320,834,550.31
 支付的各项税费(元) 605,059.3521,061,832.9919,797,301.6418,237,071.237,778,427.8834,990,399.4526,329,861.1112,700,999.596,131,515.15
 支付其他与经营活动有关的现金(元) 28,097,155.6251,070,376.3841,091,121.4626,084,525.6554,694,921.17132,681,939.2086,201,255.0153,706,851.6932,005,939.03
 经营活动现金流出小计(元) 38,460,851.53356,178,946.35317,692,642.19240,280,073.82253,271,167.161,129,397,900.20917,753,638.00417,642,614.78217,008,342.60
 经营活动产生的现金流量净额(元) --142,420,198.50--133,036,625.53-494,305,038.09-269,048,367.31-
二、投资活动产生的现金流量
 处置固定资产、无形资产和其他长期资产收回的现金净额(元) 4,030.004,715,050.64818,348.50818,348.50721,645.006,440,000.002,660,000.002,400,000.00-
 处置子公司及其他营业单位收到的现金净额(元) -----1.00---
 投资活动现金流入小计(元) 4,030.004,715,050.64818,348.50818,348.50721,645.006,440,001.002,660,000.002,400,000.00-
 购建固定资产、无形资产和其他长期资产支付的现金(元) 787,800.0028,503,087.1324,602,918.0718,552,904.077,053,627.0093,750,608.5370,568,320.5041,657,525.989,698,201.56
 投资支付的现金(元) -14,970,000.0014,970,000.0010,400,000.0010,400,000.0033,000,000.00---
 投资活动现金流出小计(元) 787,800.0043,473,087.1339,572,918.0728,952,904.0717,453,627.00126,750,608.5370,568,320.5041,657,525.989,698,201.56
 投资活动产生的现金流量净额(元) -783,770.00-38,758,036.49-38,754,569.57-28,134,555.57-16,731,982.00-120,310,607.53-67,908,320.50-39,257,525.98-9,698,201.56
三、筹资活动产生的现金流量
 取得借款收到的现金(元) -237,604,814.64209,725,856.30160,625,856.30153,080,156.30311,577,416.44260,810,492.02174,610,492.0223,300,817.94
 收到其他与筹资活动有关的现金(元) 15,175,000.009,323,788.257,178,265.34------
 筹资活动现金流入小计(元) 15,175,000.00246,928,602.89216,904,121.64160,625,856.30153,080,156.30311,577,416.44260,810,492.02174,610,492.0223,300,817.94
 偿还债务支付的现金(元) 607,672.4395,568,755.3065,591,464.197,503,755.305,953,581.91664,607,676.01610,869,334.63161,150,458.1534,739,516.49
 分配股利、利润或偿付利息支付的现金(元) 2,341,499.9120,573,285.3115,832,884.2410,386,768.493,898,068.3530,427,687.7224,392,597.1016,147,607.668,187,419.80
 支付其他与筹资活动有关的现金(元) -10,190,012.218,817,738.741,391,299.991,231,785.3113,416,030.8413,311,890.9410,621,669.343,157,555.95
 筹资活动现金流出小计(元) 2,949,172.34126,332,052.8290,242,087.1719,281,823.7811,083,435.57708,451,394.57648,573,822.67187,919,735.1546,084,492.24
 筹资活动产生的现金流量净额(元) 12,225,827.66120,596,550.07126,662,034.47141,344,032.52141,996,720.73-396,873,978.13-387,763,330.65-13,309,243.13-22,783,674.30
四、汇率变动对现金及现金等价物的影响(元) -464.1931,600.3731,971.4339,206.75-1.72-13,499.3320,098.4712,920.82-549.06
五、现金及现金等价物净增加额(元) -118,396.87-60,550,084.55-46,917,594.12-19,787,941.83-52,615,305.62-22,893,046.9026,330,259.41216,494,519.02-9,819,334.92
 加:期初现金及现金等价物余额(元) 3,021,284.2363,571,368.7863,571,368.7863,571,368.7863,571,368.7886,464,415.6886,464,415.6886,464,415.6886,464,415.68
 期末现金及现金等价物余额(元) 2,902,887.363,021,284.2316,653,774.6643,783,426.9510,956,063.1663,571,368.78112,794,675.09302,958,934.7076,645,080.76
补充资料:
 净利润(元) --1,502,254,597.67--179,955,940.52--74,707,138.44-56,097,216.85-
 资产减值准备(元) -997,598,152.16-127,916,858.08-203,930,549.38--16,048,174.79-
 固定资产和投资性房地产折旧(元) -42,765,008.43-25,959,268.65-47,762,773.37-22,253,321.97-
  其中:固定资产折旧、油气资产折耗、生产性生物资产折旧(元) -42,765,008.43-25,959,268.65-47,762,773.37-22,253,321.97-
 无形资产摊销(元) -5,394,536.59-2,744,987.15-5,715,495.67-2,753,024.21-
 长期待摊费用摊销(元) -581,198.25-302,705.04-10,664,456.44-1,863,672.73-
 处置固定资产、无形资产和其他长期资产的损失(元) -41,073,578.15-3,059,072.54-24,112,392.01-282,648.20-
 固定资产报废损失(元) -3,730,309.72-5,510.48-1,449,643.99-187.99-
 公允价值变动损失(元) -5,762.07-89.57-17,694.21-11,145.96-
 财务费用(元) -42,685,748.08-21,210,816.94-54,460,449.03-32,403,613.07-
 投资损失(元) ------71,707,007.02--71,707,006.02-
 递延所得税(元) -91,300,141.84--59,379,708.98--109,602,073.77--1,975,550.43-
  其中:递延所得税资产减少(元) -95,143,801.17--59,405,720.84--118,483,149.82--1,998,798.18-
 递延所得税负债增加(元) --3,843,659.33-26,011.86-8,881,076.05-23,247.75-
 存货的减少(元) -248,421,058.35--4,959,239.28--219,775,793.73--39,824,744.49-
 经营性应收项目的减少(元) -470,675,978.65-125,820,169.46-177,749,587.25--66,751,268.13-
 经营性应付项目的增加(元) --649,727,087.68--253,283,275.60-396,094,165.84-346,500,581.30-
 其他(元) -63,280,576.58-56,418,052.46-40,992,924.77-351,629.15-
 现金的期末余额(元) -3,021,284.23-43,783,426.95-63,571,368.78-302,958,934.70-
 减:现金的期初余额(元) -63,571,368.78-63,571,368.78-86,464,415.68-86,464,415.68-
 现金及现金等价物的净增加额(元) --60,550,084.55--19,787,941.83--22,893,046.90-216,494,519.02-
公告日期 2024-04-272024-04-262023-10-252023-08-192023-04-282023-04-222022-10-262022-08-222022-04-29
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