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上市公司资料 - 吉利汽车控股有限公司 , 00175.HK

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吉利汽车控股有限公司, 00175.HK - 综合现金流量表 2023-12 2022-12 2021-12 2020-12 2019-12 2018-12 2017-12 2016-12 2015-12 2014-12 2013-12 2012-12 2011-12 2010-12 2009-12 2008-12 2007-12 2006-12 2005-12
经营活动之现金流量 24,649,561 18,100,595 16,545,370 2,967,797 14,487,126 16,546,043 13,752,433 9,091,461 7,831,844 2,529,636 4,171,137 5,148,311 1,488,666 2,196,479 1,153,938 541,184 -16,500 -8,316 -7,636
投资回报及融资费用之现金流量 -1,103,106 -858,856 -483,209 -2,052,696 -2,709,390 -2,077,234 -959,947 -321,345 -152,936 -310,259 -289,217 -321,267 -291,702 -301,205 -106,723 130,438 253,969 200,256 7,356
 已收利息 921,956 893,579 572,683 299,132 235,601 192,922 127,057 85,429 96,909 57,625 59,263 42,156 44,084 52,357 73,845 49,725 20,334 13,401 57
 已付利息 -439,434 -162,243 -140,686 -133,995 -123,537 -73,298 -126,950 -104,627 -74,996 -48,039 -84,895 -193,061 -166,192 -205,210 -89,192 -44,846 0 -101 0
 已收股息 520,386 380,000 888,689 40,361 0 0 0 0 0 0 0 0 822 0 0 185,059 290,962 228,159 48,502
 已付股息 -2,106,014 -1,970,192 -1,803,895 -2,258,194 -2,821,454 -2,196,858 -960,054 -302,147 -174,849 -319,845 -263,585 -170,362 -170,416 -148,352 -91,376 -59,500 -57,327 -41,203 -41,203
 其他 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
退回/(已缴)税项 -2,307,192 -2,082,200 -1,197,027 -1,371,205 -1,949,422 -2,620,921 -1,758,931 -753,702 -423,018 -496,675 -609,568 -710,712 -280,726 -213,978 -205,133 9,793 -1,247 -1,292 0
投资活动之现金流量 -17,586,988 -13,403,929 -8,620,539 -5,769,730 -11,026,705 -11,511,631 -12,038,204 -2,642,898 -4,631,293 -1,525,532 -924,632 -2,113,193 -2,998,156 -1,397,959 -1,379,791 -509,326 -64,217 -902,366 -2,292
 增添固定资产 -5,711,295 -3,515,965 -2,833,372 -2,806,586 -2,872,645 -2,312,931 -3,451,567 -486,262 -1,570,519 -841,272 -930,264 -1,076,262 -1,420,269 -1,529,406 -716,542 -792,991 -21,904 -6,050 -2,292
 出售固定资产 102,049 146,814 228,359 101,216 8,216 104,723 55,790 75,899 233,012 91,864 289,745 101,640 199,406 193,523 114,251 20,197 0 46 0
 投资增加 -1,660,023 -2,830,769 -2,932,407 -49,490 -3,438,039 -4,135,931 -5,516,765 -1,383,779 -1,863,429 -16,365 -548,133 -537,462 -1,844,829 -234,475 -354,151 1,122,834 -42,313 -896,362 0
 投资减少 577,101 0 0 1,326,229 -1,166 21,650 1,054,717 1,137,510 13,073 313,199 173,001 181,175 853,370 0 0 6,149 0 0 0
 与关联人士之现金流量 473,118 5,779,257 2,920,117 53,711 1,555 1,030 0 0 8,931 0 0 0 0 153,614 0 10,000 -6,936 -3,831 9,452
 其他 -11,367,938 -12,983,266 -6,003,236 -4,394,810 -4,724,626 -5,190,172 -4,180,379 -1,986,266 -1,452,361 -1,072,958 91,019 -782,284 -785,834 18,785 -423,349 -875,515 6,936 3,831 -9,452
融资活动前之现金流量 3,652,275 1,755,610 6,244,595 -6,225,834 -1,198,391 336,257 -1,004,649 5,373,516 2,624,597 197,170 2,347,720 2,003,139 -2,081,918 283,337 -537,709 172,089 172,005 -711,718 -2,572
融资活动之现金流量 -218,328 3,457,518 2,860,600 6,153,341 4,708,351 1,963,801 -597,594 436,232 -680,950 1,540,139 -1,017,431 -842,747 729,434 -378,780 4,146,950 -44,365 600,270 724,042 9,452
 新增贷款 662,813 3,819,402 0 0 2,060,760 0 1,296,460 325,500 0 691,616 847,809 2,463,410 1,942,752 1,118,000 2,941,402 331,815 -2,661 0 0
 偿还贷款 -785,958 -4,342,366 -90,251 -35,320 -1,406,519 0 -174,375 -162,750 -691,616 -965,642 -1,777,868 -3,923,892 -1,227,168 -1,756,654 -966,356 -386,180 0 0 0
 定息/债项工具融资 1,500,000 0 0 0 3,413,102 1,927,161 0 0 0 1,814,165 0 0 0 0 1,669,363 0 0 727,873 0
 偿还定息/债项工具 -2,068,422 0 0 0 0 0 -2,033,536 0 0 0 0 0 0 0 -322,069 0 0 0 0
 股本融资 121 8,609 30,734 6,134,950 639,453 35,610 313,857 273,482 1,735 0 10,679 617,735 13,850 106,260 824,610 0 609,867 0 0
 与关联人士之现金流量 473,118 5,779,257 2,920,117 53,711 1,555 1,030 0 0 8,931 0 0 0 0 153,614 0 10,000 -6,936 -3,831 9,452
 其他 0 -1,807,384 0 0 0 0 0 0 0 0 -98,051 0 0 0 0 0 0 0 0
现金及等同现金之增加/(减少) 3,433,947 5,213,128 9,105,195 -72,493 3,509,960 2,300,058 -1,602,243 5,809,748 1,943,647 1,737,309 1,330,289 1,160,392 -1,352,484 -95,443 3,609,241 127,724 772,275 12,324 6,880
年初之现金及现金等同项目 33,341,339 28,013,995 18,976,843 19,281,216 15,737,196 13,414,638 15,045,493 9,166,926 7,203,176 5,477,747 4,188,862 3,030,391 4,393,075 4,498,155 889,408 761,684 20,972 8,449 1,499
外汇兑换率变动之影响/(其他) 7 114,216 -68,043 -231,880 34,060 22,500 -28,612 68,819 20,103 -11,880 -41,404 -1,921 -10,200 -9,637 -494 0 174 199 70
年终之现金及现金等同项目 36,775,293 33,341,339 28,013,995 18,976,843 19,281,216 15,737,196 13,414,638 15,045,493 9,166,926 7,203,176 5,477,747 4,188,862 3,030,391 4,393,075 4,498,155 889,408 793,421 20,972 8,449
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