分享此页

上市公司资料 - 招商局港口控股有限公司 , 00144.HK

请输入股票编号或公司名称     搜寻  
 
 概览   资料   数据   财务比率   损益   现金流   资产负债   盈利   派息 

招商局港口控股有限公司, 00144.HK - 综合现金流量表 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 7,139,000 6,551,000 4,536,000 4,954,000 4,547,000 4,370,000 4,093,000 4,219,000 3,852,000 3,759,000 5,085,000 3,186,000 2,093,000 1,627,000 2,463,000 1,946,000 840,000 449,000
投资回报及融资费用之现金流量 -586,000 329,000 -1,197,000 -1,654,000 -1,967,000 -2,787,000 -1,490,000 -299,000 -1,922,000 -518,000 -1,818,000 -1,874,000 -656,000 -965,000 -982,000 -453,000 306,000 407,000
 已收利息 360,000 307,000 252,000 217,000 294,000 132,000 47,000 244,000 71,000 64,000 162,000 187,000 112,000 16,000 43,000 37,000 30,000 101,000
 已付利息 -1,686,000 -1,522,000 -1,782,000 -1,852,000 -1,685,000 -1,192,000 -964,000 -858,000 -1,202,000 -1,099,000 -1,440,000 -1,048,000 -745,000 -675,000 -640,000 -411,000 -409,000 -167,000
 已收股息 2,592,000 3,347,000 1,762,000 1,979,000 2,242,000 1,923,000 2,142,000 3,204,000 1,422,000 2,042,000 2,130,000 2,229,000 1,254,000 1,279,000 1,385,000 1,226,000 1,260,000 920,000
 已付股息 -1,852,000 -1,803,000 -1,429,000 -1,998,000 -2,818,000 -3,650,000 -2,715,000 -2,889,000 -2,213,000 -1,525,000 -2,670,000 -3,242,000 -1,277,000 -1,585,000 -1,770,000 -1,305,000 -575,000 -447,000
 其他 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
退回/(已缴)税项 -950,000 -1,113,000 -476,000 -623,000 -567,000 -536,000 -683,000 -739,000 -565,000 -605,000 -882,000 -744,000 -429,000 -147,000 -131,000 -116,000 -106,000 -53,000
投资活动之现金流量 -4,184,000 -4,389,000 -6,415,000 -2,627,000 -15,648,000 393,000 -10,903,000 -2,227,000 -4,267,000 -7,845,000 -9,487,000 -2,967,000 -519,000 -617,000 -3,064,000 -1,198,000 -1,669,000 -8,318,000
 增添固定资产 -1,514,000 -1,834,000 -1,789,000 -2,894,000 -2,564,000 -1,752,000 -1,207,000 -1,696,000 -3,165,000 -3,485,000 -3,911,000 -1,962,000 -1,072,000 -1,206,000 -1,990,000 -2,137,000 -2,180,000 -2,249,000
 出售固定资产 10,000 23,000 25,000 82,000 14,000 24,000 13,000 258,000 350,000 108,000 1,146,000 69,000 1,175,000 38,000 16,000 57,000 2,000 1,000
 投资增加 -2,801,000 -1,000 -2,692,000 -8,954,000 -15,255,000 -5,905,000 -10,320,000 -2,972,000 -1,078,000 -5,854,000 -5,088,000 -890,000 -585,000 -226,000 -1,672,000 -1,922,000 -109,000 -6,702,000
 投资减少 -22,000 -38,000 105,000 -78,000 4,159,000 9,083,000 708,000 2,303,000 314,000 0 -851,000 0 0 775,000 525,000 2,518,000 297,000 384,000
 与关联人士之现金流量 -278,000 346,000 1,129,000 2,481,000 46,000 1,956,000 -291,000 -1,072,000 -6,957,000 6,068,000 -1,417,000 -294,000 727,000 681,000 1,728,000 43,000 175,000 -135,000
 其他 421,000 -2,885,000 -3,193,000 6,736,000 -2,048,000 -3,013,000 194,000 952,000 6,269,000 -4,682,000 634,000 110,000 -764,000 -679,000 -1,671,000 243,000 146,000 383,000
融资活动前之现金流量 1,419,000 1,378,000 -3,552,000 50,000 -13,635,000 1,440,000 -8,983,000 954,000 -2,902,000 -5,209,000 -7,102,000 -2,399,000 489,000 -102,000 -1,714,000 179,000 -629,000 -7,515,000
融资活动之现金流量 -1,366,000 -2,804,000 7,586,000 1,758,000 9,852,000 3,940,000 2,536,000 -35,000 9,225,000 5,541,000 3,406,000 2,327,000 2,544,000 136,000 3,621,000 235,000 495,000 6,449,000
 新增贷款 21,466,000 5,906,000 18,976,000 7,052,000 25,111,000 6,451,000 5,262,000 4,884,000 7,143,000 7,848,000 12,233,000 9,432,000 7,639,000 1,716,000 6,989,000 137,000 0 6,653,000
 偿还贷款 -19,610,000 -8,871,000 -17,153,000 -7,158,000 -25,431,000 -5,144,000 -3,588,000 -5,063,000 -6,161,000 -7,365,000 -13,063,000 -9,854,000 -5,855,000 -2,272,000 -8,994,000 -263,000 0 -122,000
 定息/债项工具融资 3,916,000 0 6,185,000 0 12,463,000 2,999,000 2,670,000 6,030,000 15,789,000 1,255,000 5,634,000 3,013,000 0 0 3,859,000 0 0 0
 偿还定息/债项工具 -6,860,000 -185,000 -1,551,000 -617,000 -2,337,000 -2,018,000 -1,519,000 -4,986,000 -629,000 -2,329,000 0 0 0 0 0 0 0 0
 股本融资 0 0 0 0 0 0 2,000 172,000 40,000 64,000 19,000 30,000 33,000 11,000 39,000 318,000 175,000 53,000
 与关联人士之现金流量 -278,000 346,000 1,129,000 2,481,000 46,000 1,956,000 -291,000 -1,072,000 -6,957,000 6,068,000 -1,417,000 -294,000 727,000 681,000 1,728,000 43,000 175,000 -135,000
 其他 0 0 0 0 0 -304,000 0 0 0 0 0 0 0 0 0 0 145,000 0
现金及等同现金之增加/(减少) 53,000 -1,426,000 4,034,000 1,808,000 -3,783,000 5,380,000 -6,447,000 919,000 6,323,000 332,000 -3,696,000 -72,000 3,033,000 34,000 1,907,000 414,000 -134,000 -1,066,000
年初之现金及现金等同项目 9,974,000 11,217,000 6,939,000 5,238,000 9,247,000 3,637,000 10,293,000 9,501,000 3,205,000 2,806,000 6,520,000 6,352,000 3,206,000 3,171,000 1,230,000 781,000 940,000 2,071,000
外汇兑换率变动之影响/(其他) -402,000 183,000 244,000 -107,000 -226,000 230,000 -209,000 -127,000 -27,000 67,000 -18,000 240,000 113,000 1,000 -331,000 35,000 -25,000 -65,000
年终之现金及现金等同项目 9,625,000 9,974,000 11,217,000 6,939,000 5,238,000 9,247,000 3,637,000 10,293,000 9,501,000 3,205,000 2,806,000 6,520,000 6,352,000 3,206,000 2,806,000 1,230,000 781,000 940,000
货币 港元 港元 港元 港元 港元 港元 港元 港元 港元 港元 港元 港元 港元 港元 港元 港元 港元 港元
单位
核数师意见 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1

说明:1代表无保留意见;2代表保留意见;3代表修改意见

流动版 | 完全版
论坛守则 | 关于我们 | 联系方式 | 服务条款 | 私隐条款 | 免责声明 | 网页指南
版权所有 不得转载 (C) 2024Suntek Computer Systems Limited.
免责声明 : 88iv设立此一网站,旨在以最快捷的方式为公众人士提供清楚准确的最新资料,但在整理资料及编写程式时或会有无心之失。故88iv特此声明,此一网站所载的资料如有任何不确之处、遗漏或误植错字,并引致任何直接或间接的损失或亏损,88iv概不负责,亦不会作出任何赔偿(不论根据侵权法、合约或其他规定亦然)。此外,88iv并不保证本网站所载的资料乃属正确无误及完整无缺,亦不担保可以及时将资料上网及内容适合有关用途。