上市公司资料 - 深圳控股有限公司 , 00604.HK

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深圳控股有限公司, 00604.HK - 综合现金流量表 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 -2,365,517 -115,861 8,289,241 4,875,680 577,987 11,660,241 7,413,430 2,708,337 658,614 -155,570 -2,286,300 -1,232,882 2,856,428 -334,466 661,045 1,922,752 1,848,261
投资回报及融资费用之现金流量 -2,915,003 82,422 -1,237,163 -1,230,557 -1,375,435 -1,564,337 -2,454,016 -1,859,506 -1,376,557 -1,038,278 -372,017 -670,175 -337,600 -974,818 -827,552 -536,879 -149,078
 已收利息 663,269 350,124 154,562 217,971 284,074 78,135 181,289 368,892 460,601 275,094 247,267 174,506 118,488 153,175 159,019 50,973 60,439
 已付利息 -1,189,490 -1,366,784 -1,264,068 -1,696,315 -1,211,697 -1,045,844 -1,489,374 -1,849,583 -1,586,850 -1,183,571 -734,806 -430,935 -216,449 -302,099 -529,069 -281,256 -200,594
 已收股息 183,603 2,953,913 401,105 827,938 309,601 258,202 118,774 113,629 167,273 374,567 582,747 169,528 208,153 75,363 134,368 294,439 337,459
 已付股息 -2,572,385 -1,854,831 -528,762 -580,151 -757,413 -854,830 -1,264,705 -492,444 -417,581 -504,368 -467,225 -583,274 -447,792 -901,257 -591,870 -601,035 -346,382
 其他 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
退回/(已缴)税项 -3,770,263 -2,498,090 -3,013,137 -4,338,289 -3,791,994 -3,217,599 -2,168,433 -1,073,981 -792,809 -836,147 -627,765 -496,341 -304,772 -228,647 -207,074 -129,458 -54,905
投资活动之现金流量 -352,535 -2,881,695 -379,038 -2,440,434 -2,243,786 -3,496,049 2,707,205 -2,913,916 -637,827 -795,707 -1,631,772 243,641 -307,128 -955,683 -4,444,509 -2,482,797 -850,516
 增添固定资产 -353,334 -299,506 -1,170,648 -775,382 -1,565,196 -683,572 -597,918 -475,893 -719,741 -386,033 -118,431 -67,461 -55,126 -166,853 -4,957,363 -2,061,835 -961,481
 出售固定资产 61 10,033 7,438 12,697 71,171 29,985 92,175 253,375 290,874 16,714 6,559 7,024 78,025 125,225 64,201 17,599 106,601
 投资增加 -58,500 -1,121,744 -11,163 -598,923 -6,417,674 -2,775,743 0 -1,227,592 -153,748 -560,112 -79,462 -144,433 -192,738 -577,441 -1,301,303 -937,733 -1,029
 投资减少 1,153 6,767 794,198 0 6,623,071 -9,492 145,486 419,160 0 387,968 624 232,199 0 715,790 2,119,478 505,315 57,202
 与关联人士之现金流量 5,324,457 5,723,337 -2,854,091 -715,723 4,651,782 -1,097,657 442,409 -753,052 656,102 76,934 -51,533 0 32,597 5,111 0 0 0
 其他 -5,266,372 -7,200,582 2,855,228 -363,103 -5,606,940 1,040,430 2,625,053 -1,129,914 -711,314 -331,178 -1,389,529 216,312 -169,886 -1,057,515 -369,522 -6,143 -51,809
融资活动前之现金流量 -9,403,318 -5,413,224 3,659,903 -3,133,600 -6,833,228 3,382,256 5,498,186 -3,139,066 -2,148,579 -2,825,702 -4,917,854 -2,155,757 1,906,928 -2,493,614 -4,818,090 -1,226,382 793,762
融资活动之现金流量 12,097,256 11,325,674 -3,587,572 2,244,420 7,472,592 -3,391,708 -3,944,332 4,649,251 1,913,960 4,402,408 3,659,810 1,792,981 -18,802 2,021,298 5,375,004 2,000,846 -643,947
 新增贷款 20,150,202 15,786,414 8,148,401 17,893,937 11,069,920 4,946,030 8,123,125 20,780,289 15,112,845 11,475,949 14,254,267 5,534,920 9,782,276 8,522,740 9,045,493 7,533,834 2,996,019
 偿还贷款 -13,377,403 -10,184,077 -8,939,611 -14,964,514 -8,401,839 -7,270,481 -15,382,937 -15,382,313 -13,880,250 -7,150,475 -10,550,248 -3,752,761 -10,955,597 -6,401,387 -5,146,058 -6,429,343 -3,639,966
 定息/债项工具融资 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
 偿还定息/债项工具 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
 股本融资 0 0 57,729 30,720 152,729 30,400 2,873,071 4,327 25,263 0 7,324 10,832 1,121,922 25,156 1,475,569 896,355 0
 与关联人士之现金流量 5,324,457 5,723,337 -2,854,091 -715,723 4,651,782 -1,097,657 442,409 -753,052 656,102 76,934 -51,533 0 32,597 5,111 0 0 0
 其他 0 0 0 0 0 0 0 0 0 0 0 -10 0 -130,322 0 0 0
现金及等同现金之增加/(减少) 2,693,938 5,912,450 72,331 -889,180 639,364 -9,452 1,553,854 1,510,185 -234,619 1,576,706 -1,258,044 -362,776 1,888,126 -472,316 556,914 774,464 149,815
年初之现金及现金等同项目 16,166,471 9,653,239 9,832,226 11,167,070 9,859,526 9,708,046 8,375,476 6,645,378 6,734,052 5,097,524 6,179,790 6,365,549 4,570,861 4,808,109 4,211,668 3,508,530 3,384,560
外汇兑换率变动之影响/(其他) 1,056,847 600,782 -251,318 -445,664 668,180 160,932 -221,284 219,913 145,945 59,822 175,778 177,017 -24,750 235,068 39,527 -71,326 -25,845
年终之现金及现金等同项目 19,917,256 16,166,471 9,653,239 9,832,226 11,167,070 9,859,526 9,708,046 8,375,476 6,645,378 6,734,052 5,097,524 6,179,790 6,434,237 4,570,861 4,808,109 4,211,668 3,508,530
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