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上市公司资料 - 华润电力控股有限公司 , 00836.HK

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华润电力控股有限公司, 00836.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 31,867,358 26,030,016 10,255,445 23,495,235 22,551,085 20,627,406 21,379,778 27,518,121 37,944,341 30,925,098 26,570,251 20,168,263 13,550,923 11,436,500 10,016,129 6,281,786 5,567,919 2,675,872 1,432,840
投资回报及融资费用之现金流量 -8,245,214 -5,507,255 -7,137,331 -5,952,473 -4,646,470 -9,009,665 -8,706,663 -8,816,053 -8,230,053 -7,758,744 -8,515,458 -5,639,019 -5,441,430 -3,875,995 -3,163,540 -2,911,985 -1,088,441 -193,413 123,881
 已收利息 0 9,065 386,412 36,705 310,682 307,825 212,399 90,937 247,284 196,171 465,874 232,425 388,942 272,675 49,608 91,704 99,776 134,281 45,524
 已付利息 -5,222,245 -4,808,267 -4,450,645 -4,210,365 -4,230,420 -4,757,071 -4,090,291 -4,134,421 -4,677,648 -4,845,234 -4,495,260 -4,767,684 -4,155,245 -2,726,813 -2,441,254 -1,843,717 -1,124,255 -445,395 -505,351
 已收股息 976,222 753,525 563,935 1,566,750 1,846,573 744,180 1,127,174 1,736,339 2,230,629 2,427,312 1,187,223 1,193,478 1,058,827 1,033,595 313,433 411,238 1,044,299 997,290 1,240,474
 已付股息 -3,999,191 -1,461,578 -3,637,033 -3,345,563 -2,573,305 -5,304,599 -5,955,945 -6,508,908 -6,030,318 -5,536,993 -5,673,295 -2,297,238 -2,733,954 -2,455,452 -1,085,327 -1,571,210 -1,108,261 -879,589 -656,766
 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 -2,998,080 -1,863,277 -2,284,539 -2,792,962 -2,043,506 -2,530,642 -2,817,758 -5,223,601 -5,955,463 -4,425,183 -3,382,560 -1,203,230 -975,887 -616,047 -270,757 -175,102 -14,384 -1,886 0
投资活动之现金流量 -44,961,822 -34,609,677 -20,919,819 -30,227,644 -23,552,702 -8,641,682 -16,060,082 -17,095,480 -16,139,995 -24,641,784 -15,725,589 -11,408,870 -20,351,343 -21,705,162 -23,865,528 -17,331,651 -12,160,771 -6,125,242 -2,245,784
 增添固定资产 -38,776,747 -32,579,796 -25,688,887 -30,528,698 -22,541,915 -16,884,456 -15,527,187 -16,319,256 -16,811,289 -24,483,498 -22,983,598 -10,374,241 -12,199,050 -15,850,272 -11,503,328 0 -6,895,325 0 -3,909,487
 出售固定资产 177,192 103,994 166,718 204,597 88,683 337,031 239,401 145,121 92,235 458,633 48,479 24,923 239,994 316,763 138,736 184,480 2,028 825 0
 投资增加 -5,766,863 -1,468,619 -640,091 -800,344 -2,636,956 -831,550 -591,876 -323,981 0 -240,194 4,568,888 -1,725,805 -5,659,251 -3,916,940 -2,847,521 -1,122,713 -4,904,861 -853,932 -585,234
 投资减少 127,139 0 4,681,985 932,933 1,811,982 8,371,942 445,824 277,061 2,078,503 583,654 573,771 0 0 200,393 0 0 0 0 2,452,992
 与关联人士之现金流量 -1,660,890 3,967,317 -121,065 943,984 6,302,255 1,087,754 847,221 -518,387 -55,716 -4,702,874 -1,013,787 1,423,336 1,305,531 -2,810,695 2,903,383 2,348,483 330,584 171,543 47,508
 其他 938,347 -4,632,573 681,521 -980,116 -6,576,751 -722,403 -1,473,465 -356,038 -1,443,728 3,742,495 3,080,658 -757,083 -4,038,567 355,589 -12,556,798 -18,741,901 -693,197 -5,443,678 -251,563
融资活动前之现金流量 -24,337,758 -15,950,193 -20,086,244 -15,477,844 -7,691,593 445,417 -6,204,725 -3,617,013 7,618,830 -5,900,613 -1,053,356 1,917,144 -13,217,737 -14,760,704 -17,283,696 -14,136,952 -7,695,677 -3,644,669 -689,063
融资活动之现金流量 21,050,410 16,428,363 22,814,614 15,050,775 4,719,212 2,616,481 6,814,791 1,063,562 -8,163,385 8,174,806 2,530,033 -2,053,947 10,608,788 15,104,445 18,122,972 11,370,990 12,610,362 1,919,703 1,786,444
 新增贷款 93,903,965 62,229,310 55,673,507 42,912,951 34,881,749 56,192,679 38,788,104 37,360,832 37,680,307 35,160,200 40,459,277 33,574,785 34,944,441 43,671,538 37,705,145 25,621,214 17,741,040 8,246,507 7,409,582
 偿还贷款 -69,012,985 -44,096,988 -27,902,818 -33,758,217 -41,938,174 -50,617,562 -32,909,672 -39,326,437 -39,142,633 -22,363,420 -37,112,030 -39,599,742 -36,403,474 -36,394,972 -24,245,756 -16,657,515 -10,497,550 -6,558,571 -5,676,145
 定息/债项工具融资 0 10,664,271 1,207,390 7,520,511 11,085,472 0 0 9,379,850 0 0 0 2,453,200 10,723,305 10,479,293 0 0 0 0 0
 偿还定息/债项工具 -2,179,680 -16,335,547 -6,042,400 -2,568,454 -5,612,090 -4,516,360 0 -5,835,750 -7,079,475 0 0 0 0 0 0 0 0 0 0
 股本融资 0 0 0 0 0 469,970 89,138 3,454 44,577 80,900 196,573 107,929 116,595 159,281 2,286,360 214,148 5,036,288 60,224 5,499
 与关联人士之现金流量 -1,660,890 3,967,317 -121,065 943,984 6,302,255 1,087,754 847,221 -518,387 -55,716 -4,702,874 -1,013,787 1,423,336 1,305,531 -2,810,695 2,903,383 2,348,483 330,584 171,543 47,508
 其他 0 0 0 0 0 0 0 0 389,555 0 0 -13,455 -77,610 0 -526,160 -155,340 0 0 0
现金及等同现金之增加/(减少) -3,287,348 478,170 2,728,370 -427,069 -2,972,381 3,061,898 610,066 -2,553,451 -544,555 2,274,193 1,476,677 -136,803 -2,608,949 343,741 839,276 -2,765,962 4,914,685 -1,724,966 1,097,381
年初之现金及现金等同项目 7,721,275 7,934,211 5,036,484 4,907,306 7,977,153 5,381,686 4,347,022 7,273,945 8,285,135 6,035,046 4,397,289 4,496,605 6,801,707 6,261,931 5,467,088 7,887,134 2,747,242 4,411,484 3,246,554
外汇兑换率变动之影响/(其他) -350,955 -690,764 169,357 556,247 -97,466 -466,431 424,598 -373,472 -466,635 -24,104 161,080 37,487 303,847 196,035 -44,433 345,916 225,207 60,724 67,549
年终之现金及现金等同项目 4,082,972 7,721,617 7,934,211 5,036,484 4,907,306 7,977,153 5,381,686 4,347,022 7,273,945 8,285,135 6,035,046 4,397,289 4,496,605 6,801,707 6,261,931 5,467,088 7,887,134 2,747,242 4,411,484
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