上市公司资料 - 中国铁建股份有限公司 - H股 , 01186.HK

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中国铁建股份有限公司 - H股, 01186.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 80,147,286 15,344,226 66,217,966 66,034,975 30,503,611 50,308,589 60,512,281 72,262,274 28,243,847 11,411,297 21,903,082 1,707,881 7,810,115 18,395,272 8,087,378 9,735,890 6,560,308 4,765,719
投资回报及融资费用之现金流量 -21,790,918 -21,753,841 -3,068,919 -1,819,328 -1,456,459 -12,863,833 -12,299,727 -12,322,984 -11,873,056 -7,811,373 -6,831,963 -4,774,401 -2,837,330 -1,690,733 -1,398,380 -3,080,546 -999,560 -762,713
 已收利息 0 0 0 0 0 0 0 0 0 0 0 0 829,693 998,091 1,301,000 613,887 522,046 371,035
 已付利息 0 0 0 0 0 0 0 0 0 0 0 0 -1,633,545 -1,493,256 -1,736,514 -1,507,588 -1,082,857 -896,088
 已收股息 0 0 0 0 0 0 0 0 0 0 0 0 80,853 58,373 71,227 171,695 26,552 7,977
 已付股息 -21,790,918 -21,753,841 -3,068,919 -1,819,328 -1,456,459 -12,863,833 -12,299,727 -12,322,984 -11,873,056 -7,811,373 -6,831,963 -4,774,401 -2,114,331 -1,253,941 -1,034,093 -2,358,540 -465,301 -245,637
 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 -24,012,334 -22,648,137 -26,108,718 -26,029,137 -25,055,750 -24,904,411 -23,374,702 -21,887,167 -21,501,847 -20,725,277 -17,183,342 -14,284,192 -1,557,545 -920,820 -787,528 -315,055 -223,359 -189,037
投资活动之现金流量 -55,645,696 -61,070,185 -50,297,671 -50,168,858 -49,244,226 -36,687,650 -26,272,603 -24,336,297 -17,148,988 -19,996,501 -8,308,870 -10,603,008 -16,435,596 -14,685,656 -14,440,429 -12,968,195 -5,357,596 -5,110,849
 增添固定资产 -30,260,294 -32,875,454 -31,388,189 -32,264,997 -32,338,988 -30,231,006 -29,816,396 -27,144,112 -21,837,891 -17,645,329 -10,500,301 -12,053,636 -16,188,079 -12,282,409 -10,624,029 -9,599,926 -5,581,581 -4,656,041
 出售固定资产 2,469,661 1,949,670 1,893,816 1,258,099 1,834,570 1,396,462 1,727,188 1,274,470 1,371,173 1,605,794 1,657,223 1,237,547 1,238,226 1,717,955 1,134,185 1,125,248 999,739 881,659
 投资增加 -47,282,216 -42,688,043 -24,205,455 -24,171,516 -21,062,300 -8,988,654 -5,686,633 -2,297,636 -1,545,945 -881,846 -1,780,672 -210,895 -1,425,961 -2,244,339 -1,492,776 -2,618,420 -154,541 -539,723
 投资减少 10,654,529 9,194,464 5,455,759 7,333,010 3,655,009 3,046,070 1,238,092 -1,360,231 203,403 3,302 43,668 8,766 119,001 212,236 136,923 668,057 174,214 441,824
 与关联人士之现金流量 20,847,519 17,401,498 5,779,641 18,766,645 7,952,877 0 981,546 1,613,365 9,114,329 1,505,955 436,946 115,838 176,827 173,644 67,403 2,400,000 0 0
 其他 -12,074,895 -14,052,320 -7,833,243 -21,090,099 -9,285,394 -1,910,522 5,283,600 3,577,847 -4,454,057 -4,584,377 1,834,266 299,372 -355,610 -2,262,743 -3,662,135 -4,943,154 -795,427 -1,238,568
融资活动前之现金流量 -21,301,662 -90,127,937 -13,257,342 -11,982,348 -45,252,824 -24,147,305 -1,434,751 13,715,826 -22,280,044 -37,121,854 -10,421,093 -27,953,720 -13,020,356 1,098,063 -8,538,959 -6,627,906 -20,207 -1,296,880
融资活动之现金流量 55,685,141 32,355,921 41,307,948 22,017,323 45,368,436 36,639,149 10,188,464 9,876,305 26,938,030 37,411,555 16,015,536 46,423,331 14,106,676 4,154,606 35,057,148 11,497,130 4,220,166 3,863,466
 新增贷款 235,271,518 180,640,822 157,726,106 137,963,607 118,980,818 79,359,099 83,462,349 93,856,927 101,012,255 94,992,659 59,625,521 56,304,728 34,230,559 30,446,693 26,199,890 27,017,301 16,427,031 13,581,666
 偿还贷款 -209,363,634 -173,618,250 -148,331,534 -163,071,203 -82,808,194 -60,499,480 -102,881,627 -104,854,197 -91,682,106 -83,964,579 -67,726,931 -24,907,235 -20,300,710 -26,465,731 -30,294,398 -17,920,171 -12,206,865 -9,718,200
 定息/债项工具融资 13,312,304 15,660,218 13,434,057 18,827,127 2,200,000 960,000 17,506,509 8,972,050 8,470,000 24,877,520 23,680,000 14,910,000 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 0
 股本融资 0 0 0 0 0 0 0 0 0 0 0 0 0 0 39,084,253 0 0 0
 与关联人士之现金流量 20,847,519 17,401,498 5,779,641 18,766,645 7,952,877 0 981,546 1,613,365 9,114,329 1,505,955 436,946 115,838 176,827 173,644 67,403 2,400,000 0 0
 其他 -4,382,566 -7,728,367 12,699,678 9,531,147 -957,065 16,819,530 11,119,687 10,288,160 23,552 0 0 0 0 0 0 0 0 0
现金及等同现金之增加/(减少) 34,383,479 -57,772,016 28,050,606 10,034,975 115,612 12,491,844 8,753,713 23,592,131 4,657,986 289,701 5,594,443 18,469,611 1,086,320 5,252,669 26,518,189 4,869,224 4,199,959 2,566,586
年初之现金及现金等同项目 109,741,861 167,669,496 140,293,616 130,087,717 129,392,720 117,534,022 108,470,553 84,757,505 80,134,922 79,782,051 74,167,583 55,923,144 55,070,050 49,455,325 23,188,491 18,373,635 14,224,588 11,676,357
外汇兑换率变动之影响/(其他) 390,152 -155,619 -674,726 170,924 579,385 -633,146 309,756 120,917 -35,403 -288,299 20,025 -225,172 -233,226 362,056 -251,355 -54,368 -50,912 -18,355
年终之现金及现金等同项目 144,515,492 109,741,861 167,669,496 140,293,616 130,087,717 129,392,720 117,534,022 108,470,553 84,757,505 79,783,453 79,782,051 74,167,583 55,923,144 55,070,050 49,455,325 23,188,491 18,373,635 14,224,588
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