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时计宝投资有限公司, 02033.HK - 综合现金流量表 |
2023-06 |
2022-06 |
2021-06 |
2020-06 |
2019-06 |
2018-06 |
2017-06 |
2016-06 |
2015-06 |
2014-06 |
2013-06 |
2012-06 |
经营活动之现金流量 |
84,731 |
185,170 |
434,424 |
330,828 |
502,867 |
504,473 |
447,009 |
436,665 |
457,513 |
290,283 |
234,550 |
53,404 |
投资回报及融资费用之现金流量 |
-52,128 |
49,193 |
49,488 |
-46,393 |
-88,238 |
-87,435 |
-101,760 |
-105,010 |
-137,919 |
-144,308 |
-76,175 |
-3,714 |
已收利息 |
56,426 |
48,701 |
54,488 |
48,177 |
42,982 |
23,009 |
10,528 |
8,029 |
12,566 |
8,821 |
2,470 |
2,209 |
已付利息 |
-838 |
-850 |
-1,027 |
-3,565 |
-7,367 |
-3,201 |
-5,821 |
-3,388 |
-632 |
-1,339 |
-8,104 |
-5,923 |
已收股息 |
2,340 |
1,539 |
1,364 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
已付股息 |
-110,056 |
-197 |
-5,337 |
-91,005 |
-123,853 |
-107,243 |
-106,467 |
-109,651 |
-149,853 |
-151,790 |
-70,541 |
0 |
其他 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
退回/(已缴)税项 |
-18,559 |
-46,866 |
-50,050 |
-50,764 |
-104,460 |
-98,208 |
-85,773 |
-96,723 |
-139,121 |
-83,159 |
-59,001 |
-50,940 |
投资活动之现金流量 |
-38,414 |
468,802 |
-881,591 |
129,076 |
-652,249 |
-242,483 |
-166,040 |
-382,728 |
-294,737 |
50,011 |
-201,186 |
-66,945 |
增添固定资产 |
-73,818 |
-89,050 |
-95,292 |
-83,703 |
-138,634 |
-111,360 |
-185,491 |
-87,888 |
-122,293 |
-100,078 |
-52,220 |
-32,811 |
出售固定资产 |
38,401 |
1,054 |
6,335 |
169 |
240 |
457 |
61 |
115 |
68 |
89 |
200 |
13,617 |
投资增加 |
-362,281 |
-664,264 |
-1,471,421 |
-463,360 |
-3,127,321 |
0 |
-50,543 |
-217,865 |
0 |
0 |
0 |
0 |
投资减少 |
354,114 |
1,209,702 |
725,654 |
693,592 |
2,621,559 |
34,912 |
64,876 |
0 |
0 |
0 |
0 |
0 |
与关联人士之现金流量 |
0 |
0 |
0 |
0 |
2,178 |
0 |
-970 |
22,620 |
5,959 |
20,149 |
-20,764 |
18,612 |
其他 |
5,170 |
11,360 |
-46,867 |
-17,622 |
-10,271 |
-166,492 |
6,027 |
-99,710 |
-178,471 |
129,851 |
-128,402 |
-66,363 |
融资活动前之现金流量 |
-24,370 |
656,299 |
-447,729 |
362,747 |
-342,080 |
76,347 |
93,436 |
-147,796 |
-114,264 |
112,827 |
-101,812 |
-68,195 |
融资活动之现金流量 |
-11,184 |
-59,666 |
-21,328 |
-63,652 |
5,259 |
17,812 |
66,308 |
97,494 |
4,054 |
15,596 |
475,806 |
110,322 |
新增贷款 |
0 |
7,797 |
0 |
68,771 |
481,093 |
274,385 |
600,787 |
443,828 |
219,013 |
258,940 |
335,064 |
684,152 |
偿还贷款 |
-11,184 |
-58,022 |
-18,710 |
-132,423 |
-478,012 |
-256,573 |
-533,509 |
-368,954 |
-220,918 |
-263,493 |
-580,490 |
-592,442 |
定息/债项工具融资 |
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 |
股本融资 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
741,996 |
0 |
与关联人士之现金流量 |
0 |
0 |
0 |
0 |
2,178 |
0 |
-970 |
22,620 |
5,959 |
20,149 |
-20,764 |
18,612 |
其他 |
0 |
-9,441 |
-2,618 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
现金及等同现金之增加/(减少) |
-35,554 |
596,633 |
-469,057 |
299,095 |
-336,821 |
94,159 |
159,744 |
-50,302 |
-110,210 |
128,423 |
373,994 |
42,127 |
年初之现金及现金等同项目 |
840,498 |
254,856 |
693,638 |
397,933 |
754,101 |
651,008 |
493,238 |
550,510 |
660,065 |
537,240 |
156,512 |
110,063 |
外汇兑换率变动之影响/(其他) |
-12,744 |
-10,991 |
30,275 |
-3,390 |
-19,347 |
8,934 |
-1,974 |
-6,970 |
655 |
-5,598 |
6,734 |
4,322 |
年终之现金及现金等同项目 |
792,200 |
840,498 |
254,856 |
693,638 |
397,933 |
754,101 |
651,008 |
493,238 |
550,510 |
660,065 |
537,240 |
156,512 |
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 |
单位 |
核数师意见 |
1 |
1 |
1 |
1 |
1 |
1 |
1 |
1 |
1 |
1 |
1 |
0 |
说明:1代表无保留意见;2代表保留意见;3代表修改意见
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