上市公司资料 - 新华文轩出版传媒股份有限公司- H股 , 00811.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 

新华文轩出版传媒股份有限公司- H股, 00811.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 2,067,225 2,178,480 1,936,176 1,424,244 1,092,352 434,395 829,047 1,005,853 869,401 240,927 857,391 447,642 696,100 645,774 512,443 225,326 377,312 499,419
投资回报及融资费用之现金流量 -395,415 -382,506 -370,534 -370,621 -371,076 -501,553 -230,519 -256,516 -264,924 -274,784 -304,251 -282,458 -254,810 -182,509 -310,058 -25,156 -53,033 2,792
 已收利息 0 0 0 0 0 1,180 7,183 23,377 23,534 20,991 24,457 25,498 34,699 36,159 33,535 46,583 6,934 3,521
 已付利息 0 0 0 0 0 0 0 -2,105 -5,512 -6,321 -9,724 -11,566 -6,008 -3,602 -782 -796 -419 -729
 已收股息 0 0 0 0 0 0 0 62,854 57,696 52,114 21,878 44,506 37,362 15,520 291 0 662 0
 已付股息 -395,415 -382,506 -370,534 -370,621 -371,076 -502,733 -237,702 -340,642 -340,642 -341,568 -340,862 -340,896 -320,863 -230,586 -343,102 -70,943 -60,210 0
 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 -42,844 -131,150 -117,371 -59,833 -98,902 -88,773 -145,620 -1,921 -5,719 -4,249 -1,974 -4,840 -2,859 1,889 -1,576 -6,633 -3,046 -116,208
投资活动之现金流量 232,444 -1,278,606 1,031,927 -93,052 125,499 406,184 -1,315,737 -164,880 -482,003 -439,372 -320,317 -484,236 -1,223,049 -738,947 997,702 -1,830,278 -78,064 -158,065
 增添固定资产 -216,710 -273,750 -246,467 -155,646 -160,007 -245,939 -341,657 -177,982 -197,525 -375,814 -152,562 -155,477 -105,849 -236,410 -85,178 -91,137 -90,386 -146,914
 出售固定资产 41,600 3,947 2,964 9,381 4,536 949 1,538 129,246 4,427 25,645 437 1,243 3,347 1,774 1,063 2,319 2,318 8,288
 投资增加 -263,534 -632,154 -2,065,456 -1,939,718 -2,628,736 -2,493,519 -2,963,029 -1,161,485 -3,789,529 -1,405,800 -1,141,349 -122,200 -1,139,857 -368,642 -89,445 -1,376,415 12,653 -13,510
 投资减少 312,088 350,202 3,310,784 1,957,526 2,909,706 2,901,699 1,987,411 1,040,390 3,411,013 1,301,056 1,091,319 0 261,826 -9,772 1,043,348 7,830 2,150 0
 与关联人士之现金流量 0 -517 0 3,000 0 0 7,500 0 -172,683 -102,850 35,716 26,275 84,070 0 0 0 35,798 88,671
 其他 359,000 -726,334 30,102 32,405 0 242,994 -7,500 4,951 262,294 118,391 -153,878 -234,077 -326,586 -125,897 127,914 -372,875 -40,597 -94,600
融资活动前之现金流量 1,861,410 386,218 2,480,198 900,738 747,873 250,253 -862,828 582,536 116,755 -477,478 230,849 -323,892 -784,618 -273,793 1,198,511 -1,636,741 243,169 227,938
融资活动之现金流量 -97,095 -129,290 -133,264 -83,531 3,254 -58,847 672,637 -103,884 -187,683 -105,850 88,427 195,350 282,195 34,125 0 2,100,149 37,695 67,951
 新增贷款 18,000 0 0 0 0 0 0 0 50,000 85,000 415,330 264,750 244,250 34,125 0 13,125 16,000 0
 偿还贷款 0 0 0 0 0 0 0 -50,000 -65,000 -88,000 -385,780 -95,675 -46,125 0 0 -15,395 -605 -20,720
 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 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 0 0 0 0
 与关联人士之现金流量 0 -517 0 3,000 0 0 7,500 0 -172,683 -102,850 35,716 26,275 84,070 0 0 0 35,798 88,671
 其他 -115,095 -128,773 -133,264 -86,531 3,254 -58,847 665,137 -53,884 0 0 23,161 0 0 0 0 2,102,419 -13,498 0
现金及等同现金之增加/(减少) 1,764,315 256,929 2,346,935 817,206 751,127 191,405 -190,191 478,652 -70,928 -583,328 319,276 -128,542 -502,423 -239,668 1,198,511 463,408 280,864 295,889
年初之现金及现金等同项目 5,997,770 5,740,841 3,393,906 2,576,700 1,825,573 1,634,167 1,824,358 1,345,706 1,416,634 1,979,810 1,660,534 1,789,076 2,291,499 2,534,945 1,336,434 873,026 592,162 296,273
外汇兑换率变动之影响/(其他) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
年终之现金及现金等同项目 7,762,085 5,997,770 5,740,841 3,393,906 2,576,700 1,825,573 1,634,167 1,824,358 1,345,706 1,396,482 1,979,810 1,660,534 1,789,076 2,295,277 2,534,945 1,336,434 873,026 592,162
货币 人民币 人民币 人民币 人民币 人民币 人民币 人民币 人民币 人民币 人民币 人民币 人民币 人民币 人民币 人民币 人民币 人民币 人民币
单位
核数师意见 0 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 0 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

 

易发投资 | 首页 |  登录
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
版权所有 不得转载 (C) 2025
Suntek Computer Systems Limited.