新創建集團有限公司, 00659.HK - 綜合現金流量表 |
2023-06 |
2022-06 |
2021-06 |
2020-06 |
2019-06 |
2018-06 |
2017-06 |
2016-06 |
2015-06 |
2014-06 |
2013-06 |
2012-06 |
2011-06 |
2010-06 |
2009-06 |
2008-06 |
2007-06 |
2006-06 |
經營活動之現金流量 |
18,887,200 |
10,168,300 |
8,391,300 |
4,356,200 |
3,043,300 |
5,159,100 |
3,898,000 |
4,598,000 |
3,520,500 |
4,280,800 |
3,741,500 |
2,774,600 |
1,022,300 |
1,978,200 |
1,388,500 |
1,525,000 |
697,700 |
754,100 |
投資回報及融資費用之現金流量 |
-14,710,100 |
-5,739,000 |
-9,237,900 |
-4,530,300 |
-524,700 |
-3,240,800 |
1,300,000 |
-221,100 |
2,154,900 |
1,284,200 |
1,135,100 |
284,600 |
1,065,100 |
1,178,900 |
292,500 |
801,000 |
906,800 |
123,400 |
已收利息 |
2,259,900 |
1,991,300 |
1,855,300 |
1,402,500 |
284,500 |
171,600 |
200,900 |
287,500 |
406,000 |
203,900 |
203,700 |
140,700 |
79,200 |
348,500 |
93,300 |
0 |
115,500 |
76,600 |
已付利息 |
-853,000 |
-691,400 |
-858,100 |
-857,200 |
-331,400 |
-250,400 |
-439,900 |
-542,600 |
0 |
-612,000 |
-725,400 |
-491,400 |
-67,300 |
-78,100 |
-214,200 |
-100,900 |
-206,200 |
-218,400 |
已收股息 |
1,489,200 |
2,452,500 |
1,654,500 |
2,144,100 |
2,485,900 |
2,450,800 |
3,497,200 |
1,964,400 |
3,786,500 |
3,270,200 |
2,692,900 |
1,991,500 |
1,735,100 |
1,775,800 |
1,457,300 |
1,679,500 |
1,385,100 |
942,300 |
已付股息 |
-3,082,900 |
-2,935,900 |
-2,877,900 |
-2,886,700 |
-2,963,700 |
-5,612,800 |
-1,958,200 |
-1,930,400 |
-1,483,300 |
-1,577,900 |
-1,036,100 |
-1,356,200 |
-681,900 |
-867,300 |
-1,043,900 |
-777,600 |
-387,600 |
-677,100 |
其他 |
-14,523,300 |
-6,555,500 |
-9,011,700 |
-4,333,000 |
0 |
0 |
0 |
0 |
-554,300 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
退回/(已繳)稅項 |
-841,100 |
-629,900 |
-703,100 |
-831,000 |
-879,700 |
-651,500 |
-700,700 |
-749,400 |
-577,500 |
-707,700 |
-745,000 |
-670,100 |
-275,800 |
-201,100 |
-236,300 |
-113,400 |
-77,200 |
-99,600 |
投資活動之現金流量 |
3,307,300 |
629,500 |
4,509,000 |
-15,499,000 |
-6,001,500 |
-943,900 |
-1,093,600 |
-2,422,600 |
-1,400,900 |
-4,872,000 |
-1,528,500 |
-8,094,100 |
-5,266,800 |
-667,300 |
1,424,100 |
-4,455,800 |
-1,634,900 |
-705,700 |
增添固定資產 |
-516,800 |
-679,900 |
-403,800 |
-5,962,100 |
-647,600 |
-536,400 |
-688,400 |
-548,900 |
-237,300 |
-223,400 |
-140,000 |
-183,100 |
-1,174,200 |
-818,500 |
-630,700 |
-1,463,200 |
-116,500 |
-120,500 |
出售固定資產 |
3,900 |
800 |
9,200 |
97,100 |
59,700 |
15,900 |
3,000 |
1,200 |
62,500 |
1,400 |
1,500 |
43,000 |
21,200 |
46,400 |
506,800 |
14,600 |
8,000 |
137,900 |
投資增加 |
-2,397,400 |
-7,335,200 |
-2,107,200 |
-11,052,800 |
-4,470,900 |
-3,007,200 |
-4,931,600 |
-3,030,400 |
-30,000 |
-3,667,000 |
-2,090,900 |
-8,369,600 |
-5,016,400 |
-2,538,900 |
-261,300 |
-3,478,500 |
-1,838,900 |
-893,900 |
投資減少 |
6,210,600 |
8,666,800 |
7,009,000 |
2,114,700 |
2,010,000 |
2,580,200 |
1,105,600 |
1,120,800 |
390,300 |
890,100 |
460,400 |
502,200 |
2,181,400 |
2,194,000 |
1,682,900 |
1,110,100 |
239,200 |
225,900 |
與關聯人士之現金流量 |
0 |
0 |
-6,500 |
448,200 |
-2,700 |
-61,100 |
-129,300 |
-473,600 |
-700 |
0 |
0 |
-10,500 |
1,900 |
0 |
-20,300 |
200,600 |
-16,500 |
-209,200 |
其他 |
7,000 |
-23,000 |
8,300 |
-1,144,100 |
-2,950,000 |
64,700 |
3,547,100 |
508,300 |
-1,585,700 |
-1,873,100 |
240,500 |
-76,100 |
-1,280,700 |
449,700 |
146,700 |
-839,400 |
89,800 |
154,100 |
融資活動前之現金流量 |
6,643,300 |
4,428,900 |
2,959,300 |
-16,504,100 |
-4,362,600 |
322,900 |
3,403,700 |
1,204,900 |
3,697,000 |
-14,700 |
2,603,100 |
-5,705,000 |
-3,455,200 |
2,288,700 |
2,868,800 |
-2,243,200 |
-107,600 |
72,200 |
融資活動之現金流量 |
-596,900 |
-1,715,000 |
-5,705,300 |
14,945,900 |
12,835,100 |
498,300 |
-5,784,300 |
-2,227,600 |
-910,300 |
-40,300 |
-121,300 |
6,383,200 |
2,294,800 |
-1,734,300 |
-1,693,300 |
3,061,100 |
684,800 |
-1,303,700 |
新增貸款 |
8,051,700 |
5,895,700 |
1,860,100 |
14,559,700 |
3,116,400 |
1,395,900 |
2,802,400 |
2,108,800 |
5,425,700 |
4,772,100 |
4,179,300 |
10,878,500 |
3,955,600 |
1,527,800 |
3,464,300 |
4,998,800 |
3,000,800 |
1,580,900 |
償還貸款 |
-7,626,900 |
-4,753,800 |
-6,407,800 |
-2,920,800 |
-3,275,000 |
-952,400 |
-4,643,000 |
-3,862,800 |
-5,085,300 |
-4,812,400 |
-4,412,500 |
-10,279,200 |
-1,729,100 |
-3,262,100 |
-5,092,300 |
-2,141,200 |
-2,303,400 |
-2,296,400 |
定息/債項工具融資 |
1,674,100 |
0 |
0 |
2,467,600 |
12,789,800 |
0 |
0 |
0 |
0 |
0 |
0 |
5,036,500 |
0 |
0 |
0 |
0 |
0 |
0 |
償還定息/債項工具 |
-2,585,100 |
-2,199,600 |
-112,000 |
0 |
0 |
0 |
-3,885,000 |
0 |
-1,250,000 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
-425,700 |
股本融資 |
500 |
0 |
0 |
0 |
206,600 |
115,900 |
70,600 |
0 |
0 |
0 |
111,900 |
186,600 |
66,400 |
0 |
1,900 |
2,900 |
3,900 |
46,700 |
與關聯人士之現金流量 |
0 |
0 |
-6,500 |
448,200 |
-2,700 |
-61,100 |
-129,300 |
-473,600 |
-700 |
0 |
0 |
-10,500 |
1,900 |
0 |
-20,300 |
200,600 |
-16,500 |
-209,200 |
其他 |
-111,200 |
-657,300 |
-1,039,100 |
391,200 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
571,300 |
0 |
0 |
-46,900 |
0 |
0 |
0 |
現金及等同現金之增加/(減少) |
6,046,400 |
2,713,900 |
-2,746,000 |
-1,558,200 |
8,472,500 |
821,200 |
-2,380,600 |
-1,022,700 |
2,786,700 |
-55,000 |
2,481,800 |
678,200 |
-1,160,400 |
554,400 |
1,175,500 |
817,900 |
577,200 |
-1,231,500 |
年初之現金及現金等同項目 |
13,466,100 |
10,844,000 |
13,367,600 |
15,045,400 |
6,643,200 |
6,436,800 |
8,892,900 |
10,405,700 |
7,619,000 |
7,747,800 |
5,199,000 |
4,500,500 |
5,726,800 |
5,172,400 |
3,996,900 |
3,040,800 |
2,421,300 |
3,649,900 |
外匯兌換率變動之影響/(其他) |
-254,600 |
-91,800 |
222,400 |
-119,600 |
-70,300 |
38,700 |
-75,500 |
-490,100 |
0 |
-73,800 |
67,000 |
20,300 |
132,200 |
0 |
0 |
138,200 |
42,300 |
2,900 |
年終之現金及現金等同項目 |
19,257,900 |
13,466,100 |
10,844,000 |
13,367,600 |
15,045,400 |
7,296,700 |
6,436,800 |
8,892,900 |
10,405,700 |
7,619,000 |
7,747,800 |
5,199,000 |
4,698,600 |
5,726,800 |
5,172,400 |
3,996,900 |
3,040,800 |
2,421,300 |
貨幣 |
港元 |
港元 |
港元 |
港元 |
港元 |
港元 |
港元 |
港元 |
港元 |
港元 |
港元 |
港元 |
港元 |
港元 |
港元 |
港元 |
港元 |
港元 |
單位 |
千 |
千 |
千 |
千 |
千 |
千 |
核數師意見 |
1 |
1 |
1 |
1 |
1 |
1 |
1 |
1 |
0 |
1 |
1 |
1 |
1 |
1 |
1 |
1 |
1 |
0 |
說明:1代表無保留意見;2代表保留意見;3代表修改意見
|
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