实达集团(sh600734)现金流量页面_淘股吧

实达集团(sh600734) - 现金流量

下一页
公告日期 2022-10-29 2022-10-29 2022-07-30
净现金流-净现金流 -663,817,151.81 90,583,289.84 -690,106,787.68
净现金流-同比增长 -832.83% 155.43% -2,409.11%
投资性现金流-净现金流占比 4.47% 1.55% 4.47%
投资性现金流-现金流量净额 29,675,952.93 1,401,576.48 30,829,875.51
经营性现金流-净现金流占比 1.20% 88.13% -2.84%
经营性现金流-现金流量净额 7,976,819.04 79,829,637.62 -19,590,488.74
融资性现金流-净现金流占比 -105.67% 10.69% -101.63%
融资性现金流-现金流量净额 -701,469,914.75 9,679,693.10 -701,346,170.39
下一页