骆驼股份(sh601311)现金流量页面_淘股吧

骆驼股份(sh601311) - 现金流量

下一页
公告日期 2022-10-27 2022-10-27 2022-08-12
净现金流-净现金流 339,674,040.71 376,571,449.97 -163,109,490.41
净现金流-同比增长 -9.80% 410.47% -141.64%
投资性现金流-净现金流占比 38.18% 49.66% -204.31%
投资性现金流-现金流量净额 129,698,996.45 187,018,762.62 -333,249,913.94
经营性现金流-净现金流占比 -31.46% 67.20% -96.53%
经营性现金流-现金流量净额 -106,863,256.28 253,058,799.68 -157,444,077.52
融资性现金流-净现金流占比 84.24% -11.10% 191.24%
融资性现金流-现金流量净额 286,133,446.44 -41,808,899.38 311,933,950.52
下一页