中国能建(sh601868)现金流量页面_淘股吧

中国能建(sh601868) - 现金流量

下一页
公告日期 2022-10-29 2022-10-29 2022-08-31
净现金流-净现金流 4,769,816,000.00 -15,618,553,000.00 -5,064,199,000.00
净现金流-同比增长 130.54% -238.41% 51.26%
投资性现金流-净现金流占比 -426.95% -96.86% -237.16%
投资性现金流-现金流量净额 -20,364,810,000.00 -15,127,639,000.00 -12,010,103,000.00
经营性现金流-净现金流占比 -388.98% -55.48% -272.36%
经营性现金流-现金流量净额 -18,553,769,000.00 -8,664,871,000.00 -13,792,961,000.00
融资性现金流-净现金流占比 911.72% 52.62% 406.19%
融资性现金流-现金流量净额 43,487,292,000.00 8,217,737,000.00 20,570,111,000.00
下一页