苏常柴A(sz000570)现金流量页面_淘股吧

苏常柴A(sz000570) - 现金流量

下一页
公告日期 2022-10-29 2022-10-29 2022-08-24
净现金流-净现金流 -81,263,553.58 -131,666,763.60 -132,984,649.76
净现金流-同比增长 38.28% -46.92% -131.87%
投资性现金流-净现金流占比 -62.41% -324.96% -65.11%
投资性现金流-现金流量净额 -50,712,854.83 -427,869,678.24 -86,580,833.90
经营性现金流-净现金流占比 -101.58% -240.14% -55.87%
经营性现金流-现金流量净额 -82,550,839.42 -316,185,740.11 -74,300,501.12
融资性现金流-净现金流占比 63.99% 465.10% 20.98%
融资性现金流-现金流量净额 52,000,140.67 612,388,654.75 27,896,685.26
下一页