陕建股份(sh600248)现金流量页面_淘股吧

陕建股份(sh600248) - 现金流量

下一页
公告日期 2022-10-29 2022-10-29 2022-08-30
净现金流-净现金流 738,241,200.89 -2,425,683,094.05 1,919,897,653.35
净现金流-同比增长 130.43% -477.53% 270.97%
投资性现金流-净现金流占比 -371.76% -66.41% -111.23%
投资性现金流-现金流量净额 -2,744,505,680.21 -1,610,883,617.44 -2,135,447,636.00
经营性现金流-净现金流占比 -390.79% -187.55% -73.70%
经营性现金流-现金流量净额 -2,884,968,320.88 -4,549,426,416.82 -1,414,961,909.76
融资性现金流-净现金流占比 864.17% 153.59% 284.54%
融资性现金流-现金流量净额 6,379,632,807.67 3,725,496,607.67 5,462,844,585.22
下一页