当前位置:首页 - 行情中心 - 深天马A(000050) - 财务分析 - 现金流量表

深天马A

(000050)

  

流通市值:239.87亿  总市值:239.88亿
流通股本:24.58亿   总股本:24.58亿

现金流量表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
一、经营活动产生的现金流量:
  销售商品、提供劳务收到的现金18,993,611,939.869,696,921,043.0335,590,359,825.4726,601,760,796.93
  收到的税费返还598,772,891.89320,404,295.381,181,971,642.81,025,752,224.24
  收到其他与经营活动有关的现金7,739,135,549.093,728,366,394.439,495,475,596.236,295,191,064.05
  经营活动现金流入小计27,331,520,380.8413,745,691,732.8446,267,807,064.533,922,704,085.22
  购买商品、接受劳务支付的现金13,780,083,201.746,892,999,103.4727,125,401,186.9620,226,239,885.62
  支付给职工以及为职工支付的现金2,241,566,561.841,226,575,692.54,094,391,928.543,177,130,046.31
  支付的各项税费269,638,734.84109,538,826.4508,421,619.75314,619,987.65
  支付其他与经营活动有关的现金7,072,528,618.153,293,960,106.748,787,735,397.715,703,832,311.03
  经营活动现金流出小计23,363,817,116.5711,523,073,729.1140,515,950,132.9629,421,822,230.61
  经营活动产生的现金流量净额3,967,703,264.272,222,618,003.735,751,856,931.544,500,881,854.61
二、投资活动产生的现金流量:
  收回投资收到的现金3,689,260.863,688,600--
  处置固定资产、无形资产和其他长期资产收回的现金净额3,290,479.47513,471.3968,261,255.2974,161,863.42
  收到的其他与投资活动有关的现金1,554,072777,0365,166,969.064,152,759.06
  投资活动现金流入小计8,533,812.334,979,107.3973,428,224.3578,314,622.48
  购建固定资产、无形资产和其他长期资产支付的现金1,280,444,908.06684,774,215.433,013,965,588.332,126,047,036.41
  投资支付的现金351,000,000351,000,0001,440,000,0001,140,000,000
  投资活动现金流出小计1,631,444,908.061,035,774,215.434,453,965,588.333,266,047,036.41
  投资活动产生的现金流量净额-1,622,911,095.73-1,030,795,108.04-4,380,537,363.98-3,187,732,413.93
三、筹资活动产生的现金流量:
  吸收投资收到的现金383,333,300143,750,000910,416,600766,666,600
  其中:子公司吸收少数股东投资收到的现金-143,750,000910,416,600766,666,600
  取得借款收到的现金5,506,000,0001,880,000,0007,700,143,5607,259,000,000
  筹资活动现金流入小计5,889,333,3002,023,750,0008,610,560,1608,025,666,600
  偿还债务支付的现金9,149,288,711.34,076,673,143.4610,934,586,465.589,803,147,962.16
  分配股利、利润或偿付利息支付的现金541,028,359.41271,455,956.071,047,928,546.77853,062,862.92
  支付其他与筹资活动有关的现金95,378,655.776,775,380.95109,970,920.23103,731,070.71
  筹资活动现金流出小计9,785,695,726.414,424,904,480.4812,092,485,932.5810,759,941,895.79
  筹资活动产生的现金流量净额-3,896,362,426.41-2,401,154,480.48-3,481,925,772.58-2,734,275,295.79
四、汇率变动对现金及现金等价物的影响40,510,531.7923,217,903.351,026,591.4724,422,338.28
五、现金及现金等价物净增加额-1,511,059,726.08-1,186,113,681.49-2,059,579,613.55-1,396,703,516.83
  加:期初现金及现金等价物余额6,155,759,874.116,155,759,874.118,215,339,487.668,215,339,487.66
  期末现金及现金等价物余额4,644,700,148.034,969,646,192.626,155,759,874.116,818,635,970.83
补充资料:
  净利润174,128,819.38--691,400,508.21-
  资产减值准备209,260,706.05-558,642,950.98-
  固定资产和投资性房地产折旧2,511,608,348.16-5,082,343,868.55-
  其中:固定资产折旧、油气资产折耗、生产性生物资产折旧2,511,608,348.16-5,082,343,868.55-
  无形资产摊销131,074,494.09-228,341,175.41-
  长期待摊费用摊销301,691,294.57-577,457,094.1-
  处置固定资产、无形资产和其他长期资产的损失---2,530,157.14-
  固定资产报废损失8,689,208.71-2,897,994.13-
  财务费用372,039,500.7-990,303,281.04-
  投资损失180,592,730.66-240,034,125.43-
  递延所得税13,391,823.34-202,750,773.08-
  其中:递延所得税资产减少13,957,849.05-203,800,283.93-
    递延所得税负债增加-566,025.71--1,049,510.85-
  存货的减少-173,421,633.11--802,742,867.8-
  经营性应收项目的减少370,905,743.71--2,676,644,961.22-
  经营性应付项目的增加-142,385,606.71-2,018,043,995.78-
  融资租入固定资产--212,457,998.86-
  现金的期末余额4,644,700,148.03-6,155,759,874.11-
  减:现金的期初余额6,155,759,874.11-8,215,339,487.66-
  加:现金等价物的期末余额--0-
  减:现金等价物的期初余额--0-
  现金及现金等价物的净增加额-1,511,059,726.08--2,059,579,613.55-
公告日期2025-08-232025-04-222025-03-152024-10-31
审计意见(境内)标准无保留意见
TOP↑