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中信特钢

(000708)

  

流通市值:667.23亿  总市值:667.23亿
流通股本:50.47亿   总股本:50.47亿

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45,543,400,663.3219,074,482,352.4292,379,697,725.864,894,668,401.83
  收到的税费返还155,725,421.257,211,539.19536,928,788.47222,215,447.52
  收到其他与经营活动有关的现金161,609,243.0462,422,879.05591,042,808.46201,455,645.85
  经营活动现金流入小计45,860,735,327.6119,144,116,770.6693,507,669,322.7365,318,339,495.2
  购买商品、接受劳务支付的现金34,089,705,721.716,525,939,158.4771,326,324,691.4753,328,861,369.14
  支付给职工以及为职工支付的现金3,963,140,419.042,703,072,765.366,747,390,067.414,763,952,121.64
  支付的各项税费1,830,867,716.12693,217,451.063,120,055,402.551,890,591,787.99
  支付其他与经营活动有关的现金700,162,062.11168,207,786.431,572,411,941.291,300,633,105.25
  经营活动现金流出小计40,583,875,918.9720,090,437,161.3282,766,182,102.7261,284,038,384.02
  经营活动产生的现金流量净额5,276,859,408.64-946,320,390.6610,741,487,220.014,034,301,111.18
二、投资活动产生的现金流量:
  收回投资收到的现金--22,000,000-
  取得投资收益收到的现金741,579.8163,625.0137,875,54627,640,504.71
  处置固定资产、无形资产和其他长期资产收回的现金净额131,678,813.21,239,569.2228,935,101.01111,822,515
  收到的其他与投资活动有关的现金---8,246.85
  投资活动现金流入小计132,420,3931,403,194.21288,810,647.01139,471,266.56
  购建固定资产、无形资产和其他长期资产支付的现金349,092,580.81231,099,804.45552,422,375.06401,704,997.96
  投资支付的现金--38,750,00018,750,000
  取得子公司及其他营业单位支付的现金-000
  支付其他与投资活动有关的现金---240,000,000
  投资活动现金流出小计349,092,580.81231,099,804.45591,172,375.06660,454,997.96
  投资活动产生的现金流量净额-216,672,187.81-229,696,610.24-302,361,728.05-520,983,731.4
三、筹资活动产生的现金流量:
  取得借款收到的现金9,616,800,849.555,763,347,546.2324,652,766,132.8719,360,120,921.11
  收到其他与筹资活动有关的现金4,934,752,856.321,931,836,178.468,064,648,986.766,344,935,245.86
  筹资活动现金流入小计14,551,553,705.877,695,183,724.6932,717,415,119.6325,705,056,166.97
  偿还债务支付的现金14,375,915,249.176,702,061,070.0130,653,824,926.3321,407,411,049.03
  分配股利、利润或偿付利息支付的现金2,958,844,878.44229,382,350.923,748,265,625.023,535,552,368.67
  其中:子公司支付给少数股东的股利、利润--34,765,06428,809,898
  支付其他与筹资活动有关的现金2,600,496,241.781,648,251,539.828,220,385,595.816,862,067,929.94
  筹资活动现金流出其他项目-192,700,038.11319,178,609.59-
  筹资活动现金流出小计19,935,256,369.398,772,394,998.8642,941,654,756.7531,805,031,347.64
  筹资活动产生的现金流量净额-5,383,702,663.52-1,077,211,274.17-10,224,239,637.12-6,099,975,180.67
四、汇率变动对现金及现金等价物的影响168,388,408.9713,959,059.0651,559,056.9316,605,335.97
五、现金及现金等价物净增加额-155,127,033.72-2,239,269,216.01266,444,911.77-2,570,052,464.92
  加:期初现金及现金等价物余额8,120,542,646.658,120,542,646.657,854,097,734.887,854,097,734.88
  期末现金及现金等价物余额7,965,415,612.935,881,273,430.648,120,542,646.655,284,045,269.96
补充资料:
  净利润2,930,301,151.32-5,358,436,264.97-
  资产减值准备385,564,499.41-637,334,713.02-
  固定资产和投资性房地产折旧2,307,462,160.14-4,737,553,948-
  无形资产摊销150,636,682.37-302,797,863.08-
  长期待摊费用摊销4,107,852.87-8,857,202.81-
  递延收益摊销1,827,075.46-57,457,721.09-
  处置固定资产、无形资产和其他长期资产的损失-15,032,694.85--3,682,943.62-
  固定资产报废损失72,584,048.9-57,522,927.26-
  公允价值变动损失0-0-
  财务费用233,985,492.36-839,580,458.89-
  投资损失-22,114,927.99--249,636,841.77-
  递延所得税-7,457,824.81--228,543,492.41-
  其中:递延所得税资产减少-24,528,775.37--179,795,096-
    递延所得税负债增加17,070,950.56--48,748,396.41-
  存货的减少1,545,209,787.68--404,950,545.75-
  经营性应收项目的减少-14,260,746,535.94--28,548,846,186.13-
  经营性应付项目的增加9,583,505,904.62-21,232,054,369.73-
  其他2,335,274,470.57---
  现金的期末余额7,835,415,612.93-7,969,648,235.11-
  减:现金的期初余额7,969,648,235.11-7,783,555,244.44-
  加:现金等价物的期末余额130,000,000-150,894,411.54-
  减:现金等价物的期初余额150,894,411.54-70,542,490.44-
  现金及现金等价物的净增加额-155,127,033.72-266,444,911.77-
公告日期2025-08-202025-04-192025-03-202024-10-26
审计意见(境内)标准无保留意见
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