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宁沪高速

(600377)

  

流通市值:509.87亿  总市值:675.56亿
流通股本:38.02亿   总股本:50.38亿

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6,169,078,398.883,157,826,709.6812,897,482,617.589,689,362,828.74
  收到的税费返还31,233.46-8,810,037.078,810,037.07
  收到其他与经营活动有关的现金102,644,671.336,528,701.3938,280,456.92294,963,911
  经营活动现金流入小计6,271,754,303.643,194,355,411.0712,944,573,111.579,993,136,776.81
  购买商品、接受劳务支付的现金1,357,145,671.61764,914,381.643,292,987,187.732,085,171,004.09
  支付给职工以及为职工支付的现金580,168,812.84284,133,512.141,420,424,534.37876,210,977.96
  支付的各项税费948,905,714.19375,371,026.41,747,983,300.331,302,128,987.28
  支付其他与经营活动有关的现金108,224,109.0956,741,809.39166,975,655.6310,794,378.27
  经营活动现金流出小计2,994,444,307.731,481,160,729.576,628,370,678.034,574,305,347.6
  经营活动产生的现金流量净额3,277,309,995.911,713,194,681.56,316,202,433.545,418,831,429.21
二、投资活动产生的现金流量:
  收回投资收到的现金5,250,061,533.092,288,194,821.8621,690,069,842.4617,038,907,470.55
  取得投资收益收到的现金429,689,209.35249,729,011.39781,686,293.61641,032,467.05
  处置固定资产、无形资产和其他长期资产收回的现金净额24,00024,0003,104,580.12177,796.8
  投资活动现金流入小计5,679,774,742.442,537,947,833.2522,474,860,716.1917,680,117,734.4
  购建固定资产、无形资产和其他长期资产支付的现金4,627,874,436.132,662,103,424.910,802,287,566.025,061,049,096.12
  投资支付的现金6,434,075,917.662,670,392,833.3821,060,125,826.2117,641,321,313.16
  投资活动现金流出小计11,061,950,353.795,332,496,258.2831,862,413,392.2322,702,370,409.28
  投资活动产生的现金流量净额-5,382,175,611.35-2,794,548,425.03-9,387,552,676.04-5,022,252,674.88
三、筹资活动产生的现金流量:
  吸收投资收到的现金780,156,941212,472,3414,034,153,1593,114,733,072
  其中:子公司吸收少数股东投资收到的现金780,156,941212,472,3414,034,153,1593,114,733,072
  取得借款收到的现金2,863,970,0004,583,160,0009,554,917,037.235,319,989,200
  发行债券收到的现金--11,911,000,000-
  收到其他与筹资活动有关的现金5,850,000,000--8,640,000,000
  筹资活动现金流入小计9,494,126,9414,795,632,34125,500,070,196.2317,074,722,272
  偿还债务支付的现金7,055,086,890.123,562,435,757.1219,038,754,701.914,449,740,838.92
  分配股利、利润或偿付利息支付的现金456,766,113.63277,296,900.693,374,731,903.893,133,662,545.79
  其中:子公司支付给少数股东的股利、利润2,847,423.44-44,445,601.8338,765,601.83
  支付其他与筹资活动有关的现金14,130,511.6211,276,226.045,350,592.1612,800,735.02
  筹资活动现金流出小计7,525,983,515.373,851,008,883.8522,418,837,197.9517,596,204,119.73
  筹资活动产生的现金流量净额1,968,143,425.63944,623,457.153,081,232,998.28-521,481,847.73
五、现金及现金等价物净增加额-136,722,189.81-136,730,286.389,882,755.78-124,903,093.4
  加:期初现金及现金等价物余额843,486,285.67864,469,970.43833,603,529.89833,603,529.89
  期末现金及现金等价物余额706,764,095.86727,739,684.05843,486,285.67708,700,436.49
补充资料:
  净利润2,535,861,452.56-5,170,407,061.54-
  资产减值准备--23,639,367.06-
  固定资产和投资性房地产折旧338,050,830-704,747,289.61-
  其中:固定资产折旧、油气资产折耗、生产性生物资产折旧332,786,327.91-695,033,300.06-
    投资性房地产折旧5,264,502.09-9,713,989.55-
  无形资产摊销960,711,755.03-1,826,940,269.71-
  长期待摊费用摊销3,637,675.15-7,102,277.06-
  递延收益摊销-5,031,470.03--12,280,295.25-
  处置固定资产、无形资产和其他长期资产的损失1,270,886.3--11,543,178.34-
  固定资产报废损失--3,640,310.87-
  公允价值变动损失55,262,309.57-149,698,640.86-
  财务费用438,174,476.39-974,486,838.43-
  投资损失-700,460,481.47--1,779,966,685.25-
  递延所得税-16,732,817.22--46,207,422.46-
  其中:递延所得税资产减少10,344,476.2--4,993,284.73-
    递延所得税负债增加-27,077,293.42--41,214,137.73-
  存货的减少70,577,184.94-238,705,176.41-
  经营性应收项目的减少-227,376,870.1--152,594,837.23-
  经营性应付项目的增加-213,976,544.5--807,303,193.52-
  现金的期末余额706,764,095.86-843,486,285.67-
  减:现金的期初余额843,486,285.67-833,603,529.89-
  现金及现金等价物的净增加额-136,722,189.81-9,882,755.78-
公告日期2025-08-292025-04-292025-03-272024-10-30
审计意见(境内)标准无保留意见
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