现金流量表 (TTM)
瑞穗金融集团 - 存托凭证(普通股) 现金流量表显示随时间变化的现金头寸。现金流量表数据包括经营活动现金、投资活动现金和融资活动现金。
除每股单位外,所有数字都是 1,000,000。
2020 09-30 |
2021 03-31 |
2021 09-30 |
2022 03-31 |
2022 09-30 |
2023 03-31 |
2023 09-30 |
2024 03-31 |
2024 09-30 |
2025 03-31 |
|
---|---|---|---|---|---|---|---|---|---|---|
营运活动所得现金 | 2,004,408 | 12,374,000 | 6,884,561 | 2,322,381 | -6,735,131 | 2,261,835 | 13,401,230 | -298,509 | -1,206,202 | -5,748,181 |
改变 (%) | 517.34 | -44.36 | -66.27 | -390.01 | -133.58 | 492.49 | -102.23 | 304.08 | 376.55 | |
现金流百分比 | -171.51 | 173.85 | 155.66 | 73.61 | -92.33 | 14.42 | 185.59 | -5.59 | -12.61 | 1,299.16 |
投资活动产生的现金 | -12,938,510 | -9,763,746 | -237,676 | -1,860,490 | 3,109,010 | 6,605,667 | -5,270,072 | 1,982,207 | 8,394,710 | 3,793,092 |
改变 (%) | -24.54 | -97.57 | 682.78 | -267.11 | 112.47 | -179.78 | -137.61 | 323.50 | -54.82 | |
现金流百分比 | 1,107.11 | -137.17 | -5.37 | -58.97 | 42.62 | 42.10 | -72.98 | 37.12 | 87.75 | -857.29 |
融资活动产生的现金 | 9,834,353 | 4,280,051 | -2,643,202 | 2,072,749 | 8,768,686 | 5,994,268 | -1,631,221 | 1,952,497 | 2,726,208 | 1,628,351 |
改变 (%) | -56.48 | -161.76 | -178.42 | 323.05 | -31.64 | -127.21 | -219.70 | 39.63 | -40.27 | |
现金流百分比 | -841.50 | 60.13 | -59.76 | 65.70 | 120.21 | 38.21 | -22.59 | 36.56 | 28.50 | -368.03 |
现金周转 | -1,168,674 | 7,117,795 | 4,422,880 | 3,154,900 | 7,294,455 | 15,689,380 | 7,220,860 | 5,340,133 | 9,566,122 | -442,454 |
改变 (%) | -709.05 | -37.86 | -28.67 | 131.21 | 115.09 | -53.98 | -26.05 | 79.14 | -104.63 | |
现金流百分比 | 100.00 | 100.00 | 100.00 | 100.00 | 100.00 | 100.00 | 100.00 | 100.00 | 100.00 | 100.00 |
Source: Capital IQ