南非建筑与合同发展基金会 - 现金流量表 (TTM)

南非建筑与合同发展基金会
DE ˙ DB ˙ ES0122060314
€11.16 ↑0.14 (1.27%)
2025-09-08
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现金流量表 (TTM)

南非建筑与合同发展基金会 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
12-31
2021
06-30
2021
12-31
2022
06-30
2022
12-31
2023
03-31
2023
06-30
2023
09-30
2023
12-31
2024
03-31
2024
06-30
2024
09-30
2024
12-31
2025
03-31
2025
06-30
营运活动所得现金 605 677 746 990 1,546 1,428 1,310 1,047 785 895 1,005 1,142 1,278 1,247 1,217
改变 (%) 11.90 10.22 32.69 56.11 -7.64 -8.28 -20.01 -25.02 13.99 12.27 13.57 11.95 -2.40 -2.46
现金流百分比 16,972.62 -779.77 238.10 952.12 3,863.34 1,124.28 612.05 844.30 2,298.80 -11,996.11 -2,047.53 1,196.45 532.67 369.74 279.84
投资活动产生的现金 -402 -27 193 -517 -938 -892 -845 -904 -962 -1,146 -1,330 -1,313 -1,295 -1,079 -862
改变 (%) -93.28 -815.17 -367.70 81.48 -4.96 -5.22 6.95 6.49 19.09 16.03 -1.30 -1.32 -16.71 -20.06
现金流百分比 -11,263.62 31.09 61.61 -497.00 -2,344.35 -702.08 -394.95 -728.45 -2,817.02 15,358.49 2,709.20 -1,375.82 -539.94 -319.83 -198.37
融资活动产生的现金 -138 -684 -628 -396 -567 -403 -238 -14 210 237 264 249 235 194 154
改变 (%) 394.06 -8.22 -36.93 43.26 -29.02 -40.88 -94.17 -1,614.13 12.69 11.26 -5.48 -5.80 -17.19 -20.76
现金流百分比 -3,883.23 787.70 -200.29 -380.69 -1,417.53 -317.05 -111.25 -11.19 615.42 -3,174.95 -537.03 261.16 97.84 57.62 35.43
现金周转 4 -87 313 104 40 127 214 124 34 -7 -49 95 240 337 435
改变 (%) -2,535.65 -460.95 -66.82 -61.53 217.36 68.49 -42.02 -72.46 -121.84 557.79 -294.36 151.45 40.61 28.88
现金流百分比 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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