嘉年华公司 - 现金流量表 (TTM)

嘉年华公司
MX ˙ BMV ˙ GB0031215220
现金流量表 (TTM)

嘉年华公司 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
11-30
2021
02-28
2021
05-31
2021
08-31
2021
11-30
2022
02-28
2022
05-31
2022
08-31
2022
11-30
2023
02-28
2023
05-31
2023
08-31
2023
11-30
2024
02-29
2024
05-31
2024
08-31
2024
11-30
2025
02-28
2025
05-31
营运活动所得现金 -6,301 -8,720 -7,359 -5,393 -4,109 -3,818 -2,456 -1,921 -1,670 -70 1,064 3,242 4,281 5,661 6,563 5,934 5,923 5,080 5,433
改变 (%) 38.39 -15.61 -26.72 -23.81 -7.08 -35.67 -21.78 -13.07 -95.81 -1,620.00 204.70 32.05 32.24 15.93 -9.58 -0.19 -14.23 6.95
现金流百分比 -68.78 -103.05 -2,285.40 625.64 574.69 113.06 1,903.88 865.32 56.80 7.28 -41.21 -76.53 -118.88 -175.97 -231.25 -446.84 -491.94 -358.50 1,080.12
投资活动产生的现金 -3,240 -5,668 -6,139 -5,323 -3,543 -2,986 -2,495 -3,475 -4,767 -2,779 -3,169 -3,622 -2,810 -3,929 -4,685 -4,449 -4,535 -2,977 -2,342
改变 (%) 74.94 8.31 -13.29 -33.44 -15.72 -16.44 39.28 37.18 -41.70 14.03 14.29 -22.42 39.82 19.24 -5.04 1.93 -34.36 -21.33
现金流百分比 -35.37 -66.98 -1,906.52 617.52 495.52 88.42 1,934.11 1,565.32 162.14 288.88 122.73 85.51 78.03 122.13 165.08 335.02 376.66 210.09 -465.61
融资活动产生的现金 18,650 22,777 13,748 9,850 6,949 3,461 4,889 5,267 3,577 1,960 -438 -3,869 -5,089 -4,963 -4,720 -2,813 -2,584 -3,511 -2,612
改变 (%) 22.13 -39.64 -28.35 -29.45 -50.19 41.26 7.73 -32.09 -45.21 -122.35 783.33 31.53 -2.48 -4.90 -40.40 -8.14 35.87 -25.61
现金流百分比 203.58 269.17 4,269.57 -1,142.69 -971.89 -102.49 -3,789.92 -2,372.52 -121.67 -203.74 16.96 91.34 141.32 154.27 166.31 211.82 214.62 247.78 -519.28
现金周转 9,161 8,462 322 -862 -715 -3,377 -129 -222 -2,940 -962 -2,582 -4,236 -3,601 -3,217 -2,838 -1,328 -1,204 -1,417 503
改变 (%) -7.63 -96.19 -367.70 -17.05 372.31 -96.18 72.09 1,224.32 -67.28 168.40 64.06 -14.99 -10.66 -11.78 -53.21 -9.34 17.69 -135.50
现金流百分比 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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