维亚特里斯公司 - 现金流量表 (TTM)

维亚特里斯公司
MX ˙ BMV ˙ US92556V1061
现金流量表 (TTM)

维亚特里斯公司 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
09-30
2020
12-31
2021
03-31
2021
06-30
2021
09-30
2021
12-31
2022
03-31
2022
06-30
2022
09-30
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 1,882 1,232 1,790 1,969 2,530 3,017 3,307 3,550 3,333 2,999 2,785 2,508 2,474 2,900 2,543 2,397 2,389 2,303 2,224 2,064
改变 (%) -34.56 45.28 10.05 28.47 19.25 9.60 7.35 -6.10 -10.02 -7.13 -9.96 -1.35 17.21 -12.30 -5.74 -0.36 -3.59 -3.43 -7.17
现金流百分比 643.08 343.31 794.98 555.86 2,677.25 -2,097.98 -5,936.45 -36,594.85 -2,994.70 539.10 -1,129.02 -6,599.74 374.07 -1,078.47 503.44 835.04 420.32 -894.33 -856.63 -588.65
投资活动产生的现金 -393 -301 81 138 79 -118 -421 -486 -483 1,474 838 833 893 -864 -269 193 1,996 1,801 1,890 1,462
改变 (%) -23.44 -126.83 71.41 -42.96 -249.11 257.39 15.51 -0.66 -405.13 -43.16 -0.56 7.21 -196.78 -68.85 -171.78 932.64 -9.79 4.95 -22.66
现金流百分比 -134.37 -83.92 35.90 39.09 83.60 81.92 755.83 5,013.40 434.05 264.98 -339.64 -2,192.63 135.06 321.49 -53.31 67.33 351.24 -699.30 -728.00 -416.77
融资活动产生的现金 -1,219 -606 -1,681 -1,782 -2,514 -3,012 -2,921 -3,015 -2,896 -3,878 -3,844 -3,368 -2,706 -2,302 -1,753 -2,297 -3,836 -4,330 -4,372 -3,886
改变 (%) -50.32 177.48 6.02 41.07 19.82 -3.01 3.22 -3.94 33.88 -0.88 -12.39 -19.63 -14.95 -23.85 31.06 67.00 12.88 0.96 -11.11
现金流百分比 -416.54 -168.81 -746.65 -502.94 -2,660.00 2,094.58 5,244.52 31,085.57 2,602.43 -697.09 1,558.01 8,861.84 -409.19 856.04 -346.95 -800.14 -675.05 1,681.71 1,684.05 1,108.16
现金周转 293 359 225 354 94 -144 -56 -10 -111 556 -247 -38 661 -269 505 287 568 -258 -260 -351
改变 (%) 22.58 -37.26 57.40 -73.33 -252.17 -61.27 -82.59 1,047.42 -599.82 -144.35 -84.60 -1,840.53 -140.66 -287.88 -43.17 97.94 -145.31 0.82 35.09
现金流百分比 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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