滬深市場個股詳情

好利科技 (002729)

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  • 19.05
  • +0.67+3.65%
休市中 01/16 15:00 (北京)
34.86億總市值83.92市盈率TTM

好利科技 (002729) 現金流量表

全部
顯示同比 yoy
隱藏空行 yoy
(Q9)2025/09/30
(Q6)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q9)2024/09/30
(Q6)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q9)2023/09/30
(Q6)2023/06/30
經營活動產生的現金流量
銷售商品、提供勞務收到的現金
11.52%2.35億
13.56%1.59億
-17.04%6,152.46萬
18.20%2.5億
36.25%2.11億
44.61%1.4億
44.53%7,416.09萬
4.69%2.11億
6.30%1.55億
8.58%9,712.38萬
收到的稅費返還
13.39%168.61萬
-51.91%37.12萬
322.94%36.94萬
12.51%151.01萬
536.90%148.7萬
248.02%77.18萬
-56.27%8.73萬
416.81%134.21萬
379.38%23.35萬
355.39%22.18萬
收到其他與經營活動有關的現金
8.60%1,205.46萬
17.32%910.58萬
29.93%484.63萬
-4.79%1,499.85萬
-4.62%1,109.99萬
0.13%776.13萬
-5.62%372.98萬
8.68%1,575.38萬
-6.88%1,163.74萬
-7.94%775.13萬
經營活動現金流入小計
11.39%2.49億
13.42%1.69億
-14.41%6,674.03萬
16.58%2.66億
34.09%2.23億
41.76%1.49億
40.59%7,797.81萬
5.45%2.29億
5.37%1.67億
7.33%1.05億
購買商品、接受勞務支付的現金
-19.78%8,193.02萬
-15.07%5,462.07萬
9.00%2,853.04萬
17.98%1.39億
9.83%1.02億
-3.98%6,431.52萬
-41.37%2,617.48萬
-1.01%1.17億
23.66%9,299.37萬
44.36%6,698.26萬
支付給職工以及為職工支付的現金
30.98%8,303.17萬
51.15%6,165.18萬
69.86%3,628.44萬
19.00%8,594.5萬
17.90%6,339.35萬
10.18%4,078.94萬
11.32%2,136.13萬
10.39%7,222.33萬
8.76%5,376.95萬
7.50%3,702.15萬
支付的各項稅費
69.60%2,340.42萬
119.62%1,753.77萬
120.49%723.4萬
-20.64%1,815.32萬
-26.46%1,379.94萬
-45.56%798.54萬
-59.82%328.09萬
54.37%2,287.39萬
92.03%1,876.33萬
102.99%1,466.71萬
支付其他與經營活動有關的現金
34.88%2,094.7萬
91.73%1,581萬
18.21%447.76萬
-2.54%2,590.48萬
-27.61%1,552.96萬
-45.88%824.61萬
-26.68%378.8萬
18.85%2,657.86萬
14.55%2,145.17萬
54.83%1,523.63萬
經營活動現金流出小計
7.42%2.09億
23.31%1.5億
40.15%7,652.63萬
12.31%2.69億
4.21%1.95億
-9.39%1.21億
-29.23%5,460.5萬
8.08%2.39億
22.10%1.87億
36.78%1.34億
經營活動產生的現金流量淨額
38.39%3,963.62萬
-30.01%1,935.22萬
-141.87%-978.6萬
79.32%-220.04萬
241.04%2,864.07萬
195.97%2,764.98萬
207.72%2,337.31萬
-132.89%-1,063.79萬
-503.28%-2,030.61萬
-213,755.72%-2,881.05萬
投資活動產生的現金流量
收回投資收到的現金
-84.41%3,516.67萬
-97.36%516.67萬
-93.99%500萬
84.71%2.75億
166.61%2.26億
397.23%1.96億
120.08%8,326.01萬
421.97%1.49億
323.63%8,460.17萬
1,076.39%3,933.02萬
取得投資收益收到的現金
-70.90%11.9萬
-79.63%7.27萬
-59.87%7.27萬
31.53%49.09萬
10.56%40.9萬
16.19%35.69萬
290.06%18.12萬
173.39%37.32萬
329.22%36.99萬
1,536.54%30.72萬
處置固定資產、無形資產和其他長期資產收回的現金淨額
-76.67%5,200
-76.67%5,200
----
-93.16%4.91萬
-96.88%2.23萬
-96.88%2.23萬
--4,285.8
-86.05%71.72萬
-86.09%71.52萬
-86.06%71.52萬
投資活動現金流入小計
-84.38%3,529.09萬
-97.32%524.46萬
-93.92%507.27萬
83.73%2.75億
163.74%2.26億
385.57%1.96億
120.30%8,344.55萬
342.18%1.5億
238.38%8,568.68萬
375.15%4,035.25萬
購建固定資產、無形資產和其他長期資產支付的現金
-17.79%681.54萬
27.73%423.28萬
75.38%226.16萬
-4.22%1,025.93萬
-5.23%829.06萬
-45.27%331.38萬
-54.36%128.95萬
-11.52%1,071.18萬
-10.28%874.83萬
-9.77%605.5萬
投資支付的現金
-79.21%4,500萬
-91.43%1,500萬
----
144.76%2.42億
4,547.11%2.17億
3,675.39%1.75億
1,419.83%7,000萬
43.84%9,866.84萬
-92.47%465.88萬
-77.83%463.53萬
投資活動現金流出小計
-76.95%5,181.54萬
-89.21%1,923.28萬
-96.83%226.16萬
130.17%2.52億
1,576.66%2.25億
1,568.01%1.78億
859.28%7,128.95萬
35.53%1.09億
-81.28%1,340.71萬
-61.29%1,069.02萬
投資活動產生的現金流量淨額
-1,475.96%-1,652.45萬
-179.36%-1,398.83萬
-76.87%281.12萬
-41.92%2,348.16萬
-98.34%120.09萬
-40.58%1,762.56萬
-60.07%1,215.6萬
186.34%4,042.83萬
256.16%7,227.98萬
255.10%2,966.23萬
籌資活動產生的現金流量
取得借款收到的現金
225.00%2,600萬
150.00%2,000萬
150.00%2,000萬
-72.86%800萬
-72.86%800萬
-72.86%800萬
-72.86%800萬
-37.35%2,947.89萬
-8.59%2,947.89萬
140.64%2,947.89萬
籌資活動現金流入小計
225.00%2,600萬
150.00%2,000萬
150.00%2,000萬
-72.86%800萬
-72.86%800萬
-72.86%800萬
-72.86%800萬
-38.60%2,947.89萬
-8.59%2,947.89萬
140.64%2,947.89萬
償還債務支付的現金
-30.23%1,018萬
-98.21%18萬
----
-71.72%1,477.17萬
-35.08%1,459.17萬
-18.23%1,007.85萬
-58.13%502.48萬
106.85%5,222.89萬
-10.99%2,247.5萬
4,830.00%1,232.5萬
分配股利、利潤或償付利息支付的現金
1.55%582.03萬
29.95%561.36萬
2,094.89%533.43萬
141.07%597.56萬
166.90%573.15萬
171.42%431.99萬
-77.07%24.3萬
-47.83%247.88萬
-50.84%214.75萬
-62.88%159.16萬
支付其他與籌資活動有關的現金
30.67%56.48萬
6.60%34.47萬
-44.81%11.83萬
-66.17%54.11萬
-30.86%43.22萬
-21.28%32.33萬
2.39%21.44萬
319.84%159.98萬
178.88%62.52萬
229.81%41.07萬
籌資活動現金流出小計
-20.19%1,656.52萬
-58.30%613.83萬
-0.54%545.27萬
-62.19%2,128.85萬
-17.79%2,075.54萬
2.75%1,472.18萬
-58.69%548.22萬
85.33%5,630.74萬
-15.40%2,524.76萬
207.27%1,432.73萬
籌資活動產生的現金流量淨額
173.97%943.48萬
306.22%1,386.17萬
477.78%1,454.73萬
50.47%-1,328.85萬
-401.45%-1,275.54萬
-144.36%-672.18萬
-84.47%251.78萬
-252.17%-2,682.85萬
75.73%423.13萬
99.70%1,515.16萬
現金及現金等價物
匯率變動對現金及現金等價物的影響
1.54%-44.99萬
-124.07%-5.15萬
19.25%7.57萬
172.52%70.6萬
-192.09%-45.69萬
-66.96%21.39萬
124.09%6.35萬
-83.75%25.91萬
-78.81%49.61萬
-37.96%64.75萬
現金及現金等價物淨增加額
93.01%3,209.67萬
-50.54%1,917.42萬
-79.93%764.82萬
170.07%869.87萬
-70.67%1,662.93萬
132.83%3,876.75萬
54.33%3,811.04萬
110.01%322.1萬
255.34%5,670.1萬
258.88%1,665.08萬
加:期初現金及現金等價物餘額
11.04%8,749.3萬
11.04%8,749.3萬
10.33%8,749.3萬
4.26%7,879.43萬
4.26%7,879.43萬
4.26%7,879.43萬
4.94%7,930.47萬
-29.86%7,557.33萬
-29.86%7,557.33萬
-29.86%7,557.33萬
期末現金及現金等價物餘額
25.33%1.2億
-9.27%1.07億
-18.97%9,514.12萬
11.04%8,749.3萬
-27.86%9,542.36萬
27.47%1.18億
17.10%1.17億
4.26%7,879.43萬
85.68%1.32億
-5.18%9,222.41萬
貨幣單位
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
會計準則
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
審計意見
--
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無保留意見
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無保留意見
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會計師事務所
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中匯會計師事務所(特殊普通合夥)
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中匯會計師事務所(特殊普通合夥)
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(Q9)2025/09/30(Q6)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q9)2024/09/30(Q6)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q9)2023/09/30(Q6)2023/06/30
經營活動產生的現金流量
銷售商品、提供勞務收到的現金 11.52%2.35億13.56%1.59億-17.04%6,152.46萬18.20%2.5億36.25%2.11億44.61%1.4億44.53%7,416.09萬4.69%2.11億6.30%1.55億8.58%9,712.38萬
收到的稅費返還 13.39%168.61萬-51.91%37.12萬322.94%36.94萬12.51%151.01萬536.90%148.7萬248.02%77.18萬-56.27%8.73萬416.81%134.21萬379.38%23.35萬355.39%22.18萬
收到其他與經營活動有關的現金 8.60%1,205.46萬17.32%910.58萬29.93%484.63萬-4.79%1,499.85萬-4.62%1,109.99萬0.13%776.13萬-5.62%372.98萬8.68%1,575.38萬-6.88%1,163.74萬-7.94%775.13萬
經營活動現金流入小計 11.39%2.49億13.42%1.69億-14.41%6,674.03萬16.58%2.66億34.09%2.23億41.76%1.49億40.59%7,797.81萬5.45%2.29億5.37%1.67億7.33%1.05億
購買商品、接受勞務支付的現金 -19.78%8,193.02萬-15.07%5,462.07萬9.00%2,853.04萬17.98%1.39億9.83%1.02億-3.98%6,431.52萬-41.37%2,617.48萬-1.01%1.17億23.66%9,299.37萬44.36%6,698.26萬
支付給職工以及為職工支付的現金 30.98%8,303.17萬51.15%6,165.18萬69.86%3,628.44萬19.00%8,594.5萬17.90%6,339.35萬10.18%4,078.94萬11.32%2,136.13萬10.39%7,222.33萬8.76%5,376.95萬7.50%3,702.15萬
支付的各項稅費 69.60%2,340.42萬119.62%1,753.77萬120.49%723.4萬-20.64%1,815.32萬-26.46%1,379.94萬-45.56%798.54萬-59.82%328.09萬54.37%2,287.39萬92.03%1,876.33萬102.99%1,466.71萬
支付其他與經營活動有關的現金 34.88%2,094.7萬91.73%1,581萬18.21%447.76萬-2.54%2,590.48萬-27.61%1,552.96萬-45.88%824.61萬-26.68%378.8萬18.85%2,657.86萬14.55%2,145.17萬54.83%1,523.63萬
經營活動現金流出小計 7.42%2.09億23.31%1.5億40.15%7,652.63萬12.31%2.69億4.21%1.95億-9.39%1.21億-29.23%5,460.5萬8.08%2.39億22.10%1.87億36.78%1.34億
經營活動產生的現金流量淨額 38.39%3,963.62萬-30.01%1,935.22萬-141.87%-978.6萬79.32%-220.04萬241.04%2,864.07萬195.97%2,764.98萬207.72%2,337.31萬-132.89%-1,063.79萬-503.28%-2,030.61萬-213,755.72%-2,881.05萬
投資活動產生的現金流量
收回投資收到的現金 -84.41%3,516.67萬-97.36%516.67萬-93.99%500萬84.71%2.75億166.61%2.26億397.23%1.96億120.08%8,326.01萬421.97%1.49億323.63%8,460.17萬1,076.39%3,933.02萬
取得投資收益收到的現金 -70.90%11.9萬-79.63%7.27萬-59.87%7.27萬31.53%49.09萬10.56%40.9萬16.19%35.69萬290.06%18.12萬173.39%37.32萬329.22%36.99萬1,536.54%30.72萬
處置固定資產、無形資產和其他長期資產收回的現金淨額 -76.67%5,200-76.67%5,200-----93.16%4.91萬-96.88%2.23萬-96.88%2.23萬--4,285.8-86.05%71.72萬-86.09%71.52萬-86.06%71.52萬
投資活動現金流入小計 -84.38%3,529.09萬-97.32%524.46萬-93.92%507.27萬83.73%2.75億163.74%2.26億385.57%1.96億120.30%8,344.55萬342.18%1.5億238.38%8,568.68萬375.15%4,035.25萬
購建固定資產、無形資產和其他長期資產支付的現金 -17.79%681.54萬27.73%423.28萬75.38%226.16萬-4.22%1,025.93萬-5.23%829.06萬-45.27%331.38萬-54.36%128.95萬-11.52%1,071.18萬-10.28%874.83萬-9.77%605.5萬
投資支付的現金 -79.21%4,500萬-91.43%1,500萬----144.76%2.42億4,547.11%2.17億3,675.39%1.75億1,419.83%7,000萬43.84%9,866.84萬-92.47%465.88萬-77.83%463.53萬
投資活動現金流出小計 -76.95%5,181.54萬-89.21%1,923.28萬-96.83%226.16萬130.17%2.52億1,576.66%2.25億1,568.01%1.78億859.28%7,128.95萬35.53%1.09億-81.28%1,340.71萬-61.29%1,069.02萬
投資活動產生的現金流量淨額 -1,475.96%-1,652.45萬-179.36%-1,398.83萬-76.87%281.12萬-41.92%2,348.16萬-98.34%120.09萬-40.58%1,762.56萬-60.07%1,215.6萬186.34%4,042.83萬256.16%7,227.98萬255.10%2,966.23萬
籌資活動產生的現金流量
取得借款收到的現金 225.00%2,600萬150.00%2,000萬150.00%2,000萬-72.86%800萬-72.86%800萬-72.86%800萬-72.86%800萬-37.35%2,947.89萬-8.59%2,947.89萬140.64%2,947.89萬
籌資活動現金流入小計 225.00%2,600萬150.00%2,000萬150.00%2,000萬-72.86%800萬-72.86%800萬-72.86%800萬-72.86%800萬-38.60%2,947.89萬-8.59%2,947.89萬140.64%2,947.89萬
償還債務支付的現金 -30.23%1,018萬-98.21%18萬-----71.72%1,477.17萬-35.08%1,459.17萬-18.23%1,007.85萬-58.13%502.48萬106.85%5,222.89萬-10.99%2,247.5萬4,830.00%1,232.5萬
分配股利、利潤或償付利息支付的現金 1.55%582.03萬29.95%561.36萬2,094.89%533.43萬141.07%597.56萬166.90%573.15萬171.42%431.99萬-77.07%24.3萬-47.83%247.88萬-50.84%214.75萬-62.88%159.16萬
支付其他與籌資活動有關的現金 30.67%56.48萬6.60%34.47萬-44.81%11.83萬-66.17%54.11萬-30.86%43.22萬-21.28%32.33萬2.39%21.44萬319.84%159.98萬178.88%62.52萬229.81%41.07萬
籌資活動現金流出小計 -20.19%1,656.52萬-58.30%613.83萬-0.54%545.27萬-62.19%2,128.85萬-17.79%2,075.54萬2.75%1,472.18萬-58.69%548.22萬85.33%5,630.74萬-15.40%2,524.76萬207.27%1,432.73萬
籌資活動產生的現金流量淨額 173.97%943.48萬306.22%1,386.17萬477.78%1,454.73萬50.47%-1,328.85萬-401.45%-1,275.54萬-144.36%-672.18萬-84.47%251.78萬-252.17%-2,682.85萬75.73%423.13萬99.70%1,515.16萬
現金及現金等價物
匯率變動對現金及現金等價物的影響 1.54%-44.99萬-124.07%-5.15萬19.25%7.57萬172.52%70.6萬-192.09%-45.69萬-66.96%21.39萬124.09%6.35萬-83.75%25.91萬-78.81%49.61萬-37.96%64.75萬
現金及現金等價物淨增加額 93.01%3,209.67萬-50.54%1,917.42萬-79.93%764.82萬170.07%869.87萬-70.67%1,662.93萬132.83%3,876.75萬54.33%3,811.04萬110.01%322.1萬255.34%5,670.1萬258.88%1,665.08萬
加:期初現金及現金等價物餘額 11.04%8,749.3萬11.04%8,749.3萬10.33%8,749.3萬4.26%7,879.43萬4.26%7,879.43萬4.26%7,879.43萬4.94%7,930.47萬-29.86%7,557.33萬-29.86%7,557.33萬-29.86%7,557.33萬
期末現金及現金等價物餘額 25.33%1.2億-9.27%1.07億-18.97%9,514.12萬11.04%8,749.3萬-27.86%9,542.36萬27.47%1.18億17.10%1.17億4.26%7,879.43萬85.68%1.32億-5.18%9,222.41萬
貨幣單位 人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣
會計準則 新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)
審計意見 ------無保留意見------無保留意見----
會計師事務所 ------中匯會計師事務所(特殊普通合夥)------中匯會計師事務所(特殊普通合夥)----

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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