港股市場個股詳情

康寧醫院 (02120)

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  • 9.000
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盤前競價 05/07 09:00 (北京)
6.51億總市值10.82市盈率TTM

康寧醫院 (02120) 現金流量表

全部
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q6)2025/06/30
(FY)2024/12/31
(Q6)2024/06/30
(FY)2023/12/31
(Q6)2023/06/30
(FY)2022/12/31
(Q6)2022/06/30
(FY)2021/12/31
(Q6)2021/06/30
經營活動現金流量
除稅前溢利
-27.37%3,660.39萬
-40.51%2,676.91萬
-42.03%5,039.77萬
2.85%4,499.64萬
892.53%8,693.16萬
12.79%4,375.01萬
-126.84%-1,096.88萬
10.81%3,878.82萬
-26.73%4,086.02萬
21.11%3,500.33萬
利潤調整項
投資損(益)
-344.15%-335.28萬
-128.08%-383.23萬
-112.44%-75.49萬
-958.45%-168.02萬
312.85%606.72萬
-29.80%19.57萬
58.91%-285.05萬
105.20%27.88萬
-190.51%-693.78萬
-680.84%-536.44萬
減值與撥備:
-25.40%3,204.06萬
-236.40%-761.69萬
359.14%4,295.09萬
-30.10%558.43萬
-73.68%935.47萬
192.46%798.91萬
327.15%3,553.7萬
18.09%273.17萬
-73.28%831.95萬
-85.64%231.33萬
-其他減值與撥備
-25.40%3,204.06萬
-236.40%-761.69萬
359.14%4,295.09萬
-30.10%558.43萬
-73.68%935.47萬
192.46%798.91萬
327.15%3,553.7萬
18.09%273.17萬
-73.28%831.95萬
-85.64%231.33萬
重估盈餘:
1,020.25%302.17萬
-585.01%-47.78萬
225.81%26.97萬
--9.85萬
-101.34%-21.44萬
----
269.66%1,597.73萬
97.73%-3.07萬
-42.70%-941.74萬
---135.5萬
-其他公平值變動
1,020.25%302.17萬
-585.01%-47.78萬
225.81%26.97萬
--9.85萬
-101.34%-21.44萬
----
269.66%1,597.73萬
97.73%-3.07萬
-42.70%-941.74萬
---135.5萬
出售資產損(益):
-3,509.06%-238.4萬
-547.53%-125.02萬
-76.49%6.99萬
--27.93萬
173.24%29.75萬
----
-611.55%-40.62萬
-10.45%-38.93萬
111.47%7.94萬
-146.31%-35.25萬
-出售物業、機器及設備損(益)
-3,509.06%-238.4萬
-547.53%-125.02萬
-76.49%6.99萬
--27.93萬
173.24%29.75萬
----
-611.55%-40.62萬
-10.45%-38.93萬
111.47%7.94萬
-146.31%-35.25萬
折舊及攤銷:
3.85%1.61億
-5.90%7,474.19萬
-2.89%1.55億
-2.18%7,942.4萬
-0.76%1.59億
-6.02%8,119.17萬
11.98%1.61億
23.33%8,639.55萬
15.84%1.43億
16.71%7,005.42萬
-無形資產攤銷
-37.52%2,531.52萬
-24.62%1,088.34萬
58.94%4,051.68萬
2.82%1,443.85萬
10.88%2,549.21萬
12.43%1,404.2萬
58.23%2,299.12萬
51.91%1,248.94萬
3.04%1,453.02萬
33.05%822.15萬
-其他折舊及攤銷
31.77%3,808.13萬
-9.17%1,913.06萬
-36.96%2,889.93萬
-7.29%2,106.14萬
-1.20%4,583.93萬
-9.43%2,271.74萬
19.47%4,639.76萬
31.67%2,508.24萬
9.25%3,883.68萬
13.72%1,904.94萬
財務費用
-8.25%3,908.88萬
-42.15%1,837.97萬
4.42%4,260.28萬
65.74%3,177.17萬
-9.48%4,080.1萬
-15.76%1,916.91萬
24.14%4,507.15萬
31.28%2,275.6萬
35.45%3,630.65萬
24.08%1,733.37萬
經營資金變動項目
存貨(增加)減少
-45.15%546.95萬
-88.62%99.15萬
127.81%997.1萬
144.83%871.05萬
341.54%437.69萬
16.67%355.78萬
90.47%-181.21萬
173.60%304.93萬
-47.41%-1,901.08萬
56.15%-414.28萬
應收帳款(增加)減少
199.63%6,594.94萬
1,260.19%2.55億
-23.61%-6,619.43萬
43.48%1,873.47萬
60.93%-5,354.91萬
112.66%1,305.73萬
-263.12%-1.37億
-18.26%-1.03億
-94.99%-3,774.35萬
-37.92%-8,721.21萬
應付帳款增加(減少)
177.07%9,354.64萬
-139.92%-1.68億
-443.55%-1.21億
-50.14%-6,982.56萬
-72.23%3,532.92萬
-1,583.89%-4,650.81萬
2,877.03%1.27億
-118.53%-276.19萬
-248.51%-458.11萬
181.85%1,490.19萬
經營業務特殊項目
170.55%923.23萬
325.42%351.15萬
44.90%-1,308.71萬
82.32%-155.78萬
-479.51%-2,375.11萬
-206.26%-881.13萬
-109.62%-409.85萬
314.61%829.21萬
569.85%4,260.01萬
64.72%-386.39萬
經營活動現金淨額
341.57%4.4億
70.35%1.99億
-62.41%9,963.85萬
2.59%1.17億
16.64%2.65億
102.93%1.14億
17.19%2.27億
50.00%5,597.45萬
-2.88%1.94億
109.65%3,731.57萬
投資活動現金流量
已收股息-投資
--1.21萬
--5,699.09
----
----
----
----
-78.77%165.08萬
----
7,970.05%777.72萬
----
出售固定資產
-90.57%17.38萬
-59.07%26.39萬
-36.95%184.41萬
2,344.25%64.49萬
-87.86%292.49萬
-99.86%2.64萬
175.27%2,410.04萬
18.67%1,903.81萬
126.18%875.53萬
314.47%1,604.35萬
購買固定資產
1.39%-1.9億
12.17%-9,748.71萬
-6.93%-1.92億
-2.93%-1.11億
24.13%-1.8億
10.96%-1.08億
-32.70%-2.37億
-45.13%-1.21億
5.01%-1.79億
-24.42%-8,345.69萬
出售附屬公司
----
----
--200萬
--43.27萬
----
----
----
----
----
--1,424.05萬
收購附屬公司
---2,790.19萬
---1,731.63萬
----
----
41.72%-3,128.92萬
75.65%-1,518.7萬
33.36%-5,368.57萬
-271.90%-6,237.27萬
-224.39%-8,056.4萬
34.47%-1,677.16萬
收回投資所得現金
-57.54%1,454萬
--787萬
313.58%3,424.22萬
----
--827.95萬
--824.95萬
----
----
6.37%5,211.92萬
----
投資支付現金
92.95%-120萬
-260.00%-720萬
-595.30%-1,702萬
48.28%-200萬
---244.79萬
---386.69萬
----
----
-40.69%-4,860萬
-98.09%-3,000萬
投資業務其他專案
96.90%-2.92萬
-1,563.31%-1,309.86萬
92.61%-94.24萬
-57.48%-78.75萬
-45.39%-1,275.21萬
---50.01萬
---877.07萬
----
----
1,601.02%3,902.65萬
投資業務現金淨額
-18.52%-2.04億
-12.64%-1.27億
19.98%-1.72億
5.38%-1.13億
21.42%-2.15億
27.57%-1.19億
-14.46%-2.74億
-169.96%-1.64億
-28.30%-2.39億
20.30%-6,091.8萬
融資前現金淨額
425.97%2.36億
1,770.80%7,155.92萬
-244.79%-7,241.66萬
169.16%382.51萬
207.81%5,001.62萬
94.90%-553.04萬
-2.75%-4,639.48萬
-359.62%-1.08億
-438.57%-4,515.25萬
59.75%-2,360.23萬
融資活動現金流量
新增借款
-3.42%4.33億
-34.16%2.39億
-25.97%4.48億
44.50%3.63億
56.33%6.06億
-20.93%2.51億
-29.58%3.88億
12.19%3.18億
35.37%5.5億
-22.95%2.83億
償還借款
-9.16%-4.01億
41.23%-1.79億
-2.61%-3.67億
-178.00%-3.05億
-10.32%-3.58億
-25.55%-1.1億
24.31%-3.24億
39.73%-8,732萬
-47.70%-4.28億
28.24%-1.45億
已付股息-融資
0.32%-7,441.79萬
59.05%-1,791.31萬
-110.89%-7,465.41萬
-105.16%-4,374.85萬
31.34%-3,539.88萬
-23.33%-2,132.43萬
-70.16%-5,155.45萬
-44.24%-1,729.09萬
-77.08%-3,029.71萬
-45.46%-1,198.73萬
吸收投資所得
94.16%1,400萬
15.15%600萬
140.39%721.05萬
83.15%521.05萬
-67.23%299.95萬
-29.58%284.5萬
215.62%915.31萬
65.24%404.01萬
-87.59%290萬
-89.53%244.51萬
融資業務其他項目
-93.18%-1.76億
32.14%-4,147.05萬
23.97%-9,091.96萬
45.99%-6,111.6萬
-225.49%-1.2億
-413.20%-1.13億
257.06%9,529.9萬
37.76%-2,204.81萬
39.74%-6,067.66萬
58.60%-3,542.62萬
融資業務現金淨額
-164.68%-2.04億
115.16%631.71萬
-180.03%-7,691.68萬
-525.52%-4,165.99萬
-17.28%9,610.69萬
-94.98%979.03萬
243.38%1.16億
109.24%1.95億
53.42%3,383.34萬
-1.90%9,313.86萬
匯率影響
80.71%-3.03萬
97.49%-2,486.65
-3,733.59%-15.72萬
-859.33%-9.92萬
-94.49%4,325.27
-70.50%1.31萬
302.72%7.85萬
310.66%4.43萬
84.39%-3.87萬
-118.02%-2.1萬
現金淨額
121.74%3,247.23萬
305.83%7,787.64萬
-202.20%-1.49億
-988.17%-3,783.48萬
109.40%1.46億
-95.07%425.98萬
716.50%6,978.27萬
24.25%8,640.14萬
-131.99%-1,131.91萬
91.52%6,953.63萬
期初現金
-36.94%2.55億
-36.94%2.55億
56.51%4.05億
56.51%4.05億
37.02%2.59億
37.02%2.59億
-5.68%1.89億
-5.68%1.89億
21.30%2億
21.30%2億
期末現金
12.71%2.88億
-9.18%3.33億
-36.94%2.55億
39.53%3.67億
56.51%4.05億
-4.47%2.63億
37.02%2.59億
2.07%2.75億
-5.68%1.89億
33.88%2.7億
現金結存分析
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
中國會計準則(2007)
中國會計準則(2007)
中國會計準則(2007)
中國會計準則(2007)
中國會計準則(2007)
中國會計準則(2007)
中國會計準則(2007)
中國會計準則(2007)
中國會計準則(2007)
中國會計準則(2007)
審計意見
無保留意見
--
無保留意見
--
無保留意見
--
無保留意見
--
--
--
會計師事務所
立信會計師事務所(特殊普通合夥)
--
立信會計師事務所(特殊普通合夥)
--
立信會計師事務所(特殊普通合夥)
--
立信會計師事務所(特殊普通合夥)
--
立信會計師事務所(特殊普通合夥)
--
(FY)2025/12/31(Q6)2025/06/30(FY)2024/12/31(Q6)2024/06/30(FY)2023/12/31(Q6)2023/06/30(FY)2022/12/31(Q6)2022/06/30(FY)2021/12/31(Q6)2021/06/30
經營活動現金流量
除稅前溢利 -27.37%3,660.39萬-40.51%2,676.91萬-42.03%5,039.77萬2.85%4,499.64萬892.53%8,693.16萬12.79%4,375.01萬-126.84%-1,096.88萬10.81%3,878.82萬-26.73%4,086.02萬21.11%3,500.33萬
利潤調整項
投資損(益) -344.15%-335.28萬-128.08%-383.23萬-112.44%-75.49萬-958.45%-168.02萬312.85%606.72萬-29.80%19.57萬58.91%-285.05萬105.20%27.88萬-190.51%-693.78萬-680.84%-536.44萬
減值與撥備: -25.40%3,204.06萬-236.40%-761.69萬359.14%4,295.09萬-30.10%558.43萬-73.68%935.47萬192.46%798.91萬327.15%3,553.7萬18.09%273.17萬-73.28%831.95萬-85.64%231.33萬
-其他減值與撥備 -25.40%3,204.06萬-236.40%-761.69萬359.14%4,295.09萬-30.10%558.43萬-73.68%935.47萬192.46%798.91萬327.15%3,553.7萬18.09%273.17萬-73.28%831.95萬-85.64%231.33萬
重估盈餘: 1,020.25%302.17萬-585.01%-47.78萬225.81%26.97萬--9.85萬-101.34%-21.44萬----269.66%1,597.73萬97.73%-3.07萬-42.70%-941.74萬---135.5萬
-其他公平值變動 1,020.25%302.17萬-585.01%-47.78萬225.81%26.97萬--9.85萬-101.34%-21.44萬----269.66%1,597.73萬97.73%-3.07萬-42.70%-941.74萬---135.5萬
出售資產損(益): -3,509.06%-238.4萬-547.53%-125.02萬-76.49%6.99萬--27.93萬173.24%29.75萬-----611.55%-40.62萬-10.45%-38.93萬111.47%7.94萬-146.31%-35.25萬
-出售物業、機器及設備損(益) -3,509.06%-238.4萬-547.53%-125.02萬-76.49%6.99萬--27.93萬173.24%29.75萬-----611.55%-40.62萬-10.45%-38.93萬111.47%7.94萬-146.31%-35.25萬
折舊及攤銷: 3.85%1.61億-5.90%7,474.19萬-2.89%1.55億-2.18%7,942.4萬-0.76%1.59億-6.02%8,119.17萬11.98%1.61億23.33%8,639.55萬15.84%1.43億16.71%7,005.42萬
-無形資產攤銷 -37.52%2,531.52萬-24.62%1,088.34萬58.94%4,051.68萬2.82%1,443.85萬10.88%2,549.21萬12.43%1,404.2萬58.23%2,299.12萬51.91%1,248.94萬3.04%1,453.02萬33.05%822.15萬
-其他折舊及攤銷 31.77%3,808.13萬-9.17%1,913.06萬-36.96%2,889.93萬-7.29%2,106.14萬-1.20%4,583.93萬-9.43%2,271.74萬19.47%4,639.76萬31.67%2,508.24萬9.25%3,883.68萬13.72%1,904.94萬
財務費用 -8.25%3,908.88萬-42.15%1,837.97萬4.42%4,260.28萬65.74%3,177.17萬-9.48%4,080.1萬-15.76%1,916.91萬24.14%4,507.15萬31.28%2,275.6萬35.45%3,630.65萬24.08%1,733.37萬
經營資金變動項目
存貨(增加)減少 -45.15%546.95萬-88.62%99.15萬127.81%997.1萬144.83%871.05萬341.54%437.69萬16.67%355.78萬90.47%-181.21萬173.60%304.93萬-47.41%-1,901.08萬56.15%-414.28萬
應收帳款(增加)減少 199.63%6,594.94萬1,260.19%2.55億-23.61%-6,619.43萬43.48%1,873.47萬60.93%-5,354.91萬112.66%1,305.73萬-263.12%-1.37億-18.26%-1.03億-94.99%-3,774.35萬-37.92%-8,721.21萬
應付帳款增加(減少) 177.07%9,354.64萬-139.92%-1.68億-443.55%-1.21億-50.14%-6,982.56萬-72.23%3,532.92萬-1,583.89%-4,650.81萬2,877.03%1.27億-118.53%-276.19萬-248.51%-458.11萬181.85%1,490.19萬
經營業務特殊項目 170.55%923.23萬325.42%351.15萬44.90%-1,308.71萬82.32%-155.78萬-479.51%-2,375.11萬-206.26%-881.13萬-109.62%-409.85萬314.61%829.21萬569.85%4,260.01萬64.72%-386.39萬
經營活動現金淨額 341.57%4.4億70.35%1.99億-62.41%9,963.85萬2.59%1.17億16.64%2.65億102.93%1.14億17.19%2.27億50.00%5,597.45萬-2.88%1.94億109.65%3,731.57萬
投資活動現金流量
已收股息-投資 --1.21萬--5,699.09-----------------78.77%165.08萬----7,970.05%777.72萬----
出售固定資產 -90.57%17.38萬-59.07%26.39萬-36.95%184.41萬2,344.25%64.49萬-87.86%292.49萬-99.86%2.64萬175.27%2,410.04萬18.67%1,903.81萬126.18%875.53萬314.47%1,604.35萬
購買固定資產 1.39%-1.9億12.17%-9,748.71萬-6.93%-1.92億-2.93%-1.11億24.13%-1.8億10.96%-1.08億-32.70%-2.37億-45.13%-1.21億5.01%-1.79億-24.42%-8,345.69萬
出售附屬公司 ----------200萬--43.27萬----------------------1,424.05萬
收購附屬公司 ---2,790.19萬---1,731.63萬--------41.72%-3,128.92萬75.65%-1,518.7萬33.36%-5,368.57萬-271.90%-6,237.27萬-224.39%-8,056.4萬34.47%-1,677.16萬
收回投資所得現金 -57.54%1,454萬--787萬313.58%3,424.22萬------827.95萬--824.95萬--------6.37%5,211.92萬----
投資支付現金 92.95%-120萬-260.00%-720萬-595.30%-1,702萬48.28%-200萬---244.79萬---386.69萬---------40.69%-4,860萬-98.09%-3,000萬
投資業務其他專案 96.90%-2.92萬-1,563.31%-1,309.86萬92.61%-94.24萬-57.48%-78.75萬-45.39%-1,275.21萬---50.01萬---877.07萬--------1,601.02%3,902.65萬
投資業務現金淨額 -18.52%-2.04億-12.64%-1.27億19.98%-1.72億5.38%-1.13億21.42%-2.15億27.57%-1.19億-14.46%-2.74億-169.96%-1.64億-28.30%-2.39億20.30%-6,091.8萬
融資前現金淨額 425.97%2.36億1,770.80%7,155.92萬-244.79%-7,241.66萬169.16%382.51萬207.81%5,001.62萬94.90%-553.04萬-2.75%-4,639.48萬-359.62%-1.08億-438.57%-4,515.25萬59.75%-2,360.23萬
融資活動現金流量
新增借款 -3.42%4.33億-34.16%2.39億-25.97%4.48億44.50%3.63億56.33%6.06億-20.93%2.51億-29.58%3.88億12.19%3.18億35.37%5.5億-22.95%2.83億
償還借款 -9.16%-4.01億41.23%-1.79億-2.61%-3.67億-178.00%-3.05億-10.32%-3.58億-25.55%-1.1億24.31%-3.24億39.73%-8,732萬-47.70%-4.28億28.24%-1.45億
已付股息-融資 0.32%-7,441.79萬59.05%-1,791.31萬-110.89%-7,465.41萬-105.16%-4,374.85萬31.34%-3,539.88萬-23.33%-2,132.43萬-70.16%-5,155.45萬-44.24%-1,729.09萬-77.08%-3,029.71萬-45.46%-1,198.73萬
吸收投資所得 94.16%1,400萬15.15%600萬140.39%721.05萬83.15%521.05萬-67.23%299.95萬-29.58%284.5萬215.62%915.31萬65.24%404.01萬-87.59%290萬-89.53%244.51萬
融資業務其他項目 -93.18%-1.76億32.14%-4,147.05萬23.97%-9,091.96萬45.99%-6,111.6萬-225.49%-1.2億-413.20%-1.13億257.06%9,529.9萬37.76%-2,204.81萬39.74%-6,067.66萬58.60%-3,542.62萬
融資業務現金淨額 -164.68%-2.04億115.16%631.71萬-180.03%-7,691.68萬-525.52%-4,165.99萬-17.28%9,610.69萬-94.98%979.03萬243.38%1.16億109.24%1.95億53.42%3,383.34萬-1.90%9,313.86萬
匯率影響 80.71%-3.03萬97.49%-2,486.65-3,733.59%-15.72萬-859.33%-9.92萬-94.49%4,325.27-70.50%1.31萬302.72%7.85萬310.66%4.43萬84.39%-3.87萬-118.02%-2.1萬
現金淨額 121.74%3,247.23萬305.83%7,787.64萬-202.20%-1.49億-988.17%-3,783.48萬109.40%1.46億-95.07%425.98萬716.50%6,978.27萬24.25%8,640.14萬-131.99%-1,131.91萬91.52%6,953.63萬
期初現金 -36.94%2.55億-36.94%2.55億56.51%4.05億56.51%4.05億37.02%2.59億37.02%2.59億-5.68%1.89億-5.68%1.89億21.30%2億21.30%2億
期末現金 12.71%2.88億-9.18%3.33億-36.94%2.55億39.53%3.67億56.51%4.05億-4.47%2.63億37.02%2.59億2.07%2.75億-5.68%1.89億33.88%2.7億
現金結存分析
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 中國會計準則(2007)中國會計準則(2007)中國會計準則(2007)中國會計準則(2007)中國會計準則(2007)中國會計準則(2007)中國會計準則(2007)中國會計準則(2007)中國會計準則(2007)中國會計準則(2007)
審計意見 無保留意見--無保留意見--無保留意見--無保留意見------
會計師事務所 立信會計師事務所(特殊普通合夥)--立信會計師事務所(特殊普通合夥)--立信會計師事務所(特殊普通合夥)--立信會計師事務所(特殊普通合夥)--立信會計師事務所(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。