日本市場個股詳情

三井物產 (8031)

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  • 5765.0
  • -131.0-2.22%
延時20分鐘行情休市中 05/01 15:30 (東京)
16.51萬億總市值18.81市盈率(靜)

三井物產 (8031) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2025/12/31
(Q2)2025/09/30
(Q1)2025/06/30
(FY)2025/03/31
(Q3)2024/12/31
(Q2)2024/09/30
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
經營活動現金流量(間接法)
經營活動產生的現金
625.50%2,006.67億
-48.51%750.98億
-13.00%2,006.28億
13.89%6,686.62億
-80.30%276.59億
1,350.21%1,458.48億
-15.71%2,306.06億
-18.59%5,871.35億
-59.30%1,630.58億
-33.19%1,404.32億
扣除非現金調整前淨利潤
-20.86%1,943.56億
72.78%2,391.15億
-29.96%1,977.61億
-14.71%9,215.56億
-10.35%2,455.82億
-34.29%1,383.96億
9.16%2,823.51億
-6.42%1.08萬億
15.39%3,372.7億
-10.57%2,739.29億
非現金項目調整總額
141.09%310.11億
-935.98%-711.84億
79.72%-200.82億
31.10%-2,016.57億
-108.34%-754.8億
113.57%85.15億
-27.05%-990.38億
-47.60%-2,926.89億
-102.49%-1,157.66億
-67.81%-362.29億
-折舊與攤銷
5.96%839.04億
0.59%784.24億
-3.37%747.45億
6.87%3,137.3億
10.65%791.82億
14.55%779.67億
11.60%773.48億
7.66%2,935.73億
27.54%846.36億
3.28%715.64億
-資產準備金與勾銷
--28.2億
----
-123.39%-12.72億
12.61%100.98億
----
----
-1.23%54.39億
-52.45%89.67億
-243.28%-54.86億
----
-聯營企業份額
37.63%-787.61億
-8.63%-1,314.04億
10.68%-1,209.13億
-0.51%-4,940.76億
7.96%-1,262.76億
-18.65%-1,209.6億
5.33%-1,353.65億
11.51%-4,915.64億
20.74%-1,094.4億
-2.48%-1,371.92億
-處置利潤
59.45%-116.18億
-1,812.63%-336.24億
95.90%-40.44億
18.62%-1,743.37億
-24.99%-286.48億
98.11%-17.58億
-100.44%-985.44億
-171.31%-2,142.29億
-539.69%-489.81億
38.65%-229.2億
-遞延所得稅
6.34%556.31億
52.22%733.18億
-44.22%364.42億
-3.71%2,136.75億
-20.41%523.15億
-32.58%481.67億
22.91%653.35億
-7.79%2,219.14億
-17.31%315.86億
-7.02%657.32億
-其他非現金項目
45.31%-198.09億
-335.89%-602.36億
61.97%-50.4億
36.46%-707.47億
-338.10%-362.22億
26.14%-138.19億
18.66%-132.51億
-15.95%-1,113.5億
-243.51%-680.81億
-165.14%-82.68億
營運資本變動
82.66%-247億
-8,633.11%-928.33億
-51.47%229.49億
74.47%-512.37億
-46.44%-1,424.43億
99.23%-10.63億
-49.08%472.93億
14.66%-2,006.55億
-135.31%-584.46億
-30.49%-972.68億
-應收款(增)減
-146.07%-4,032.86億
-9.86%991.27億
132.34%453.09億
-173.96%-1,017.16億
11.93%-1,638.92億
239.14%1,099.64億
-332.24%-1,400.92億
-117.18%-371.28億
-28.22%1,676.76億
-272.49%-1,860.98億
-存貨(增)減
32.10%-535.93億
-196.49%-701.05億
10.98%246.46億
-89.28%57.77億
-673.19%-789.27億
-146.95%-236.45億
-28.32%222.08億
0.40%539.15億
-119.15%-172.16億
72.84%-102.08億
-預付費用(增)減
----
848.51%180.54億
-83.80%46.64億
75.54%-132.86億
----
---24.12億
--287.87億
---543.08億
--472.74億
9.16%-680.48億
-應付款(減)增
115.27%3,266.33億
59.99%-522.31億
-126.03%-335.75億
-46.15%166.69億
-8.95%1,517.32億
-2,936.48%-1,305.35億
486.95%1,289.83億
110.46%309.55億
23.92%-1,622.7億
291.11%1,666.48億
-貸款、租賃及其他損失準備金
-35.06%6.15億
-107.33%-23.93億
40.75%-4.26億
927.07%487.86億
412.54%9.47億
23,903.68%326.45億
-598.06%-7.19億
140.57%47.5億
133.48%50.2億
-169.98%-3.03億
-其他流動資產變動
592.32%1,276.49億
-760.10%-852.85億
-317.44%-176.69億
160.45%761.29億
-3,599.06%-259.28億
116.08%129.2億
140.03%81.26億
36.18%-1,259.36億
-60.90%-260.27億
-98.68%7.41億
-其他流動負債變動
----
----
----
-14.67%-835.96億
----
----
----
---729.03億
----
----
已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流)
-7.52%1,574.05億
-35.80%1,534.7億
-8.88%1,238.79億
15.47%6,360.61億
19.37%1,702.01億
60.57%2,390.34億
-14.99%1,359.54億
-4.07%5,508.36億
-12.36%994.49億
-2.87%1,425.82億
已付利息(經營活動產生的現金流)
-20.43%-391.08億
-11.22%-508.12億
4.60%-362.88億
-26.42%-1,990.42億
-16.60%-324.74億
2.62%-456.86億
-18.23%-380.38億
-62.87%-1,574.42億
-34.71%-505.05億
-6.57%-278.51億
已收到的利息(經營活動產生的現金流)
36.72%214.27億
22.81%218.63億
52.48%230.49億
6.59%979.51億
1.38%156.72億
-51.81%178.02億
-39.19%151.16億
9.07%918.93億
-43.90%146.37億
-37.80%154.58億
已支付退稅
15.54%-386.36億
28.29%-334.6億
16.32%-487.16億
10.52%-1,861.14億
17.60%-457.44億
5.32%-466.63億
1.96%-582.15億
11.66%-2,080.03億
20.44%-438.24億
16.10%-555.13億
其他經營現金流入(流出)
-692.81%-2,505.56億
0
0
0
422.66億
0
0
0
0
0
經營活動現金淨額
-71.17%511.99億
-46.46%1,661.59億
-8.01%2,625.52億
17.71%1.02萬億
-17.45%1,775.8億
211.37%3,103.35億
-22.19%2,854.23億
-17.48%8,644.19億
-59.16%1,828.15億
-25.70%2,151.08億
投資活動現金流量
物業、廠房及設備交易淨額
-864.16%-8,005.38億
-32.89%-912.5億
9.52%-801.56億
-36.26%-3,328.36億
-20.79%-830.3億
-1.30%-686.65億
-89.04%-885.89億
-28.53%-2,442.64億
-29.86%-608.77億
-25.00%-687.4億
業務交易淨額
98.41%-8.06億
21.06%-118.22億
-228.38%-725.53億
68.48%-817.76億
-152.37%-505.9億
74.83%-149.75億
150.16%565.15億
-150.87%-2,594.69億
-176.59%-672.63億
-187.62%-200.46億
投資物業交易淨額
-100.13%-9,000萬
350.73%134.04億
-117.33%-4.45億
269.36%1,074.53億
366.31%682.3億
-132.94%-53.46億
278.46%25.68億
-39.90%290.92億
-101.94%-3.32億
716.34%146.32億
投資產品交易淨額
18.09%345.19億
-71.33%196.78億
137.60%19.27億
361.63%1,065.4億
48.06%292.3億
745.68%686.27億
79.96%-51.25億
-67.45%230.79億
300.52%207.91億
-52.94%197.42億
向其他方提供的預付現金及貸款
46.19%-17.67億
-85.58%-59.18億
-30.54%-224.21億
-78.37%-281.25億
-1,111.81%-32.84億
-38.77%-31.89億
-57.24%-171.75億
---157.68億
---22.76億
95.94%-2.71億
償還對其他方提供的預付款及貸款產生的現金收入
-20.44%73.21億
-35.07%45億
-85.51%39.49億
67.80%667.56億
-66.39%92.02億
133.60%69.31億
750.47%272.49億
1,050.38%397.83億
134.47%62.35億
470.24%273.77億
投資活動現金淨額
-2,417.56%-7,613.61億
-329.73%-714.08億
-591.04%-1,696.99億
62.11%-1,619.88億
-10.75%-302.42億
83.75%-166.17億
87.36%-245.57億
-139.74%-4,275.47億
-99.70%-1,037.22億
-587.69%-273.06億
融資活動現金流量
債務發行/償還的淨額
269.91%8,426.44億
48.22%-1,394.06億
48.82%1,201.34億
108.14%444.98億
480.84%2,277.94億
-414.24%-2,692.04億
157.64%807.27億
-1,016.92%-5,469.45億
-96.59%-2,947.37億
-140.78%-598.14億
普通股發行/回購的淨額
38.69%-772.16億
100.09%1.11億
100.08%5,800萬
-187.06%-3,997.58億
-264.41%-1,259.44億
-346.59%-1,231.02億
-24.52%-768.13億
48.47%-1,392.59億
78.89%-154.48億
64.34%-345.61億
租賃融資增減
-14.36%-267.35億
-12.76%-244.15億
-5.72%-228.96億
-21.74%-900.66億
-29.51%-233.78億
-17.60%-216.53億
-20.52%-216.57億
-13.03%-739.84億
14.29%-195.51億
-21.97%-180.51億
已支付現金股息
-7.66%-1,581.26億
--0
-12.90%-1,436.91億
-13.12%-2,741.57億
-14.71%-1,468.8億
--0
-11.33%-1,272.77億
-22.36%-2,423.68億
--0
-25.50%-1,280.43億
其他籌資費用淨額
95.15%-6.56億
-222.57%-23.87億
1.12%-119.54億
-186.25%-301.19億
-135.43%-135.21億
-111.11%-7.4億
-138.32%-120.9億
79.74%-105.22億
42.73%-63.69億
-118.03%-57.43億
融資活動現金淨額
807.82%5,799.11億
59.95%-1,660.97億
62.86%-583.49億
26.01%-7,496.02億
66.72%-819.29億
-352.41%-4,146.99億
53.67%-1,571.1億
-59.62%-1.01萬億
-30.76%-3,361.05億
-253.26%-2,462.12億
現金淨流量
期初現金流
10.97%9,513.54億
-2.86%1.01萬億
8.81%9,773.56億
-35.39%8,982.04億
-28.40%8,572.84億
-19.18%1.04萬億
-35.39%8,982.04億
23.25%1.39萬億
-9.97%1.12萬億
12.25%1.2萬億
現金變動
-299.13%-1,302.51億
41.03%-713.46億
-66.75%345.04億
118.38%1,059.28億
211.98%654.09億
-28.35%-1,209.81億
162.31%1,037.56億
-345.71%-5,762.06億
-285.34%-2,570.12億
-125.91%-584.1億
匯率變動影響
41.03%368.96億
129.33%168億
-117.74%-59.6億
-131.77%-267.76億
251.42%261.61億
-795.92%-572.88億
-43.75%335.93億
203.70%842.8億
495.85%336.06億
62.62%-172.77億
期末現金
-9.58%8,579.99億
10.97%9,513.54億
-2.86%1.01萬億
8.81%9,773.56億
-15.40%9,488.54億
-28.40%8,572.84億
-19.18%1.04萬億
-35.39%8,982.04億
-35.39%8,982.04億
-9.97%1.12萬億
自由現金流
-965.22%-7,758.03億
-69.95%725.36億
-4.43%1,808.02億
17.86%6,713.71億
-33.23%896.65億
1,035.39%2,414.06億
-37.71%1,891.82億
-33.57%5,696.48億
-74.51%1,103.87億
-39.77%1,342.8億
貨幣單位
日元
日元
日元
日元
日元
日元
日元
日元
日元
日元
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q3)2025/12/31(Q2)2025/09/30(Q1)2025/06/30(FY)2025/03/31(Q3)2024/12/31(Q2)2024/09/30(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31
經營活動現金流量(間接法)
經營活動產生的現金 625.50%2,006.67億-48.51%750.98億-13.00%2,006.28億13.89%6,686.62億-80.30%276.59億1,350.21%1,458.48億-15.71%2,306.06億-18.59%5,871.35億-59.30%1,630.58億-33.19%1,404.32億
扣除非現金調整前淨利潤 -20.86%1,943.56億72.78%2,391.15億-29.96%1,977.61億-14.71%9,215.56億-10.35%2,455.82億-34.29%1,383.96億9.16%2,823.51億-6.42%1.08萬億15.39%3,372.7億-10.57%2,739.29億
非現金項目調整總額 141.09%310.11億-935.98%-711.84億79.72%-200.82億31.10%-2,016.57億-108.34%-754.8億113.57%85.15億-27.05%-990.38億-47.60%-2,926.89億-102.49%-1,157.66億-67.81%-362.29億
-折舊與攤銷 5.96%839.04億0.59%784.24億-3.37%747.45億6.87%3,137.3億10.65%791.82億14.55%779.67億11.60%773.48億7.66%2,935.73億27.54%846.36億3.28%715.64億
-資產準備金與勾銷 --28.2億-----123.39%-12.72億12.61%100.98億---------1.23%54.39億-52.45%89.67億-243.28%-54.86億----
-聯營企業份額 37.63%-787.61億-8.63%-1,314.04億10.68%-1,209.13億-0.51%-4,940.76億7.96%-1,262.76億-18.65%-1,209.6億5.33%-1,353.65億11.51%-4,915.64億20.74%-1,094.4億-2.48%-1,371.92億
-處置利潤 59.45%-116.18億-1,812.63%-336.24億95.90%-40.44億18.62%-1,743.37億-24.99%-286.48億98.11%-17.58億-100.44%-985.44億-171.31%-2,142.29億-539.69%-489.81億38.65%-229.2億
-遞延所得稅 6.34%556.31億52.22%733.18億-44.22%364.42億-3.71%2,136.75億-20.41%523.15億-32.58%481.67億22.91%653.35億-7.79%2,219.14億-17.31%315.86億-7.02%657.32億
-其他非現金項目 45.31%-198.09億-335.89%-602.36億61.97%-50.4億36.46%-707.47億-338.10%-362.22億26.14%-138.19億18.66%-132.51億-15.95%-1,113.5億-243.51%-680.81億-165.14%-82.68億
營運資本變動 82.66%-247億-8,633.11%-928.33億-51.47%229.49億74.47%-512.37億-46.44%-1,424.43億99.23%-10.63億-49.08%472.93億14.66%-2,006.55億-135.31%-584.46億-30.49%-972.68億
-應收款(增)減 -146.07%-4,032.86億-9.86%991.27億132.34%453.09億-173.96%-1,017.16億11.93%-1,638.92億239.14%1,099.64億-332.24%-1,400.92億-117.18%-371.28億-28.22%1,676.76億-272.49%-1,860.98億
-存貨(增)減 32.10%-535.93億-196.49%-701.05億10.98%246.46億-89.28%57.77億-673.19%-789.27億-146.95%-236.45億-28.32%222.08億0.40%539.15億-119.15%-172.16億72.84%-102.08億
-預付費用(增)減 ----848.51%180.54億-83.80%46.64億75.54%-132.86億-------24.12億--287.87億---543.08億--472.74億9.16%-680.48億
-應付款(減)增 115.27%3,266.33億59.99%-522.31億-126.03%-335.75億-46.15%166.69億-8.95%1,517.32億-2,936.48%-1,305.35億486.95%1,289.83億110.46%309.55億23.92%-1,622.7億291.11%1,666.48億
-貸款、租賃及其他損失準備金 -35.06%6.15億-107.33%-23.93億40.75%-4.26億927.07%487.86億412.54%9.47億23,903.68%326.45億-598.06%-7.19億140.57%47.5億133.48%50.2億-169.98%-3.03億
-其他流動資產變動 592.32%1,276.49億-760.10%-852.85億-317.44%-176.69億160.45%761.29億-3,599.06%-259.28億116.08%129.2億140.03%81.26億36.18%-1,259.36億-60.90%-260.27億-98.68%7.41億
-其他流動負債變動 -------------14.67%-835.96億---------------729.03億--------
已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流) -7.52%1,574.05億-35.80%1,534.7億-8.88%1,238.79億15.47%6,360.61億19.37%1,702.01億60.57%2,390.34億-14.99%1,359.54億-4.07%5,508.36億-12.36%994.49億-2.87%1,425.82億
已付利息(經營活動產生的現金流) -20.43%-391.08億-11.22%-508.12億4.60%-362.88億-26.42%-1,990.42億-16.60%-324.74億2.62%-456.86億-18.23%-380.38億-62.87%-1,574.42億-34.71%-505.05億-6.57%-278.51億
已收到的利息(經營活動產生的現金流) 36.72%214.27億22.81%218.63億52.48%230.49億6.59%979.51億1.38%156.72億-51.81%178.02億-39.19%151.16億9.07%918.93億-43.90%146.37億-37.80%154.58億
已支付退稅 15.54%-386.36億28.29%-334.6億16.32%-487.16億10.52%-1,861.14億17.60%-457.44億5.32%-466.63億1.96%-582.15億11.66%-2,080.03億20.44%-438.24億16.10%-555.13億
其他經營現金流入(流出) -692.81%-2,505.56億000422.66億00000
經營活動現金淨額 -71.17%511.99億-46.46%1,661.59億-8.01%2,625.52億17.71%1.02萬億-17.45%1,775.8億211.37%3,103.35億-22.19%2,854.23億-17.48%8,644.19億-59.16%1,828.15億-25.70%2,151.08億
投資活動現金流量
物業、廠房及設備交易淨額 -864.16%-8,005.38億-32.89%-912.5億9.52%-801.56億-36.26%-3,328.36億-20.79%-830.3億-1.30%-686.65億-89.04%-885.89億-28.53%-2,442.64億-29.86%-608.77億-25.00%-687.4億
業務交易淨額 98.41%-8.06億21.06%-118.22億-228.38%-725.53億68.48%-817.76億-152.37%-505.9億74.83%-149.75億150.16%565.15億-150.87%-2,594.69億-176.59%-672.63億-187.62%-200.46億
投資物業交易淨額 -100.13%-9,000萬350.73%134.04億-117.33%-4.45億269.36%1,074.53億366.31%682.3億-132.94%-53.46億278.46%25.68億-39.90%290.92億-101.94%-3.32億716.34%146.32億
投資產品交易淨額 18.09%345.19億-71.33%196.78億137.60%19.27億361.63%1,065.4億48.06%292.3億745.68%686.27億79.96%-51.25億-67.45%230.79億300.52%207.91億-52.94%197.42億
向其他方提供的預付現金及貸款 46.19%-17.67億-85.58%-59.18億-30.54%-224.21億-78.37%-281.25億-1,111.81%-32.84億-38.77%-31.89億-57.24%-171.75億---157.68億---22.76億95.94%-2.71億
償還對其他方提供的預付款及貸款產生的現金收入 -20.44%73.21億-35.07%45億-85.51%39.49億67.80%667.56億-66.39%92.02億133.60%69.31億750.47%272.49億1,050.38%397.83億134.47%62.35億470.24%273.77億
投資活動現金淨額 -2,417.56%-7,613.61億-329.73%-714.08億-591.04%-1,696.99億62.11%-1,619.88億-10.75%-302.42億83.75%-166.17億87.36%-245.57億-139.74%-4,275.47億-99.70%-1,037.22億-587.69%-273.06億
融資活動現金流量
債務發行/償還的淨額 269.91%8,426.44億48.22%-1,394.06億48.82%1,201.34億108.14%444.98億480.84%2,277.94億-414.24%-2,692.04億157.64%807.27億-1,016.92%-5,469.45億-96.59%-2,947.37億-140.78%-598.14億
普通股發行/回購的淨額 38.69%-772.16億100.09%1.11億100.08%5,800萬-187.06%-3,997.58億-264.41%-1,259.44億-346.59%-1,231.02億-24.52%-768.13億48.47%-1,392.59億78.89%-154.48億64.34%-345.61億
租賃融資增減 -14.36%-267.35億-12.76%-244.15億-5.72%-228.96億-21.74%-900.66億-29.51%-233.78億-17.60%-216.53億-20.52%-216.57億-13.03%-739.84億14.29%-195.51億-21.97%-180.51億
已支付現金股息 -7.66%-1,581.26億--0-12.90%-1,436.91億-13.12%-2,741.57億-14.71%-1,468.8億--0-11.33%-1,272.77億-22.36%-2,423.68億--0-25.50%-1,280.43億
其他籌資費用淨額 95.15%-6.56億-222.57%-23.87億1.12%-119.54億-186.25%-301.19億-135.43%-135.21億-111.11%-7.4億-138.32%-120.9億79.74%-105.22億42.73%-63.69億-118.03%-57.43億
融資活動現金淨額 807.82%5,799.11億59.95%-1,660.97億62.86%-583.49億26.01%-7,496.02億66.72%-819.29億-352.41%-4,146.99億53.67%-1,571.1億-59.62%-1.01萬億-30.76%-3,361.05億-253.26%-2,462.12億
現金淨流量
期初現金流 10.97%9,513.54億-2.86%1.01萬億8.81%9,773.56億-35.39%8,982.04億-28.40%8,572.84億-19.18%1.04萬億-35.39%8,982.04億23.25%1.39萬億-9.97%1.12萬億12.25%1.2萬億
現金變動 -299.13%-1,302.51億41.03%-713.46億-66.75%345.04億118.38%1,059.28億211.98%654.09億-28.35%-1,209.81億162.31%1,037.56億-345.71%-5,762.06億-285.34%-2,570.12億-125.91%-584.1億
匯率變動影響 41.03%368.96億129.33%168億-117.74%-59.6億-131.77%-267.76億251.42%261.61億-795.92%-572.88億-43.75%335.93億203.70%842.8億495.85%336.06億62.62%-172.77億
期末現金 -9.58%8,579.99億10.97%9,513.54億-2.86%1.01萬億8.81%9,773.56億-15.40%9,488.54億-28.40%8,572.84億-19.18%1.04萬億-35.39%8,982.04億-35.39%8,982.04億-9.97%1.12萬億
自由現金流 -965.22%-7,758.03億-69.95%725.36億-4.43%1,808.02億17.86%6,713.71億-33.23%896.65億1,035.39%2,414.06億-37.71%1,891.82億-33.57%5,696.48億-74.51%1,103.87億-39.77%1,342.8億
貨幣單位 日元日元日元日元日元日元日元日元日元日元
會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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