002208 合肥城建
2024/03 - 三个月
人民币(K¥)
2023/12
人民币(K¥)
2022/12
人民币(K¥)
2021/12
人民币(K¥)
2020/12
人民币(K¥)
经营活动产生之现金流量净额(822,477)1,081,271(1,885,413)(2,605,344)76,116
投资活动产生之现金流量净额89,261(240,233)27,078(176,278)9,991
筹资活动产生之现金流量净额397,843(1,677,130)3,575,4532,476,09318,083
汇率变动对现金及现金等价物的影响----------
现金及现金等价物净增加/(减少)(335,374)(836,092)1,717,118(305,529)104,190
期初现金及现金等价物余额4,317,1974,581,8332,864,7153,170,2443,066,055
期末现金及现金等价物余额3,981,8243,745,7414,581,8332,864,7153,170,244