- 上汽集团 (600104)- 经营活动产生的现金流量

现金流分析步骤一:分析 经营活动 产生的现金流量

现金及等价物净增加额

175.6亿    ,128.4,-7.3,36.1,140.2,30.6,126.8,-92.5,175.6
了解明细
期初现金及等价物余额

1303.4亿    ,941.0,1069.4,1062.2,1098.2,1238.5,1269.1,1395.9,1303.4
了解明细
期末现金及等价物余额

1478.9亿    ,1069.4,1062.2,1098.2,1238.5,1269.1,1395.9,1303.4,1478.9
了解明细


经营活动现金流净额

113.2亿    ,243.0,89.8,462.7,375.2,216.2,95.0,423.3,113.2
了解明细
投资活动现金流净额

14.7亿    ,-109.1,98.4,-392.6,-71.1,-15.0,-67.8,-422.3,14.7
了解明细
筹资活动现金流净额

43.3亿    ,-4.9,-191.1,-30.9,-158.5,-161.7,91.4,-100.6,43.3
了解明细
汇率变动对现金影响

4.4亿    ,-0.6,-4.3,-3.1,-5.3,-8.9,8.2,7.0,4.4
了解明细


经营活动现金流出小计

3182.2亿    ,9948.9,10295.3,7070.3,6526.5,6626.3,5728.7,5839.6,3182.2
了解明细
经营活动现金流入小计

3295.4亿    ,10191.9,10385.1,7533.0,6901.7,6842.4,5823.8,6262.9,3295.4
了解明细
购买商品支付的现金

2713.6亿    ,8309.0,8578.8,5831.0,5324.0,5265.0,4558.8,4579.5,2713.6
了解明细
销售商品收到的现金

3055.3亿    ,9600.5,9897.2,6949.1,6376.8,6453.3,5336.3,5461.7,3055.3
了解明细
支付的各项税费

130.3亿    ,353.7,392.5,298.4,254.4,289.8,210.7,251.6,130.3
了解明细
收到的税费返还

64.9亿    ,4.1,11.0,19.3,21.3,25.9,118.5,135.1,64.9
了解明细
支付其他经营有关的现金

99.0亿    ,951.6,951.6,553.3,580.9,681.2,589.0,590.2,99.0
了解明细
收到其他经营有关的现金

175.2亿    ,587.4,476.9,564.6,503.6,363.3,369.0,666.1,175.2
了解明细
支付给职工的现金

239.2亿    ,334.6,372.4,387.6,367.3,390.3,370.2,418.2,239.2
了解明细