600018 上港集团
2026/03 - 三个月
人民币(K¥)
2025/12
人民币(K¥)
2024/12
人民币(K¥)
2023/12
人民币(K¥)
2022/12
人民币(K¥)
经营活动产生之现金流量净额3,336,65711,803,1029,221,35413,414,58513,793,492
投资活动产生之现金流量净额(274,919)(5,230,423)(5,327,943)(7,428,744)(4,596,841)
筹资活动产生之现金流量净额1,769,322(7,767,919)(6,772,140)2,794,528(11,584,673)
汇率变动对现金及现金等价物的影响(94,338)(52,876)84,985137,439583,392
现金及现金等价物净增加/(减少)4,736,721(1,248,116)(2,793,744)8,917,809(1,804,630)
期初现金及现金等价物余额31,565,89632,814,01235,607,75626,689,94728,494,578
期末现金及现金等价物余额36,302,61831,565,89632,814,01235,607,75626,689,947