瑞維提公司 - 現金流量表(TTM)

瑞維提公司
DE ˙ DB
€85.96 ↑0.86 (1.01%)
2026-06-04
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現金流量表 (TTM)

瑞維提公司現金流量表反映隨著時間的推移現金狀況的變化。現金流量表的數據包括來自營運活動產生的現金流量(CFOP)、投資活動產生的現金流量,融資活動產生的現金流量。

除以每股為單位的數字外,所有數字為1,000,000倍數。

2021
07-04
2021
10-03
2022
01-02
2022
04-03
2022
07-03
2022
10-02
2023
01-01
2023
04-02
2023
07-02
2023
10-01
2023
12-31
2024
03-31
2024
06-30
2024
09-29
2024
12-29
2025
03-30
2025
06-29
2025
09-28
2025
12-28
2026
04-05
經營活動產生的現金 1,455 1,557 1,411 1,220 1,030 876 680 460 227 34 91 175 469 651 628 609 585 575 583 570
改變 (%) 7.04 -9.41 -13.49 -15.60 -14.94 -22.42 -32.33 -50.60 -85.12 169.90 92.14 167.61 38.65 -3.44 -3.09 -3.99 -1.61 1.34 -2.22
佔現金流量的百分比 287.09 675.13 650.95 -381.81 -282.39 -1,204.44 -457.50 28.79 23.39 4.69 20.57 -13.82 -559.41 700.79 251.24 437.35 -227.96 -192.87 -239.47 -205.62
投資活動現金 -1,211 -4,489 -4,113 -3,707 -3,446 -167 -133 1,788 1,245 1,703 1,314 -569 123 379 776 788 657 -14 -17 -89
改變 (%) 270.76 -8.39 -9.86 -7.06 -95.15 -20.50 -1,445.84 -30.35 36.73 -22.85 -143.33 -121.68 206.94 104.96 1.52 -16.62 -102.17 21.95 414.30
佔現金流量的百分比 -238.93 -1,946.24 -1,897.70 1,159.77 944.57 229.71 89.41 111.90 128.19 235.94 296.09 44.85 -147.06 407.85 310.37 565.98 -256.19 4.77 7.13 32.19
融資活動產生的現金 243 3,154 2,942 2,194 2,097 -724 -662 -610 -484 -1,004 -947 -869 -667 -955 -1,128 -1,257 -1,533 -874 -858 -783
改變 (%) 1,199.27 -6.74 -25.42 -4.42 -134.53 -8.61 -7.81 -20.71 107.57 -5.68 -8.25 -23.22 43.12 18.16 11.40 21.96 -42.97 -1.91 -8.72
佔現金流量的百分比 47.90 1,367.43 1,357.33 -686.32 -574.86 995.36 445.39 -38.19 -49.80 -139.15 -213.49 68.47 795.25 -1,028.39 -451.15 -902.79 597.75 293.13 352.28 282.36
現金週轉 507 231 217 -320 -365 -73 -149 1,598 971 722 444 -1,269 -84 93 250 139 -256 -298 -243 -277
改變 (%) -54.48 -6.04 -247.49 14.12 -80.06 104.25 -1,175.30 -39.20 -25.71 -38.53 -386.07 -93.39 -210.68 169.34 -44.33 -284.19 16.30 -18.38 13.88
佔現金流量的百分比 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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