新明及工業株式會社 - 現金流量表(TTM)

新明及工業株式會社
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2026-06-05
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現金流量表 (TTM)

新明及工業株式會社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
09-30
2022
03-31
2022
09-30
2023
03-31
2023
09-30
2024
03-31
2024
06-30
2024
09-30
2024
12-31
2025
03-31
2025
06-30
2025
09-30
2025
12-31
2026
03-31
經營活動產生的現金 7,824 15,998 10,953 6,404 -2,135 14,065 21,711 38,145 44,859 20,499 15,179 8,257 6,039 24,364
改變 (%) 104.47 -31.54 -41.53 -133.34 -758.78 54.36 75.69 17.60 -54.30 -25.95 -45.60 -26.86 303.44
佔現金流量的百分比 -240.96 412.21 -1,036.23 -159.58 -54.00 3,950.84 658.71 -2,548.10 1,030.53 380.32 257.53 236.93 -652.86 319.91
投資活動現金 -8,528 -7,221 -7,788 -7,164 -6,118 -8,217 -9,098 -11,113 -10,969 -10,806 -11,181 -9,720 -10,013 -10,571
改變 (%) -15.33 7.85 -8.01 -14.60 34.31 10.72 22.15 -1.30 -1.49 3.47 -13.07 3.01 5.57
佔現金流量的百分比 262.64 -186.06 736.80 178.52 -154.73 -2,308.15 -276.03 742.35 -251.99 -200.48 -189.70 -278.91 1,082.49 -138.80
融資活動產生的現金 -2,992 -5,203 -5,262 -4,108 11,810 -5,884 -9,755 -29,457 -30,323 -5,115 2,099 5,594 3,182 -6,259
改變 (%) 73.90 1.13 -21.93 -387.49 -149.82 65.79 201.97 2.94 -83.13 -141.04 166.51 -43.12 -296.70
佔現金流量的百分比 92.15 -134.06 497.82 102.37 298.68 -1,652.81 -295.96 1,967.74 -696.60 -94.90 35.61 160.52 -344.00 -82.18
現金週轉 -3,247 3,881 -1,057 -4,013 3,954 356 3,296 -1,497 4,353 5,390 5,894 3,485 -925 7,616
改變 (%) -219.53 -127.24 279.66 -198.53 -91.00 825.84 -145.42 -390.78 23.82 9.35 -40.87 -126.54 -923.35
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

Source: Capital IQ

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