滬深市場個股詳情

002715 登雲股份

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  • 17.32
  • +0.22+1.29%
交易中 12/02 09:47 (北京)
23.90億總市值102.49市盈率TTM

登雲股份關鍵統計數據

全部
顯示同比 yoy
隱藏空行 yoy
(Q9)2024/09/30
(Q6)2024/06/30
(Q3)2024/03/31
(FY)2023/12/31
(Q9)2023/09/30
(Q6)2023/06/30
(Q3)2023/03/31
(FY)2022/12/31
(Q9)2022/09/30
(Q6)2022/06/30
經營活動產生的現金流量
銷售商品、提供勞務收到的現金
-8.07%2.83億
-10.67%1.82億
-14.83%8,689.84萬
4.07%4.15億
8.97%3.07億
8.03%2.04億
-4.65%1.02億
9.59%3.99億
18.24%2.82億
14.94%1.89億
收到的稅費返還
-79.37%86.76萬
-66.68%115.7萬
-67.10%94.12萬
-67.93%638.54萬
-70.37%420.67萬
-49.27%347.28萬
-3.13%286.11萬
382.76%1,991.37萬
421.84%1,419.54萬
46,763.25%684.63萬
收到其他與經營活動有關的現金
-50.37%1,033.32萬
22.25%1,027.51萬
129.34%778.68萬
-55.25%1,372.44萬
88.08%2,081.97萬
66.14%840.5萬
120.76%339.53萬
140.83%3,066.85萬
9.16%1,106.95萬
35.31%505.9萬
經營活動現金流入小計
-11.62%2.94億
-10.28%1.94億
-11.69%9,562.64萬
-3.17%4.35億
8.15%3.32億
7.54%2.16億
-2.88%1.08億
18.02%4.49億
22.24%3.07億
19.45%2.01億
購買商品、接受勞務支付的現金
-19.79%1.08億
-28.42%6,964.63萬
-25.92%3,206.69萬
-30.88%1.65億
-18.68%1.35億
-11.94%9,730.27萬
-3.80%4,328.64萬
62.94%2.39億
55.36%1.66億
45.58%1.1億
支付給職工以及為職工支付的現金
1.80%9,973.11萬
-1.67%6,784.62萬
-0.55%3,423.66萬
-4.84%1.31億
-8.90%9,797.03萬
-6.16%6,899.69萬
-7.70%3,442.76萬
9.30%1.38億
16.64%1.08億
24.10%7,352.64萬
支付的各項稅費
-16.81%1,455.63萬
-41.65%811.75萬
-15.76%496.73萬
69.04%2,776.65萬
39.48%1,749.84萬
35.17%1,391.24萬
22.21%589.62萬
7.62%1,642.56萬
6.43%1,254.51萬
12.35%1,029.23萬
支付其他與經營活動有關的現金
45.28%3,359.16萬
7.53%2,218.64萬
88.86%1,349.3萬
-9.20%4,502.82萬
-52.56%2,312.15萬
-13.99%2,063.3萬
-69.78%714.43萬
-3.45%4,958.81萬
30.52%4,874.07萬
42.34%2,399.01萬
經營活動現金流出小計
-6.35%2.56億
-16.45%1.68億
-6.60%8,476.38萬
-16.64%3.7億
-18.29%2.73億
-8.00%2.01億
-18.06%9,075.45萬
30.47%4.43億
34.89%3.34億
35.45%2.18億
經營活動產生的現金流量淨額
-35.91%3,795.08萬
71.83%2,593.11萬
-38.02%1,086.26萬
1,000.02%6,548.42萬
319.18%5,921.42萬
186.22%1,509.13萬
2,287.97%1,752.56萬
-85.44%595.3萬
-860.02%-2,701.57萬
-352.42%-1,750.41萬
投資活動產生的現金流量
收回投資收到的現金
----
----
----
----
----
----
----
--320萬
--320萬
----
取得投資收益收到的現金
----
----
----
----
----
----
----
-8.16%15.34萬
-8.16%15.34萬
-8.16%15.34萬
處置固定資產、無形資產和其他長期資產收回的現金淨額
311.35%17.4萬
216.78%13.4萬
----
--4.23萬
--4.23萬
--4.23萬
--3.38萬
----
----
----
收到其他與投資活動有關的現金
----
----
----
----
----
----
--0
----
----
----
投資活動現金流入小計
311.35%17.4萬
216.78%13.4萬
----
-98.74%4.23萬
-98.74%4.23萬
-72.42%4.23萬
-77.96%3.38萬
-20.32%335.34萬
-20.32%335.34萬
-96.36%15.34萬
購建固定資產、無形資產和其他長期資產支付的現金
-3.70%4,182.12萬
2.08%2,698.85萬
-49.87%754.26萬
-52.74%5,469.33萬
-54.85%4,342.62萬
-64.31%2,643.89萬
-71.71%1,504.68萬
110.51%1.16億
178.28%9,617.16萬
248.95%7,407.85萬
投資活動現金流出小計
-3.70%4,182.12萬
2.08%2,698.85萬
-49.87%754.26萬
-52.74%5,469.33萬
-54.85%4,342.62萬
-64.31%2,643.89萬
-71.71%1,504.68萬
110.51%1.16億
178.28%9,617.16萬
248.95%7,407.85萬
投資活動產生的現金流量淨額
4.00%-4,164.72萬
-1.73%-2,685.45萬
49.76%-754.26萬
51.36%-5,465.1萬
53.26%-4,338.39萬
64.29%-2,639.66萬
71.69%-1,501.3萬
-121.36%-1.12億
-205.81%-9,281.82萬
-334.33%-7,392.51萬
籌資活動產生的現金流量
取得借款收到的現金
14.26%7,571.88萬
-43.90%3,341.88萬
-60.73%871.88萬
-43.03%1.68億
-64.09%6,627萬
-64.41%5,957萬
-78.71%2,220萬
97.17%2.95億
124.10%1.85億
219.14%1.67億
收到其他與籌資活動有關的現金
-68.55%258.95萬
-68.95%249.8萬
-68.67%216.16萬
-47.48%874.88萬
-49.98%823.47萬
760.11%804.41萬
-14.02%690.04萬
78.61%1,665.71萬
305.21%1,646.28萬
-73.13%93.52萬
籌資活動現金流入小計
5.11%7,830.83萬
-46.88%3,591.68萬
-62.61%1,088.03萬
-43.27%1.77億
-62.93%7,450.47萬
-59.82%6,761.41萬
-74.09%2,910.04萬
96.08%3.12億
132.62%2.01億
200.95%1.68億
償還債務支付的現金
14.13%7,988.2萬
-22.34%4,425.19萬
-56.75%1,071.81萬
-31.68%1.51億
-39.87%6,999.32萬
-38.72%5,698.31萬
-32.66%2,478.01萬
93.25%2.21億
185.15%1.16億
1,158.32%9,298.98萬
分配股利、利潤或償付利息支付的現金
-21.47%763.46萬
-26.63%485.48萬
-36.29%274.2萬
21.16%1,203.48萬
30.07%972.15萬
22.69%661.67萬
101.27%430.41萬
-53.87%993.31萬
-56.70%747.42萬
-64.91%539.3萬
支付其他與籌資活動有關的現金
-86.13%59.65萬
-54.23%94.47萬
104.90%188.03萬
-43.52%645萬
-61.38%429.96萬
120.70%206.4萬
17.12%91.77萬
93.67%1,142.04萬
37.75%1,113.43萬
-81.30%93.52萬
籌資活動現金流出小計
4.88%8,811.3萬
-23.78%5,005.14萬
-48.87%1,534.04萬
-30.07%1.7億
-37.77%8,401.43萬
-33.89%6,566.39萬
-24.47%3,000.18萬
70.93%2.42億
104.05%1.35億
257.76%9,931.81萬
籌資活動產生的現金流量淨額
-3.10%-980.47萬
-824.77%-1,413.46萬
-394.75%-446萬
-89.27%746.77萬
-114.41%-950.96萬
-97.17%195.02萬
-101.24%-90.15萬
302.46%6,956.41萬
226.04%6,598.29萬
144.95%6,897.51萬
現金及現金等價物
匯率變動對現金及現金等價物的影響
149.75%141.1萬
581.63%122.38萬
185.48%50.71萬
-35.13%86.79萬
-60.76%56.5萬
-78.90%17.95萬
-381.37%-59.33萬
2,218.75%133.78萬
1,299.25%143.97萬
664.04%85.11萬
現金及現金等價物淨增加額
-275.58%-1,209.01萬
-50.77%-1,383.42萬
-162.17%-63.29萬
153.98%1,916.88萬
113.14%688.57萬
57.53%-917.55萬
-95.04%101.8萬
-575.23%-3,550.93萬
-684.68%-5,241.13萬
-220.54%-2,160.31萬
加:期初現金及現金等價物餘額
58.00%5,222.07萬
58.00%5,222.07萬
58.00%5,222.07萬
-51.79%3,305.19萬
-51.79%3,305.19萬
-51.79%3,305.19萬
-51.79%3,305.19萬
12.23%6,856.13萬
12.23%6,856.13萬
12.23%6,856.13萬
期末現金及現金等價物餘額
0.48%4,013.06萬
60.77%3,838.65萬
51.42%5,158.78萬
58.00%5,222.07萬
147.29%3,993.76萬
-49.15%2,387.64萬
-61.75%3,406.99萬
-51.79%3,305.19萬
-70.32%1,615萬
-40.57%4,695.82萬
貨幣單位
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
會計準則
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
審計意見
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無保留意見
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無保留意見
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會計師事務所
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中喜會計師事務所(特殊普通合夥)
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中喜會計師事務所(特殊普通合夥)
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(Q9)2024/09/30(Q6)2024/06/30(Q3)2024/03/31(FY)2023/12/31(Q9)2023/09/30(Q6)2023/06/30(Q3)2023/03/31(FY)2022/12/31(Q9)2022/09/30(Q6)2022/06/30
經營活動產生的現金流量
銷售商品、提供勞務收到的現金 -8.07%2.83億-10.67%1.82億-14.83%8,689.84萬4.07%4.15億8.97%3.07億8.03%2.04億-4.65%1.02億9.59%3.99億18.24%2.82億14.94%1.89億
收到的稅費返還 -79.37%86.76萬-66.68%115.7萬-67.10%94.12萬-67.93%638.54萬-70.37%420.67萬-49.27%347.28萬-3.13%286.11萬382.76%1,991.37萬421.84%1,419.54萬46,763.25%684.63萬
收到其他與經營活動有關的現金 -50.37%1,033.32萬22.25%1,027.51萬129.34%778.68萬-55.25%1,372.44萬88.08%2,081.97萬66.14%840.5萬120.76%339.53萬140.83%3,066.85萬9.16%1,106.95萬35.31%505.9萬
經營活動現金流入小計 -11.62%2.94億-10.28%1.94億-11.69%9,562.64萬-3.17%4.35億8.15%3.32億7.54%2.16億-2.88%1.08億18.02%4.49億22.24%3.07億19.45%2.01億
購買商品、接受勞務支付的現金 -19.79%1.08億-28.42%6,964.63萬-25.92%3,206.69萬-30.88%1.65億-18.68%1.35億-11.94%9,730.27萬-3.80%4,328.64萬62.94%2.39億55.36%1.66億45.58%1.1億
支付給職工以及為職工支付的現金 1.80%9,973.11萬-1.67%6,784.62萬-0.55%3,423.66萬-4.84%1.31億-8.90%9,797.03萬-6.16%6,899.69萬-7.70%3,442.76萬9.30%1.38億16.64%1.08億24.10%7,352.64萬
支付的各項稅費 -16.81%1,455.63萬-41.65%811.75萬-15.76%496.73萬69.04%2,776.65萬39.48%1,749.84萬35.17%1,391.24萬22.21%589.62萬7.62%1,642.56萬6.43%1,254.51萬12.35%1,029.23萬
支付其他與經營活動有關的現金 45.28%3,359.16萬7.53%2,218.64萬88.86%1,349.3萬-9.20%4,502.82萬-52.56%2,312.15萬-13.99%2,063.3萬-69.78%714.43萬-3.45%4,958.81萬30.52%4,874.07萬42.34%2,399.01萬
經營活動現金流出小計 -6.35%2.56億-16.45%1.68億-6.60%8,476.38萬-16.64%3.7億-18.29%2.73億-8.00%2.01億-18.06%9,075.45萬30.47%4.43億34.89%3.34億35.45%2.18億
經營活動產生的現金流量淨額 -35.91%3,795.08萬71.83%2,593.11萬-38.02%1,086.26萬1,000.02%6,548.42萬319.18%5,921.42萬186.22%1,509.13萬2,287.97%1,752.56萬-85.44%595.3萬-860.02%-2,701.57萬-352.42%-1,750.41萬
投資活動產生的現金流量
收回投資收到的現金 ------------------------------320萬--320萬----
取得投資收益收到的現金 -----------------------------8.16%15.34萬-8.16%15.34萬-8.16%15.34萬
處置固定資產、無形資產和其他長期資產收回的現金淨額 311.35%17.4萬216.78%13.4萬------4.23萬--4.23萬--4.23萬--3.38萬------------
收到其他與投資活動有關的現金 --------------------------0------------
投資活動現金流入小計 311.35%17.4萬216.78%13.4萬-----98.74%4.23萬-98.74%4.23萬-72.42%4.23萬-77.96%3.38萬-20.32%335.34萬-20.32%335.34萬-96.36%15.34萬
購建固定資產、無形資產和其他長期資產支付的現金 -3.70%4,182.12萬2.08%2,698.85萬-49.87%754.26萬-52.74%5,469.33萬-54.85%4,342.62萬-64.31%2,643.89萬-71.71%1,504.68萬110.51%1.16億178.28%9,617.16萬248.95%7,407.85萬
投資活動現金流出小計 -3.70%4,182.12萬2.08%2,698.85萬-49.87%754.26萬-52.74%5,469.33萬-54.85%4,342.62萬-64.31%2,643.89萬-71.71%1,504.68萬110.51%1.16億178.28%9,617.16萬248.95%7,407.85萬
投資活動產生的現金流量淨額 4.00%-4,164.72萬-1.73%-2,685.45萬49.76%-754.26萬51.36%-5,465.1萬53.26%-4,338.39萬64.29%-2,639.66萬71.69%-1,501.3萬-121.36%-1.12億-205.81%-9,281.82萬-334.33%-7,392.51萬
籌資活動產生的現金流量
取得借款收到的現金 14.26%7,571.88萬-43.90%3,341.88萬-60.73%871.88萬-43.03%1.68億-64.09%6,627萬-64.41%5,957萬-78.71%2,220萬97.17%2.95億124.10%1.85億219.14%1.67億
收到其他與籌資活動有關的現金 -68.55%258.95萬-68.95%249.8萬-68.67%216.16萬-47.48%874.88萬-49.98%823.47萬760.11%804.41萬-14.02%690.04萬78.61%1,665.71萬305.21%1,646.28萬-73.13%93.52萬
籌資活動現金流入小計 5.11%7,830.83萬-46.88%3,591.68萬-62.61%1,088.03萬-43.27%1.77億-62.93%7,450.47萬-59.82%6,761.41萬-74.09%2,910.04萬96.08%3.12億132.62%2.01億200.95%1.68億
償還債務支付的現金 14.13%7,988.2萬-22.34%4,425.19萬-56.75%1,071.81萬-31.68%1.51億-39.87%6,999.32萬-38.72%5,698.31萬-32.66%2,478.01萬93.25%2.21億185.15%1.16億1,158.32%9,298.98萬
分配股利、利潤或償付利息支付的現金 -21.47%763.46萬-26.63%485.48萬-36.29%274.2萬21.16%1,203.48萬30.07%972.15萬22.69%661.67萬101.27%430.41萬-53.87%993.31萬-56.70%747.42萬-64.91%539.3萬
支付其他與籌資活動有關的現金 -86.13%59.65萬-54.23%94.47萬104.90%188.03萬-43.52%645萬-61.38%429.96萬120.70%206.4萬17.12%91.77萬93.67%1,142.04萬37.75%1,113.43萬-81.30%93.52萬
籌資活動現金流出小計 4.88%8,811.3萬-23.78%5,005.14萬-48.87%1,534.04萬-30.07%1.7億-37.77%8,401.43萬-33.89%6,566.39萬-24.47%3,000.18萬70.93%2.42億104.05%1.35億257.76%9,931.81萬
籌資活動產生的現金流量淨額 -3.10%-980.47萬-824.77%-1,413.46萬-394.75%-446萬-89.27%746.77萬-114.41%-950.96萬-97.17%195.02萬-101.24%-90.15萬302.46%6,956.41萬226.04%6,598.29萬144.95%6,897.51萬
現金及現金等價物
匯率變動對現金及現金等價物的影響 149.75%141.1萬581.63%122.38萬185.48%50.71萬-35.13%86.79萬-60.76%56.5萬-78.90%17.95萬-381.37%-59.33萬2,218.75%133.78萬1,299.25%143.97萬664.04%85.11萬
現金及現金等價物淨增加額 -275.58%-1,209.01萬-50.77%-1,383.42萬-162.17%-63.29萬153.98%1,916.88萬113.14%688.57萬57.53%-917.55萬-95.04%101.8萬-575.23%-3,550.93萬-684.68%-5,241.13萬-220.54%-2,160.31萬
加:期初現金及現金等價物餘額 58.00%5,222.07萬58.00%5,222.07萬58.00%5,222.07萬-51.79%3,305.19萬-51.79%3,305.19萬-51.79%3,305.19萬-51.79%3,305.19萬12.23%6,856.13萬12.23%6,856.13萬12.23%6,856.13萬
期末現金及現金等價物餘額 0.48%4,013.06萬60.77%3,838.65萬51.42%5,158.78萬58.00%5,222.07萬147.29%3,993.76萬-49.15%2,387.64萬-61.75%3,406.99萬-51.79%3,305.19萬-70.32%1,615萬-40.57%4,695.82萬
貨幣單位 人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣
會計準則 新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)
審計意見 ------無保留意見------無保留意見----
會計師事務所 ------中喜會計師事務所(特殊普通合夥)------中喜會計師事務所(特殊普通合夥)----

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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