沪深市场个股详情

002715 登云股份

添加自选
  • 15.78
  • +0.13+0.83%
休市中 12/27 15:00 (北京)
21.78亿总市值93.37市盈率TTM

登云股份关键统计数据

全部
显示同比 yoy
隐藏空行 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
经营活动产生的现金流量
销售商品、提供劳务收到的现金
-8.07%2.83亿
-10.67%1.82亿
-14.83%8,689.84万
4.07%4.15亿
8.97%3.07亿
8.03%2.04亿
-4.65%1.02亿
9.59%3.99亿
18.24%2.82亿
14.94%1.89亿
收到的税费返还
-79.37%86.76万
-66.68%115.7万
-67.10%94.12万
-67.93%638.54万
-70.37%420.67万
-49.27%347.28万
-3.13%286.11万
382.76%1,991.37万
421.84%1,419.54万
46,763.25%684.63万
收到其他与经营活动有关的现金
-50.37%1,033.32万
22.25%1,027.51万
129.34%778.68万
-55.25%1,372.44万
88.08%2,081.97万
66.14%840.5万
120.76%339.53万
140.83%3,066.85万
9.16%1,106.95万
35.31%505.9万
经营活动现金流入小计
-11.62%2.94亿
-10.28%1.94亿
-11.69%9,562.64万
-3.17%4.35亿
8.15%3.32亿
7.54%2.16亿
-2.88%1.08亿
18.02%4.49亿
22.24%3.07亿
19.45%2.01亿
购买商品、接受劳务支付的现金
-19.79%1.08亿
-28.42%6,964.63万
-25.92%3,206.69万
-30.88%1.65亿
-18.68%1.35亿
-11.94%9,730.27万
-3.80%4,328.64万
62.94%2.39亿
55.36%1.66亿
45.58%1.1亿
支付给职工以及为职工支付的现金
1.80%9,973.11万
-1.67%6,784.62万
-0.55%3,423.66万
-4.84%1.31亿
-8.90%9,797.03万
-6.16%6,899.69万
-7.70%3,442.76万
9.30%1.38亿
16.64%1.08亿
24.10%7,352.64万
支付的各项税费
-16.81%1,455.63万
-41.65%811.75万
-15.76%496.73万
69.04%2,776.65万
39.48%1,749.84万
35.17%1,391.24万
22.21%589.62万
7.62%1,642.56万
6.43%1,254.51万
12.35%1,029.23万
支付其他与经营活动有关的现金
45.28%3,359.16万
7.53%2,218.64万
88.86%1,349.3万
-9.20%4,502.82万
-52.56%2,312.15万
-13.99%2,063.3万
-69.78%714.43万
-3.45%4,958.81万
30.52%4,874.07万
42.34%2,399.01万
经营活动现金流出小计
-6.35%2.56亿
-16.45%1.68亿
-6.60%8,476.38万
-16.64%3.7亿
-18.29%2.73亿
-8.00%2.01亿
-18.06%9,075.45万
30.47%4.43亿
34.89%3.34亿
35.45%2.18亿
经营活动产生的现金流量净额
-35.91%3,795.08万
71.83%2,593.11万
-38.02%1,086.26万
1,000.02%6,548.42万
319.18%5,921.42万
186.22%1,509.13万
2,287.97%1,752.56万
-85.44%595.3万
-860.02%-2,701.57万
-352.42%-1,750.41万
投资活动产生的现金流量
收回投资收到的现金
----
----
----
----
----
----
----
--320万
--320万
----
取得投资收益收到的现金
----
----
----
----
----
----
----
-8.16%15.34万
-8.16%15.34万
-8.16%15.34万
处置固定资产、无形资产和其他长期资产收回的现金净额
311.35%17.4万
216.78%13.4万
----
--4.23万
--4.23万
--4.23万
--3.38万
----
----
----
收到其他与投资活动有关的现金
----
----
----
----
----
----
--0
----
----
----
投资活动现金流入小计
311.35%17.4万
216.78%13.4万
----
-98.74%4.23万
-98.74%4.23万
-72.42%4.23万
-77.96%3.38万
-20.32%335.34万
-20.32%335.34万
-96.36%15.34万
购建固定资产、无形资产和其他长期资产支付的现金
-3.70%4,182.12万
2.08%2,698.85万
-49.87%754.26万
-52.74%5,469.33万
-54.85%4,342.62万
-64.31%2,643.89万
-71.71%1,504.68万
110.51%1.16亿
178.28%9,617.16万
248.95%7,407.85万
投资活动现金流出小计
-3.70%4,182.12万
2.08%2,698.85万
-49.87%754.26万
-52.74%5,469.33万
-54.85%4,342.62万
-64.31%2,643.89万
-71.71%1,504.68万
110.51%1.16亿
178.28%9,617.16万
248.95%7,407.85万
投资活动产生的现金流量净额
4.00%-4,164.72万
-1.73%-2,685.45万
49.76%-754.26万
51.36%-5,465.1万
53.26%-4,338.39万
64.29%-2,639.66万
71.69%-1,501.3万
-121.36%-1.12亿
-205.81%-9,281.82万
-334.33%-7,392.51万
筹资活动产生的现金流量
取得借款收到的现金
14.26%7,571.88万
-43.90%3,341.88万
-60.73%871.88万
-43.03%1.68亿
-64.09%6,627万
-64.41%5,957万
-78.71%2,220万
97.17%2.95亿
124.10%1.85亿
219.14%1.67亿
收到其他与筹资活动有关的现金
-68.55%258.95万
-68.95%249.8万
-68.67%216.16万
-47.48%874.88万
-49.98%823.47万
760.11%804.41万
-14.02%690.04万
78.61%1,665.71万
305.21%1,646.28万
-73.13%93.52万
筹资活动现金流入小计
5.11%7,830.83万
-46.88%3,591.68万
-62.61%1,088.03万
-43.27%1.77亿
-62.93%7,450.47万
-59.82%6,761.41万
-74.09%2,910.04万
96.08%3.12亿
132.62%2.01亿
200.95%1.68亿
偿还债务支付的现金
14.13%7,988.2万
-22.34%4,425.19万
-56.75%1,071.81万
-31.68%1.51亿
-39.87%6,999.32万
-38.72%5,698.31万
-32.66%2,478.01万
93.25%2.21亿
185.15%1.16亿
1,158.32%9,298.98万
分配股利、利润或偿付利息支付的现金
-21.47%763.46万
-26.63%485.48万
-36.29%274.2万
21.16%1,203.48万
30.07%972.15万
22.69%661.67万
101.27%430.41万
-53.87%993.31万
-56.70%747.42万
-64.91%539.3万
支付其他与筹资活动有关的现金
-86.13%59.65万
-54.23%94.47万
104.90%188.03万
-43.52%645万
-61.38%429.96万
120.70%206.4万
17.12%91.77万
93.67%1,142.04万
37.75%1,113.43万
-81.30%93.52万
筹资活动现金流出小计
4.88%8,811.3万
-23.78%5,005.14万
-48.87%1,534.04万
-30.07%1.7亿
-37.77%8,401.43万
-33.89%6,566.39万
-24.47%3,000.18万
70.93%2.42亿
104.05%1.35亿
257.76%9,931.81万
筹资活动产生的现金流量净额
-3.10%-980.47万
-824.77%-1,413.46万
-394.75%-446万
-89.27%746.77万
-114.41%-950.96万
-97.17%195.02万
-101.24%-90.15万
302.46%6,956.41万
226.04%6,598.29万
144.95%6,897.51万
现金及现金等价物
汇率变动对现金及现金等价物的影响
149.75%141.1万
581.63%122.38万
185.48%50.71万
-35.13%86.79万
-60.76%56.5万
-78.90%17.95万
-381.37%-59.33万
2,218.75%133.78万
1,299.25%143.97万
664.04%85.11万
现金及现金等价物净增加额
-275.58%-1,209.01万
-50.77%-1,383.42万
-162.17%-63.29万
153.98%1,916.88万
113.14%688.57万
57.53%-917.55万
-95.04%101.8万
-575.23%-3,550.93万
-684.68%-5,241.13万
-220.54%-2,160.31万
加:期初现金及现金等价物余额
58.00%5,222.07万
58.00%5,222.07万
58.00%5,222.07万
-51.79%3,305.19万
-51.79%3,305.19万
-51.79%3,305.19万
-51.79%3,305.19万
12.23%6,856.13万
12.23%6,856.13万
12.23%6,856.13万
期末现金及现金等价物余额
0.48%4,013.06万
60.77%3,838.65万
51.42%5,158.78万
58.00%5,222.07万
147.29%3,993.76万
-49.15%2,387.64万
-61.75%3,406.99万
-51.79%3,305.19万
-70.32%1,615万
-40.57%4,695.82万
货币单位
人民币
人民币
人民币
人民币
人民币
人民币
人民币
人民币
人民币
人民币
会计准则
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
审计意见
--
--
--
无保留意见
--
--
--
无保留意见
--
--
会计师事务所
--
--
--
中喜会计师事务所(特殊普通合伙)
--
--
--
中喜会计师事务所(特殊普通合伙)
--
--
(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
经营活动产生的现金流量
销售商品、提供劳务收到的现金 -8.07%2.83亿-10.67%1.82亿-14.83%8,689.84万4.07%4.15亿8.97%3.07亿8.03%2.04亿-4.65%1.02亿9.59%3.99亿18.24%2.82亿14.94%1.89亿
收到的税费返还 -79.37%86.76万-66.68%115.7万-67.10%94.12万-67.93%638.54万-70.37%420.67万-49.27%347.28万-3.13%286.11万382.76%1,991.37万421.84%1,419.54万46,763.25%684.63万
收到其他与经营活动有关的现金 -50.37%1,033.32万22.25%1,027.51万129.34%778.68万-55.25%1,372.44万88.08%2,081.97万66.14%840.5万120.76%339.53万140.83%3,066.85万9.16%1,106.95万35.31%505.9万
经营活动现金流入小计 -11.62%2.94亿-10.28%1.94亿-11.69%9,562.64万-3.17%4.35亿8.15%3.32亿7.54%2.16亿-2.88%1.08亿18.02%4.49亿22.24%3.07亿19.45%2.01亿
购买商品、接受劳务支付的现金 -19.79%1.08亿-28.42%6,964.63万-25.92%3,206.69万-30.88%1.65亿-18.68%1.35亿-11.94%9,730.27万-3.80%4,328.64万62.94%2.39亿55.36%1.66亿45.58%1.1亿
支付给职工以及为职工支付的现金 1.80%9,973.11万-1.67%6,784.62万-0.55%3,423.66万-4.84%1.31亿-8.90%9,797.03万-6.16%6,899.69万-7.70%3,442.76万9.30%1.38亿16.64%1.08亿24.10%7,352.64万
支付的各项税费 -16.81%1,455.63万-41.65%811.75万-15.76%496.73万69.04%2,776.65万39.48%1,749.84万35.17%1,391.24万22.21%589.62万7.62%1,642.56万6.43%1,254.51万12.35%1,029.23万
支付其他与经营活动有关的现金 45.28%3,359.16万7.53%2,218.64万88.86%1,349.3万-9.20%4,502.82万-52.56%2,312.15万-13.99%2,063.3万-69.78%714.43万-3.45%4,958.81万30.52%4,874.07万42.34%2,399.01万
经营活动现金流出小计 -6.35%2.56亿-16.45%1.68亿-6.60%8,476.38万-16.64%3.7亿-18.29%2.73亿-8.00%2.01亿-18.06%9,075.45万30.47%4.43亿34.89%3.34亿35.45%2.18亿
经营活动产生的现金流量净额 -35.91%3,795.08万71.83%2,593.11万-38.02%1,086.26万1,000.02%6,548.42万319.18%5,921.42万186.22%1,509.13万2,287.97%1,752.56万-85.44%595.3万-860.02%-2,701.57万-352.42%-1,750.41万
投资活动产生的现金流量
收回投资收到的现金 ------------------------------320万--320万----
取得投资收益收到的现金 -----------------------------8.16%15.34万-8.16%15.34万-8.16%15.34万
处置固定资产、无形资产和其他长期资产收回的现金净额 311.35%17.4万216.78%13.4万------4.23万--4.23万--4.23万--3.38万------------
收到其他与投资活动有关的现金 --------------------------0------------
投资活动现金流入小计 311.35%17.4万216.78%13.4万-----98.74%4.23万-98.74%4.23万-72.42%4.23万-77.96%3.38万-20.32%335.34万-20.32%335.34万-96.36%15.34万
购建固定资产、无形资产和其他长期资产支付的现金 -3.70%4,182.12万2.08%2,698.85万-49.87%754.26万-52.74%5,469.33万-54.85%4,342.62万-64.31%2,643.89万-71.71%1,504.68万110.51%1.16亿178.28%9,617.16万248.95%7,407.85万
投资活动现金流出小计 -3.70%4,182.12万2.08%2,698.85万-49.87%754.26万-52.74%5,469.33万-54.85%4,342.62万-64.31%2,643.89万-71.71%1,504.68万110.51%1.16亿178.28%9,617.16万248.95%7,407.85万
投资活动产生的现金流量净额 4.00%-4,164.72万-1.73%-2,685.45万49.76%-754.26万51.36%-5,465.1万53.26%-4,338.39万64.29%-2,639.66万71.69%-1,501.3万-121.36%-1.12亿-205.81%-9,281.82万-334.33%-7,392.51万
筹资活动产生的现金流量
取得借款收到的现金 14.26%7,571.88万-43.90%3,341.88万-60.73%871.88万-43.03%1.68亿-64.09%6,627万-64.41%5,957万-78.71%2,220万97.17%2.95亿124.10%1.85亿219.14%1.67亿
收到其他与筹资活动有关的现金 -68.55%258.95万-68.95%249.8万-68.67%216.16万-47.48%874.88万-49.98%823.47万760.11%804.41万-14.02%690.04万78.61%1,665.71万305.21%1,646.28万-73.13%93.52万
筹资活动现金流入小计 5.11%7,830.83万-46.88%3,591.68万-62.61%1,088.03万-43.27%1.77亿-62.93%7,450.47万-59.82%6,761.41万-74.09%2,910.04万96.08%3.12亿132.62%2.01亿200.95%1.68亿
偿还债务支付的现金 14.13%7,988.2万-22.34%4,425.19万-56.75%1,071.81万-31.68%1.51亿-39.87%6,999.32万-38.72%5,698.31万-32.66%2,478.01万93.25%2.21亿185.15%1.16亿1,158.32%9,298.98万
分配股利、利润或偿付利息支付的现金 -21.47%763.46万-26.63%485.48万-36.29%274.2万21.16%1,203.48万30.07%972.15万22.69%661.67万101.27%430.41万-53.87%993.31万-56.70%747.42万-64.91%539.3万
支付其他与筹资活动有关的现金 -86.13%59.65万-54.23%94.47万104.90%188.03万-43.52%645万-61.38%429.96万120.70%206.4万17.12%91.77万93.67%1,142.04万37.75%1,113.43万-81.30%93.52万
筹资活动现金流出小计 4.88%8,811.3万-23.78%5,005.14万-48.87%1,534.04万-30.07%1.7亿-37.77%8,401.43万-33.89%6,566.39万-24.47%3,000.18万70.93%2.42亿104.05%1.35亿257.76%9,931.81万
筹资活动产生的现金流量净额 -3.10%-980.47万-824.77%-1,413.46万-394.75%-446万-89.27%746.77万-114.41%-950.96万-97.17%195.02万-101.24%-90.15万302.46%6,956.41万226.04%6,598.29万144.95%6,897.51万
现金及现金等价物
汇率变动对现金及现金等价物的影响 149.75%141.1万581.63%122.38万185.48%50.71万-35.13%86.79万-60.76%56.5万-78.90%17.95万-381.37%-59.33万2,218.75%133.78万1,299.25%143.97万664.04%85.11万
现金及现金等价物净增加额 -275.58%-1,209.01万-50.77%-1,383.42万-162.17%-63.29万153.98%1,916.88万113.14%688.57万57.53%-917.55万-95.04%101.8万-575.23%-3,550.93万-684.68%-5,241.13万-220.54%-2,160.31万
加:期初现金及现金等价物余额 58.00%5,222.07万58.00%5,222.07万58.00%5,222.07万-51.79%3,305.19万-51.79%3,305.19万-51.79%3,305.19万-51.79%3,305.19万12.23%6,856.13万12.23%6,856.13万12.23%6,856.13万
期末现金及现金等价物余额 0.48%4,013.06万60.77%3,838.65万51.42%5,158.78万58.00%5,222.07万147.29%3,993.76万-49.15%2,387.64万-61.75%3,406.99万-51.79%3,305.19万-70.32%1,615万-40.57%4,695.82万
货币单位 人民币人民币人民币人民币人民币人民币人民币人民币人民币人民币
会计准则 新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)
审计意见 ------无保留意见------无保留意见----
会计师事务所 ------中喜会计师事务所(特殊普通合伙)------中喜会计师事务所(特殊普通合伙)----

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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