600057 厦门象屿
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(7,708,925)10,097,3445,604,4445,586,5496,222,993
投资活动产生之现金流量净额2,764,427(4,144,351)1,763,692(924,405)2,204,464
筹资活动产生之现金流量净额8,206,342(6,583,937)(10,174,898)(840,641)(3,743,681)
汇率变动对现金及现金等价物的影响(79,159)(170,271)(8,678)31,953329,391
现金及现金等价物净增加/(减少)3,182,684(801,215)(2,815,439)3,853,4565,013,166
期初现金及现金等价物余额15,885,27816,686,49419,501,93315,648,47710,635,311
期末现金及现金等价物余额19,067,96215,885,27816,686,49419,501,93315,648,477