Hoshizaki Corporation: 현금수지계산서 (TTM)

Hoshizaki Corporation
DE ˙ DB ˙ JP3845770001
€27.00 ↑0.20 (0.75%)
2026-06-04
주가
현금수지계산서 (TTM)

Hoshizaki Corporation 현금수지계산서(Cash Flow Statement)는 시간 경과에 따른 현금 포지션의 변화를 보여줍니다. 캐시 플로우 계산서에는 영업활동 현금흐름(CFOP: Cash from Operating Activities), 투자활동(Investing Activities)에서의 현금, 금융활동(Financing Activities)에서의 현금이 있습니다.

모든 수치는 지분 단위당 1,000,000 제외의 곱입니다.123456

2021
06-30
2021
12-31
2022
06-30
2022
12-31
2023
06-30
2023
12-31
2024
06-30
2024
12-31
2025
06-30
2025
12-31
영업활동으로 인한 현금 26,533 27,343 11,079 5,170 22,690 37,698 38,826 47,344 40,119 30,528
변화 (%) 3.05 -59.48 -53.34 338.88 66.14 2.99 21.94 -15.26 -23.91
현금 흐름의 % 374.28 83.41 41.07 102.32 125.73 93.31 8,864.38 -373.35 -2,287.29 -55.56
투자 활동으로 인한 현금 -14,231 5,238 4,245 1,941 1,216 3,286 -30,478 -37,373 -9,085 -75,876
변화 (%) -136.81 -18.96 -54.28 -37.35 170.23 -1,027.51 22.62 -75.69 735.18
현금 흐름의 % -200.75 15.98 15.74 38.41 6.74 8.13 -6,958.45 294.72 517.96 138.08
자금조달 활동으로 인한 현금 -7,925 -8,122 -8,582 -13,349 -11,151 -10,355 -26,077 -40,171 -26,264 -15,006
변화 (%) 2.49 5.66 55.55 -16.47 -7.14 151.83 54.05 -34.62 -42.86
현금 흐름의 % -111.79 -24.78 -31.81 -264.18 -61.79 -25.63 -5,953.65 316.78 1,497.38 27.31
현금 흐름 7,089 32,782 26,977 5,053 18,046 40,402 438 -12,681 -1,754 -54,950
변화 (%) 362.43 -17.71 -81.27 257.13 123.88 -98.92 -2,995.21 -86.17 3,032.84
현금 흐름의 % 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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