NP3 Fastigheter AB(퍼블) - 우선주: 현금수지계산서 (TTM)

NP3 Fastigheter AB(퍼블) - 우선주
현금수지계산서 (TTM)

NP3 Fastigheter AB(퍼블) - 우선주 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
09-30
2021
12-31
2022
03-31
2022
06-30
2022
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2022
12-31
2023
03-31
2023
06-30
2023
09-30
2023
12-31
2024
03-31
2024
06-30
2024
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2024
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2025
03-31
2025
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2025
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2025
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2026
03-31
영업활동으로 인한 현금 552 606 571 552 658 678 723 745 693 666 563 617 568 597 864 842 995 943 1,027 1,062
변화 (%) 9.78 -5.78 -3.33 19.20 3.04 6.64 3.04 -6.98 -3.90 -15.47 9.59 -7.94 5.11 44.72 -2.55 18.17 -5.23 8.91 3.41
현금 흐름의 % 1,003.64 -1,637.84 346.06 190.34 -1,935.29 -178.42 -1,112.31 -153.93 700.00 1,387.50 -2,680.95 701.14 4,369.23 615.46 -1,004.65 732.17 -1,421.43 1,096.51 529.38 939.82
투자 활동으로 인한 현금 -1,831 -1,827 -3,242 -3,551 -3,869 -4,037 -2,348 -2,024 -1,011 -733 -632 -636 -437 -568 -2,501 -2,647 -3,353 -3,266 -2,213 -2,359
변화 (%) -0.22 77.45 9.53 8.96 4.34 -41.84 -13.80 -50.05 -27.50 -13.78 0.63 -31.29 29.98 340.32 5.84 26.67 -2.59 -32.24 6.60
현금 흐름의 % -3,329.09 4,937.84 -1,964.85 -1,224.48 11,379.41 1,062.37 3,612.31 418.18 -1,021.21 -1,527.08 3,009.52 -722.73 -3,361.54 -585.57 2,908.14 -2,301.74 4,790.00 -3,797.67 -1,140.72 -2,087.61
자금조달 활동으로 인한 현금 1,334 1,185 2,835 3,287 3,176 2,977 1,561 798 418 115 48 105 -120 68 1,551 1,921 2,288 2,408 1,379 1,409
변화 (%) -11.17 139.24 15.94 -3.38 -6.27 -47.56 -48.88 -47.62 -72.49 -58.26 118.75 -214.29 -156.67 2,180.88 23.86 19.10 5.24 -42.73 2.18
현금 흐름의 % 2,425.45 -3,202.70 1,718.18 1,133.45 -9,341.18 -783.42 -2,401.54 -164.88 422.22 239.58 -228.57 119.32 -923.08 70.10 -1,803.49 1,670.43 -3,268.57 2,800.00 710.82 1,246.90
현금 흐름 55 -37 165 290 -34 -380 -65 -484 99 48 -21 88 13 97 -86 115 -70 86 194 113
변화 (%) -167.27 -545.95 75.76 -111.72 1,017.65 -82.89 644.62 -120.45 -51.52 -143.75 -519.05 -85.23 646.15 -188.66 -233.72 -160.87 -222.86 125.58 -41.75
현금 흐름의 % 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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