嘉實 (3158)
 
嘉實  

現金流量表


單位:新台幣仟元

年度/季度營業現金流投資現金流融資現金流自由現金流淨現金流現金及約當現金餘額
2026Q158,761-54,113-5314,6484,112394,073
2025Q4112,508-114,825329,097-2,317326,646389,961
2025Q368,808-101,570-169-32,762-32,86163,315
2025Q294,768-70,637-160,08524,131-136,43596,176
2024Q4178,941-160,03910,50218,90229,341232,611
2024Q248,32698,930-135,380147,25611,876203,270
2023Q4162,187-141,996-3,88920,19116,302191,394
2023Q250,84873,298-135,122124,146-10,976175,092
2022Q4113,936-118,610-124,550-4,674-129,187186,068
2022Q281,53123,964-3,580105,495102,403315,255
2021Q4130,28722,606-95,622152,89357,506212,852
2021Q262,687-107,924-3,580-45,237-49,052155,346
年度/季度營業現金流投資現金流融資現金流自由現金流淨現金流
2026Q158,761-54,113-5314,6484,112
2025Q4276,084-287,032168,843-10,948157,350
2025Q3163,576-172,207-160,254-8,631-169,296
2025Q294,768-70,637-160,08524,131-136,435
2024Q4227,267-61,109-124,878166,15841,217
2024Q248,32698,930-135,380147,25611,876
2023Q4213,035-68,698-139,011144,3375,326
2023Q250,84873,298-135,122124,146-10,976
2022Q4195,467-94,646-128,130100,821-26,784
2022Q281,53123,964-3,580105,495102,403
2021Q4192,974-85,318-99,202107,6568,454
2021Q262,687-107,924-3,580-45,237-49,052
年度營業現金流投資現金流融資現金流自由現金流淨現金流現金及約當現金餘額
2025276,084-287,032168,843-10,948157,350389,961
2024227,267-61,109-124,878166,15841,217232,611
2023213,035-68,698-139,011144,3375,326191,394
2022195,467-94,646-128,130100,821-26,784186,068
2021192,974-85,318-99,202107,6568,454212,852