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现金流量表年度附注年度合并公司3,212,543,589.092,257,852,427.0238,494,064.6728,993,495.1512,887,952.4473,110,583.573,263,925,606.202,359,956,505.742,107,259,863.961,435,463,125.06412,938,744.05351,190,962.67271,529,618.83236,800,298.78184,209,918.90157,093,011.552,975,938,145.742,180,547,398.06经营活动产生的现金流量净额287,987,460.46179,409,107.684,104,200.004,104,200.00金额单位:人民币元项目一、经营活动产生的现金流量:销售商品、提供劳务收到的现金收到的税费返还收到的其他与经营活动有关的现金五.44现金流入小计购买商品、接受劳务支付的现金支付给职工以及为职工支付的现金支付的各项税费支付的其他与经营活动有关的现金五.45现金流出小计二、投资活动产生的现金流量:收回投资... 2023-02-28820 KB7页2
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現金流量表88Q489Q189Q289Q389Q490Q190Q290Q390Q491Q191Q291Q391Q492Q192Q292Q392Q493Q193Q293Q393Q4營業活動之現金流量1,6466141,4102,6813,3277462,1164,0056,7033,2835,8808,50412,2333,8027,09711,62816,5224,1907,42011,64714,3230000(1)(16)(35)(21)(33)252723(14)83633(215)(119)(62)(205)(506)2212253751183856762148719829619413036741141591351118261225415820457210133661011806514623934400000000000000011110000(8)16143215(11)1417855225579(4)(16)67(0)37837(22)83334930(173)(297)(465)(13)15301632851675711144640912000(21)(15)(30)0(112)191013161632250(66)(130)(78)128(5)(2)(9)(2)(103)00(99)(19)(23)011(57)(32)(53)(82)(82)(2)(2)(13)(19)0000000(23)(23)00000(8)(8)(8)000(1)(598)(272)(... 2023-02-28419 KB1页1
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