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투자자

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재무 정보
  • 2023 년 현금 흐름
  • 2023 년 말 자산 구성
  • 배당 분배 정책 변경
  • 카지노 사이트의 크레딧
Net cash flow from operating activities

64.71Billion RMB

Net cash flow from investment activities

-12.8Billion RMB

Net cash flow from financing activities

-54.8Billion RMB

Influence of fluctuation in exchange rate on cas...

28Million RMB

Net increase in cash and cash equivalents

-2.86Billion RMB

Closing balance of cash and cash equivalents

7.76Billion RMB