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ZIM Integrated Shipping Services Ltd

ZIM
26.190USD
-0.060-0.23%
終値 03/27, 16:00ET15分遅れの株価
3.00B時価総額
6.58直近12ヶ月PER
ZIM Integrated Shipping Services Ltdの財務健全性および安定性を評価するために、こちらで{stock name}の年次および四半期キャッシュフロー計算書をご確認いただけます。
四半期
四半期+年間
四半期
年間
YOY
空白行を非表示にする
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2019Q4
FY2019Q3
営業活動によるキャッシュフロー(間接法)
継続事業の営業CF
-74.68%260.50M
-62.94%510.30M
-51.22%321.40M
229.59%733.00M
1533.17%1.03B
476.59%1.38B
162.82%658.90M
156.22%222.40M
-93.73%63.00M
-85.16%238.80M
-84.86%250.70M
-94.64%86.80M
-48.81%1.00B
-18.23%1.61B
45.47%1.66B
118.10%1.62B
426.95%1.96B
825.86%1.97B
1181.23%1.14B
--742.55M
533.92%372.32M
74.29%212.59M
--88.84M
--58.73M
--121.97M
継続事業の当期純利益
-93.19%38.30M
-89.04%123.40M
-93.64%23.70M
221.50%296.10M
483.83%562.70M
149.60%1.13B
275.27%372.80M
258.52%92.10M
-135.20%-146.60M
-294.78%-2.27B
-115.92%-212.70M
-103.40%-58.10M
-75.62%416.50M
-20.32%1.17B
50.39%1.34B
190.20%1.71B
366.29%1.71B
913.07%1.46B
3408.81%888.22M
--589.59M
31029.06%366.39M
2818.43%144.40M
--25.31M
--1.18M
--4.95M
営業損益
-42.60%177.30M
12.81%332.80M
16.22%323.10M
21.22%315.90M
29.08%308.90M
-88.14%295.00M
-34.05%278.00M
-32.70%260.60M
-38.42%239.30M
554.18%2.49B
24.96%421.50M
33.43%387.20M
56.33%388.60M
72.09%380.20M
91.50%337.30M
117.24%290.20M
181.27%248.58M
201.92%220.93M
131.23%176.13M
--133.59M
26.06%88.38M
5.54%73.17M
--76.17M
--70.11M
--69.33M
その他非資金項目
-100.00%-2.00M
-102.25%-200.00K
13.33%1.70M
-73.33%400.00K
-121.28%-1.00M
97.78%8.90M
-55.88%1.50M
-76.19%1.50M
-78.34%4.70M
-48.86%4.50M
-54.67%3.40M
152.00%6.30M
4.47%21.70M
--8.80M
--7.50M
--2.50M
--20.77M
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運転資本の増減
-70.33%47.20M
133.03%18.30M
-296.26%-42.00M
143.93%51.70M
684.93%159.10M
-154.53%-55.40M
-53.48%21.40M
-315.96%-117.70M
-117.24%-27.20M
17.05%101.60M
451.15%46.00M
146.50%54.50M
583.65%157.80M
240.61%86.80M
90.85%-13.10M
-251.46%-117.20M
69.06%-32.63M
-379.51%-61.73M
-634.61%-143.12M
---33.35M
-506.99%-105.44M
-123.56%-12.87M
---19.48M
---17.37M
--54.65M
-売上債権の増減
-117.06%-21.90M
521.28%144.50M
80.03%-42.10M
176.97%181.80M
2369.23%128.40M
-156.60%-34.30M
-725.52%-210.80M
-264.94%-236.20M
-98.18%5.20M
-77.72%60.60M
-2.32%33.70M
248.70%143.20M
502.57%285.60M
203.99%272.00M
113.28%34.50M
44.75%-96.30M
53.90%-70.94M
-224.83%-261.56M
-1037.75%-259.76M
---174.30M
-680.04%-153.89M
-210.87%-80.52M
--27.70M
---19.73M
--72.62M
-棚卸資産の増減
473.68%14.20M
183.57%17.30M
89.58%18.20M
70.56%-5.30M
83.41%-3.80M
-216.95%-20.70M
-36.00%9.60M
-1225.00%-18.00M
-165.43%-22.90M
286.32%17.70M
135.38%15.00M
102.92%1.60M
399.86%35.00M
-25.94%-9.50M
-214.21%-42.40M
-61.09%-54.80M
-138.94%-11.67M
-96.48%-7.54M
-202.34%-13.49M
---34.02M
52.43%-4.88M
-279.48%-3.84M
--13.19M
---10.27M
--2.14M
-支払債務および未払費用の増減
43.87%44.60M
-3048.00%-157.40M
-114.16%-28.10M
-194.67%-126.20M
268.48%31.00M
-126.04%-5.00M
4826.19%198.50M
245.37%133.30M
88.70%-18.40M
109.91%19.20M
17.65%-4.20M
-354.72%-91.70M
-432.14%-162.80M
-193.81%-193.80M
-104.09%-5.10M
-79.51%36.00M
0.43%49.02M
187.70%206.59M
303.72%124.57M
--175.70M
196.71%48.81M
528.22%71.81M
---61.15M
--16.45M
---16.77M
-その他流動負債の増減
194.29%10.30M
202.17%13.90M
-58.51%10.00M
-56.25%1.40M
-60.67%3.50M
12.20%4.60M
1506.67%24.10M
128.57%3.20M
--8.90M
-77.35%4.10M
1600.00%1.50M
166.67%1.40M
-100.00%0.00
2238.50%18.10M
-101.80%-100.00K
-188.46%-2.10M
-78.48%973.00K
340.37%774.00K
611.92%5.55M
---728.00K
218.28%4.52M
90.38%-322.00K
--780.00K
---3.82M
---3.35M
非経常的な投資活動によるキャッシュ
営業活動によるキャッシュフロー
-74.68%260.50M
-62.94%510.30M
-51.22%321.40M
229.59%733.00M
1533.17%1.03B
476.59%1.38B
162.82%658.90M
156.22%222.40M
-93.73%63.00M
-85.16%238.80M
-84.86%250.70M
-94.64%86.80M
-48.81%1.00B
-18.23%1.61B
45.47%1.66B
118.10%1.62B
426.95%1.96B
825.86%1.97B
1181.23%1.14B
--742.55M
533.92%372.32M
74.29%212.59M
--88.84M
--58.73M
--121.97M
投資活動によるキャッシュフロー
継続事業の投資CF
-32.10%44.00M
24.88%53.70M
-76.35%15.30M
197.38%68.10M
87.83%64.80M
330.00%43.00M
221.89%64.70M
-3.38%22.90M
-89.56%34.50M
161.73%10.00M
273.28%20.10M
547.17%23.70M
-66.92%330.50M
-495.37%-16.20M
-550.59%-11.60M
-951.59%-5.30M
42346.64%999.13M
-100.37%-2.72M
-8.39%-1.78M
---504.00K
-71.88%-2.37M
83.28%-1.36M
---1.65M
---1.38M
---8.12M
設備投資
-34.25%48.00M
33.80%67.30M
-63.25%24.40M
219.67%78.00M
80.25%73.00M
267.15%50.30M
159.38%66.40M
-32.03%24.40M
-88.28%40.50M
--13.70M
--25.60M
--35.90M
-65.62%345.50M
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--1.01B
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固定資産売却による純キャッシュフロー
-32.10%44.00M
24.88%53.70M
-76.35%15.30M
197.38%68.10M
87.83%64.80M
330.00%43.00M
221.89%64.70M
-3.38%22.90M
-89.56%34.50M
161.73%10.00M
273.28%20.10M
547.17%23.70M
-66.92%330.50M
-495.37%-16.20M
-550.59%-11.60M
-951.59%-5.30M
42346.64%999.13M
-100.37%-2.72M
-8.39%-1.78M
---504.00K
-71.88%-2.37M
83.28%-1.36M
---1.65M
---1.38M
---8.12M
事業取引による純キャッシュフロー
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-57.97%317.70M
81.26%-54.60M
75.69%-80.60M
-37.22%-182.50M
3050.84%755.83M
-2951.66%-291.34M
-8358.51%-331.49M
---133.00M
-290.34%-25.61M
-584.37%-9.55M
---3.92M
---6.56M
---1.40M
投資商品による純キャッシュフロー
85.56%-37.50M
90.25%-10.60M
28.50%150.60M
-89.56%20.90M
-154.79%-259.70M
-1625.40%-108.70M
-26.52%117.20M
-83.86%200.10M
214.77%474.00M
96.99%-6.30M
125.65%159.50M
1591.94%1.24B
78.96%-413.00M
29.86%-209.40M
-3895.08%-621.90M
-3932.02%-83.10M
-176305.83%-1.96B
-10451.46%-298.54M
921.82%16.39M
---2.06M
173.68%1.11M
332.39%2.88M
---1.99M
---1.51M
---1.24M
その他投資活動による純キャッシュフロー
-1354.05%-92.80M
5.45%5.80M
51.28%5.90M
-15.38%5.50M
17.46%7.40M
-23.61%5.50M
167.24%3.90M
165.66%6.50M
165.63%6.30M
190.00%7.20M
-152.17%-5.80M
-3200.00%-9.90M
90.57%-9.60M
---8.00M
---2.30M
---300.00K
---101.78M
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非継続事業の投資CF
投資活動による純キャッシュフロー
45.03%-174.30M
59.99%-58.50M
150.35%141.20M
-122.70%-41.70M
-171.13%-317.10M
-1506.59%-146.20M
-57.78%56.40M
-84.77%183.70M
202.39%445.80M
96.44%-9.10M
119.27%133.60M
562.85%1.21B
81.14%-435.40M
56.43%-255.80M
-121.24%-693.20M
-93.68%-260.60M
-10327.02%-2.31B
-10967.99%-587.16M
-7241.12%-313.32M
---134.56M
-230.47%-22.14M
-196.70%-5.30M
---4.27M
---6.70M
--5.49M
財務活動によるキャッシュフロー
継続事業の財務CF
64.45%-334.60M
41.07%-339.60M
-61.20%-824.20M
27.70%-460.60M
-88.07%-941.10M
-63.40%-576.30M
58.64%-511.30M
-50.65%-637.10M
40.46%-500.40M
64.90%-352.70M
54.81%-1.24B
-142.77%-422.90M
-48.98%-840.50M
-113.31%-1.00B
-483.40%-2.74B
-1654.25%-174.20M
-326.63%-564.19M
-665.37%-471.09M
-493.10%-468.94M
--11.21M
-141.88%-132.24M
42.03%-61.55M
---79.07M
---54.67M
---106.17M
負債の発行・返済による純キャッシュフロー
39.50%-297.20M
28.35%-332.40M
27.21%-349.60M
27.69%-460.40M
1.56%-491.20M
-31.53%-463.90M
-2.98%-480.30M
-53.05%-636.70M
-3.18%-499.00M
18.60%-352.70M
-30.61%-466.40M
-145.14%-416.00M
-82.61%-483.60M
-85.12%-433.30M
23.54%-357.10M
11.33%-169.70M
-100.26%-264.83M
-280.27%-234.06M
-516.79%-467.04M
---191.38M
-141.88%-132.24M
41.87%-61.55M
---75.72M
---54.67M
---105.88M
配当金支払額
-91.49%37.40M
-93.57%7.20M
1600.36%471.00M
--0.00
--439.60M
--111.90M
-96.40%27.70M
--0.00
-100.00%0.00
----
-67.66%769.20M
--0.00
18.39%354.40M
140.60%570.30M
--2.38B
----
--299.36M
--237.03M
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その他財務活動による純キャッシュフロー
100.00%0.00
100.00%0.00
-9.09%-3.60M
50.00%-200.00K
-635.71%-10.30M
---500.00K
-450.00%-3.30M
94.20%-400.00K
44.00%-1.40M
----
-500.00%-600.00K
-53.33%-6.90M
---2.50M
---1.30M
94.72%-100.00K
-60.26%-4.50M
--0.00
----
43.36%-1.89M
---2.81M
--0.00
----
---3.34M
--0.00
---291.00K
非経常的な財務活動による純キャッシュフロー
財務活動による純キャッシュフロー
64.45%-334.60M
41.07%-339.60M
-61.20%-824.20M
27.70%-460.60M
-88.07%-941.10M
-63.40%-576.30M
58.64%-511.30M
-50.65%-637.10M
40.46%-500.40M
64.90%-352.70M
54.81%-1.24B
-142.77%-422.90M
-48.98%-840.50M
-113.31%-1.00B
-483.40%-2.74B
-1654.25%-174.20M
-326.63%-564.19M
-665.37%-471.09M
-493.10%-468.94M
--11.21M
-141.88%-132.24M
42.03%-61.55M
---79.07M
---54.67M
---106.17M
純キャッシュフロー
現金および現金同等物の期首残高
-16.12%1.30B
33.41%1.19B
124.76%1.55B
42.67%1.31B
69.79%1.55B
-14.47%889.80M
-63.65%687.90M
-9.84%921.50M
-29.06%912.10M
9.88%1.04B
-30.60%1.89B
-33.77%1.02B
-47.63%1.29B
-38.73%946.80M
129.48%2.73B
170.56%1.54B
600.86%2.45B
661.79%1.55B
504.05%1.19B
--570.41M
89.74%350.29M
23.06%202.85M
--196.74M
--184.61M
--164.84M
当期キャッシュフロー増減
-5.68%-247.30M
-83.02%111.90M
-277.81%-359.00M
199.06%231.40M
-2589.36%-234.00M
613.96%658.90M
123.69%201.90M
-126.84%-233.60M
103.57%9.40M
-137.83%-128.20M
52.13%-852.30M
-26.47%870.50M
71.09%-263.60M
-62.75%338.90M
-598.89%-1.78B
91.57%1.18B
-514.16%-911.70M
517.02%909.72M
5743.69%356.87M
--617.99M
12168.48%220.13M
645.76%147.44M
--6.11M
---1.82M
--19.77M
為替変動の影響
123.40%1.10M
-106.67%-300.00K
223.81%2.60M
126.92%700.00K
-570.00%-4.70M
186.54%4.50M
-425.00%-2.10M
-750.00%-2.60M
-87.34%1.00M
47.47%-5.20M
94.37%-400.00K
150.00%400.00K
663.08%7.90M
-3255.93%-9.90M
-856.93%-7.10M
33.83%-800.00K
-164.09%-1.40M
-117.29%-295.00K
55.04%938.00K
---1.21M
169.25%2.19M
212.46%1.71M
--605.00K
--813.00K
---1.52M
現金および現金同等物の期末残高
-20.00%1.05B
-16.12%1.30B
33.41%1.19B
124.76%1.55B
42.67%1.31B
69.79%1.55B
-14.47%889.80M
-63.65%687.90M
-9.84%921.50M
-29.06%912.10M
9.88%1.04B
-30.60%1.89B
-33.77%1.02B
-47.63%1.29B
-38.73%946.80M
129.48%2.73B
170.56%1.54B
600.86%2.45B
661.79%1.55B
--1.19B
212.07%570.41M
89.74%350.29M
--202.85M
--182.79M
--184.61M
フリーキャッシュフロー
-77.77%212.50M
-66.61%443.00M
-49.87%297.00M
230.81%655.00M
4148.44%955.90M
489.34%1.33B
163.22%592.50M
289.00%198.00M
-96.59%22.50M
-86.01%225.10M
-86.40%225.10M
-96.86%50.90M
-31.14%658.90M
-18.23%1.61B
45.47%1.66B
118.10%1.62B
157.01%956.88M
825.86%1.97B
1181.23%1.14B
--742.55M
533.92%372.32M
74.29%212.59M
--88.84M
--58.73M
--121.97M
通貨単位
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USD
USD
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監査意見
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よくある質問

キャッシュフロー計算書とは何ですか?

このレポートは、事業における現金の流入と流出を追跡し、営業、投資、財務活動を網羅します。企業が成長を支え、義務を果たすために現金をどれだけ効果的に管理しているかを明らかにします。
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