2025-02-25167611 KB4页296
2025-02-25189444 KB2页177
现金流量表學校營運活動之現金流量本期餘絀27,321,365(20,080,229)調整項目固定資產報廢260,69523,344,650(196,886)3,122,901(544,539)(1,1... 2025-02-2527321 KB2页234
2025-02-25189114.59 KB4页6
2025-02-25127918.31 KB4页98
2025-02-2589651 KB26页225
2025-02-25153439.5 KB3页248
2025-02-2514620.5 KB2页279
2025-02-2511018 KB2页94
2025-02-2566459 KB6页9
2025-02-25181231 KB1页164
2025-02-25130538 KB1页39
2025-02-25157229 KB1页80
2025-02-25144829 KB1页231
2025-02-25157938.5 KB1页79
2025-02-2541794 KB5页100
2025-02-25164226.5 KB1页216
2025-02-2511801.86 MB55页25
2025-02-2576112.48 KB3页107
2025-02-251659478.5 KB28页132