美股市场个股详情

FN Fabrinet

添加自选
  • 273.500
  • +5.500+2.05%
收盘价 08/21 16:00 (美东)
  • 273.500
  • 0.0000.00%
盘后 19:30 (美东)
98.87亿总市值33.77市盈率TTM

Fabrinet关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/06/28
(Q4)2024/06/28
(Q3)2024/03/29
(Q2)2023/12/29
(Q1)2023/09/29
(FY)2023/06/30
(Q4)2023/06/30
(Q3)2023/03/31
(Q2)2022/12/30
(Q1)2022/09/29
经营活动现金流量(间接法)
持续经营活动现金净额
93.68%4.13亿
16.84%8,306.2万
171.73%1.01亿
89.28%8,416.5万
139.22%1.45亿
71.68%2.13亿
334.82%7,108.8万
-26.24%3,712.2万
115.26%4,446.6万
64.27%6,063.4万
持续经营净收入
19.47%2.96亿
33.36%8,106.6万
36.33%8,091.6万
9.43%6,911万
0.73%6,508.9万
23.72%2.48亿
8.18%6,078.6万
17.16%5,935.5万
29.21%6,315.7万
44.71%6,461.5万
持续经营损益
44.80%-100.8万
392.84%147.3万
-44.11%-550.2万
5.35%314.9万
74.09%-12.8万
52.66%-182.6万
66.71%-50.3万
-277.27%-381.8万
521.41%298.9万
72.78%-49.4万
折旧和摊销
11.83%4,901.7万
9.60%1,241.5万
13.82%1,241.6万
15.98%1,222.5万
8.20%1,196.1万
13.15%4,383.2万
15.23%1,132.8万
11.39%1,090.8万
10.04%1,054.1万
15.94%1,105.5万
递延税费
147.99%167.2万
117.05%54.7万
-99.25%8,000
76.76%-26万
728.77%137.7万
-1,724.08%-348.4万
-325.46%-320.8万
-31.44%106.2万
-26.87%-111.9万
-110.58%-21.9万
其他非现金项目
-89.02%31.1万
-84.58%11.7万
-95.63%10.4万
-198.51%-13.2万
150.57%22.2万
99.23%283.3万
129.31%75.9万
194.80%237.9万
605.26%13.4万
-265.66%-43.9万
营运资金变化
139.72%4,133.4万
-251.19%-1,719.8万
118.14%702.4万
81.60%-708万
366.82%5,858.8万
28.31%-1.04亿
91.25%-489.7万
-113.47%-3,872.7万
14.59%-3,847.6万
15.61%-2,195.8万
-应收款项(增)减
20.33%-6,127.9万
-124.78%-719万
99.17%-21.6万
10.51%-4,973.5万
83.09%-413.8万
27.13%-7,691.7万
430.05%2,901.5万
58.06%-2,587.8万
-46.59%-5,557.8万
-114.66%-2,447.6万
-存货(增)减
50.52%5,637万
-126.12%-907.2万
-121.77%-3,937.6万
404.06%2,533.7万
175.90%7,948.1万
127.74%3,744.9万
133.23%3,472.9万
-155.08%-1,775.5万
57.50%-833.3万
166.79%2,880.8万
-应付款项及应计费用(减)增
204.42%5,808万
121.62%1,088万
9,904.28%5,264.9万
-28.90%1,798.5万
22.02%-2,343.4万
-159.97%-5,561.9万
-231.49%-5,032.9万
-104.59%-53.7万
58.49%2,529.7万
-212.15%-3,005万
-其他流动资产变化
-244.30%-4,671.5万
-606.38%-1,316.7万
-13,023.31%-1,718.8万
-1,566.50%-1,959.8万
130.37%323.8万
-111.01%-1,356.8万
-138.91%-186.4万
102.35%13.3万
73.95%-117.6万
-911.48%-1,066.1万
-其他流动负债变化
3,704.15%3,210.7万
104.53%82.9万
120.96%1,030.1万
2,655.59%1,824.2万
-80.19%273.5万
-89.53%84.4万
-1,744.24%-1,828.4万
-8.08%466.2万
819.44%66.2万
663.50%1,380.4万
-其他营运资本变化
-26.17%277.1万
-71.57%52.2万
31.79%85.4万
5.67%68.9万
14.42%70.6万
263.31%375.3万
267.98%183.6万
217.65%64.8万
-31.66%65.2万
-36.26%61.7万
非持续经营活动现金净额
经营活动现金净额
93.68%4.13亿
16.84%8,306.2万
171.73%1.01亿
89.28%8,416.5万
139.22%1.45亿
71.68%2.13亿
334.82%7,108.8万
-26.24%3,712.2万
115.26%4,446.6万
64.27%6,063.4万
投资活动现金流量
持续投资活动现金净额
-71.96%-1.7亿
-80.90%-5,113.6万
65.70%-1,676.2万
-8.51%-4,877.3万
-327.16%-5,308万
27.17%-9,871.7万
45.98%-2,826.8万
-65.99%-4,886.9万
-620.07%-4,494.7万
149.16%2,336.7万
固定资产交易的净现金流
26.78%-4,483.4万
31.23%-1,232.8万
32.38%-1,331.8万
39.60%-807.1万
-8.47%-1,111.7万
31.45%-6,123.2万
-26.01%-1,792.7万
15.73%-1,969.4万
30.95%-1,336.2万
68.34%-1,024.9万
无形资产交易净现金流
2.41%-88.9万
43.19%-12.1万
12.59%-25万
15.71%-33.8万
-1,536.36%-18万
8.44%-91.1万
47.15%-21.3万
-95.89%-28.6万
-197.04%-40.1万
96.46%-1.1万
投资产品交易的净现金流
-239.12%-1.24亿
-281.98%-3,868.7万
88.94%-319.4万
-29.44%-4,036.4万
-224.25%-4,178.3万
19.13%-3,657.4万
73.13%-1,012.8万
-387.50%-2,888.9万
-335.44%-3,118.4万
326.49%3,362.7万
非持续投资活动现金净额
投资活动现金净额
-71.96%-1.7亿
-80.90%-5,113.6万
65.70%-1,676.2万
-8.51%-4,877.3万
-327.16%-5,308万
27.17%-9,871.7万
45.98%-2,826.8万
-65.99%-4,886.9万
-620.07%-4,494.7万
149.16%2,336.7万
融资活动现金流量
持续融资活动现金净额
19.92%-6,485.3万
83.14%-705.3万
-306.88%-3,298.2万
-170.34%-962.4万
44.72%-1,519.4万
12.86%-8,098.4万
-20.45%-4,183.3万
71.49%-810.6万
53.53%-356万
-24.30%-2,748.5万
债务发行/偿还的净现金流
20.04%-1,218.8万
0.03%-304.7万
0.07%-304.7万
0.07%-304.7万
50.02%-304.7万
-24.99%-1,524.2万
0.20%-304.8万
-0.07%-304.9万
-0.07%-304.9万
-100.07%-609.6万
普通股发行/偿还的净现金流
16.99%-3,949万
90.75%-354.7万
-618.96%-2,957.1万
-3,023.53%-637.2万
--0
20.60%-4,757.5万
-22.58%-3,835.8万
83.16%-411.3万
95.14%-20.4万
---490万
其他融资活动的净现金流额
27.48%-1,317.5万
-7.49%-45.9万
61.44%-36.4万
33.22%-20.5万
26.33%-1,214.7万
12.76%-1,816.7万
-10.91%-42.7万
1.46%-94.4万
26.20%-30.7万
13.51%-1,648.9万
非持续融资活动现金净额
融资活动现金净额
19.92%-6,485.3万
83.14%-705.3万
-306.88%-3,298.2万
-170.34%-962.4万
44.72%-1,519.4万
12.86%-8,098.4万
-20.45%-4,183.3万
71.49%-810.6万
53.53%-356万
-24.30%-2,748.5万
现金净流量
期初现金流
16.64%2.31亿
66.90%3.85亿
33.18%3.34亿
20.73%3.08亿
16.64%2.31亿
-34.56%1.98亿
-14.32%2.31亿
-9.40%2.51亿
-5.43%2.55亿
-34.56%1.98亿
当期现金流变化
431.23%1.79亿
2,420.06%2,487.3万
357.52%5,112.6万
737.66%2,576.8万
35.85%7,677.5万
132.24%3,360.9万
101.40%98.7万
-163.20%-1,985.3万
-159.83%-404.1万
272.64%5,651.6万
利率变动影响
110.40%6.3万
96.96%-1.1万
70.82%-6.8万
90.02%-5.3万
-62.50%19.5万
-14.99%-60.6万
-60.18%-36.2万
-4,560.00%-23.3万
-2,224.00%-53.1万
261.99%52万
期末现金流
77.20%4.1亿
77.20%4.1亿
66.90%3.85亿
33.18%3.34亿
20.73%3.08亿
16.64%2.31亿
16.64%2.31亿
-14.32%2.31亿
-9.40%2.51亿
-5.43%2.55亿
自由现金流
141.48%3.65亿
32.68%7,023.8万
410.24%8,703.1万
141.28%7,402.6万
164.93%1.33亿
348.68%1.51亿
3,041.66%5,293.7万
-36.29%1,705.7万
2,622.27%3,068万
1,135.04%5,036.5万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
--
--
--
--
无保留意见
--
--
--
--
(FY)2024/06/28(Q4)2024/06/28(Q3)2024/03/29(Q2)2023/12/29(Q1)2023/09/29(FY)2023/06/30(Q4)2023/06/30(Q3)2023/03/31(Q2)2022/12/30(Q1)2022/09/29
经营活动现金流量(间接法)
持续经营活动现金净额 93.68%4.13亿16.84%8,306.2万171.73%1.01亿89.28%8,416.5万139.22%1.45亿71.68%2.13亿334.82%7,108.8万-26.24%3,712.2万115.26%4,446.6万64.27%6,063.4万
持续经营净收入 19.47%2.96亿33.36%8,106.6万36.33%8,091.6万9.43%6,911万0.73%6,508.9万23.72%2.48亿8.18%6,078.6万17.16%5,935.5万29.21%6,315.7万44.71%6,461.5万
持续经营损益 44.80%-100.8万392.84%147.3万-44.11%-550.2万5.35%314.9万74.09%-12.8万52.66%-182.6万66.71%-50.3万-277.27%-381.8万521.41%298.9万72.78%-49.4万
折旧和摊销 11.83%4,901.7万9.60%1,241.5万13.82%1,241.6万15.98%1,222.5万8.20%1,196.1万13.15%4,383.2万15.23%1,132.8万11.39%1,090.8万10.04%1,054.1万15.94%1,105.5万
递延税费 147.99%167.2万117.05%54.7万-99.25%8,00076.76%-26万728.77%137.7万-1,724.08%-348.4万-325.46%-320.8万-31.44%106.2万-26.87%-111.9万-110.58%-21.9万
其他非现金项目 -89.02%31.1万-84.58%11.7万-95.63%10.4万-198.51%-13.2万150.57%22.2万99.23%283.3万129.31%75.9万194.80%237.9万605.26%13.4万-265.66%-43.9万
营运资金变化 139.72%4,133.4万-251.19%-1,719.8万118.14%702.4万81.60%-708万366.82%5,858.8万28.31%-1.04亿91.25%-489.7万-113.47%-3,872.7万14.59%-3,847.6万15.61%-2,195.8万
-应收款项(增)减 20.33%-6,127.9万-124.78%-719万99.17%-21.6万10.51%-4,973.5万83.09%-413.8万27.13%-7,691.7万430.05%2,901.5万58.06%-2,587.8万-46.59%-5,557.8万-114.66%-2,447.6万
-存货(增)减 50.52%5,637万-126.12%-907.2万-121.77%-3,937.6万404.06%2,533.7万175.90%7,948.1万127.74%3,744.9万133.23%3,472.9万-155.08%-1,775.5万57.50%-833.3万166.79%2,880.8万
-应付款项及应计费用(减)增 204.42%5,808万121.62%1,088万9,904.28%5,264.9万-28.90%1,798.5万22.02%-2,343.4万-159.97%-5,561.9万-231.49%-5,032.9万-104.59%-53.7万58.49%2,529.7万-212.15%-3,005万
-其他流动资产变化 -244.30%-4,671.5万-606.38%-1,316.7万-13,023.31%-1,718.8万-1,566.50%-1,959.8万130.37%323.8万-111.01%-1,356.8万-138.91%-186.4万102.35%13.3万73.95%-117.6万-911.48%-1,066.1万
-其他流动负债变化 3,704.15%3,210.7万104.53%82.9万120.96%1,030.1万2,655.59%1,824.2万-80.19%273.5万-89.53%84.4万-1,744.24%-1,828.4万-8.08%466.2万819.44%66.2万663.50%1,380.4万
-其他营运资本变化 -26.17%277.1万-71.57%52.2万31.79%85.4万5.67%68.9万14.42%70.6万263.31%375.3万267.98%183.6万217.65%64.8万-31.66%65.2万-36.26%61.7万
非持续经营活动现金净额
经营活动现金净额 93.68%4.13亿16.84%8,306.2万171.73%1.01亿89.28%8,416.5万139.22%1.45亿71.68%2.13亿334.82%7,108.8万-26.24%3,712.2万115.26%4,446.6万64.27%6,063.4万
投资活动现金流量
持续投资活动现金净额 -71.96%-1.7亿-80.90%-5,113.6万65.70%-1,676.2万-8.51%-4,877.3万-327.16%-5,308万27.17%-9,871.7万45.98%-2,826.8万-65.99%-4,886.9万-620.07%-4,494.7万149.16%2,336.7万
固定资产交易的净现金流 26.78%-4,483.4万31.23%-1,232.8万32.38%-1,331.8万39.60%-807.1万-8.47%-1,111.7万31.45%-6,123.2万-26.01%-1,792.7万15.73%-1,969.4万30.95%-1,336.2万68.34%-1,024.9万
无形资产交易净现金流 2.41%-88.9万43.19%-12.1万12.59%-25万15.71%-33.8万-1,536.36%-18万8.44%-91.1万47.15%-21.3万-95.89%-28.6万-197.04%-40.1万96.46%-1.1万
投资产品交易的净现金流 -239.12%-1.24亿-281.98%-3,868.7万88.94%-319.4万-29.44%-4,036.4万-224.25%-4,178.3万19.13%-3,657.4万73.13%-1,012.8万-387.50%-2,888.9万-335.44%-3,118.4万326.49%3,362.7万
非持续投资活动现金净额
投资活动现金净额 -71.96%-1.7亿-80.90%-5,113.6万65.70%-1,676.2万-8.51%-4,877.3万-327.16%-5,308万27.17%-9,871.7万45.98%-2,826.8万-65.99%-4,886.9万-620.07%-4,494.7万149.16%2,336.7万
融资活动现金流量
持续融资活动现金净额 19.92%-6,485.3万83.14%-705.3万-306.88%-3,298.2万-170.34%-962.4万44.72%-1,519.4万12.86%-8,098.4万-20.45%-4,183.3万71.49%-810.6万53.53%-356万-24.30%-2,748.5万
债务发行/偿还的净现金流 20.04%-1,218.8万0.03%-304.7万0.07%-304.7万0.07%-304.7万50.02%-304.7万-24.99%-1,524.2万0.20%-304.8万-0.07%-304.9万-0.07%-304.9万-100.07%-609.6万
普通股发行/偿还的净现金流 16.99%-3,949万90.75%-354.7万-618.96%-2,957.1万-3,023.53%-637.2万--020.60%-4,757.5万-22.58%-3,835.8万83.16%-411.3万95.14%-20.4万---490万
其他融资活动的净现金流额 27.48%-1,317.5万-7.49%-45.9万61.44%-36.4万33.22%-20.5万26.33%-1,214.7万12.76%-1,816.7万-10.91%-42.7万1.46%-94.4万26.20%-30.7万13.51%-1,648.9万
非持续融资活动现金净额
融资活动现金净额 19.92%-6,485.3万83.14%-705.3万-306.88%-3,298.2万-170.34%-962.4万44.72%-1,519.4万12.86%-8,098.4万-20.45%-4,183.3万71.49%-810.6万53.53%-356万-24.30%-2,748.5万
现金净流量
期初现金流 16.64%2.31亿66.90%3.85亿33.18%3.34亿20.73%3.08亿16.64%2.31亿-34.56%1.98亿-14.32%2.31亿-9.40%2.51亿-5.43%2.55亿-34.56%1.98亿
当期现金流变化 431.23%1.79亿2,420.06%2,487.3万357.52%5,112.6万737.66%2,576.8万35.85%7,677.5万132.24%3,360.9万101.40%98.7万-163.20%-1,985.3万-159.83%-404.1万272.64%5,651.6万
利率变动影响 110.40%6.3万96.96%-1.1万70.82%-6.8万90.02%-5.3万-62.50%19.5万-14.99%-60.6万-60.18%-36.2万-4,560.00%-23.3万-2,224.00%-53.1万261.99%52万
期末现金流 77.20%4.1亿77.20%4.1亿66.90%3.85亿33.18%3.34亿20.73%3.08亿16.64%2.31亿16.64%2.31亿-14.32%2.31亿-9.40%2.51亿-5.43%2.55亿
自由现金流 141.48%3.65亿32.68%7,023.8万410.24%8,703.1万141.28%7,402.6万164.93%1.33亿348.68%1.51亿3,041.66%5,293.7万-36.29%1,705.7万2,622.27%3,068万1,135.04%5,036.5万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ----------无保留意见--------

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