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3625 Techfirm控股

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延時20分鐘行情休市中 06/28 15:00 (東京)
38.41億總市值-78893市盈率(靜)

Techfirm控股關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2023/06/30
(FY)2022/06/30
(FY)2021/06/30
(FY)2020/06/30
(FY)2019/06/30
(FY)2018/06/30
(FY)2017/06/30
(FY)2016/06/30
(FY)2015/06/30
(FY)2014/07/31
經營活動現金流量(間接法)
經營活動產生的現金
75.79%2.72億
65.23%1.55億
19.61%9,351.6萬
-92.77%7,818.1萬
13.18%10.81億
2,704.99%9.55億
-71.57%3,406.2萬
661.23%1.2億
-89.59%1,573.7萬
-39.93%1.51億
扣除非現金調整前淨利潤
67.71%-6,709.2萬
-19.22%-2.08億
52.70%-1.74億
-226.01%-3.68億
-42.43%2.92億
215.20%5.08億
1,755.48%1.61億
-73.08%868.4萬
-15.30%3,225.9萬
-65.68%3,808.6萬
非現金項目調整總額
-15.67%9,742.9萬
-66.20%1.16億
-43.97%3.42億
-9.74%6.1億
76.81%6.76億
1,233.10%3.82億
-91.98%2,868.1萬
84.97%3.58億
-1.74%1.93億
242.83%1.97億
-折舊與攤銷
-37.59%1,183.3萬
-61.86%1,896.1萬
-80.44%4,971.6萬
24.50%2.54億
-4.45%2.04億
3.15%2.14億
21.05%2.07億
84.20%1.71億
59.02%9,289.8萬
10.83%5,841.9萬
-在損益中確認的減值損失回撥
--0
--119.7萬
----
-5.43%5.9億
1,345.89%6.24億
--4,316.2萬
----
----
----
----
-資產準備金與勾銷
----
----
----
----
----
----
----
520.50%4,929.5萬
-8,917.69%-1,172.3萬
98.84%-13萬
-處置利潤
--0
--0
7,008.37%4.1億
100.73%576.1萬
316.60%287萬
-18.73%-132.5萬
-126.85%-111.6萬
178.18%415.6萬
-474.10%-531.6萬
141.06%142.1萬
-匯兌損益淨額
--0
--0
-241.50%-100.4萬
-170.67%-29.4萬
114.72%41.6萬
-4,772.41%-282.6萬
-130.69%-5.8萬
135.46%18.9萬
-84.43%-53.3萬
90.32%-28.9萬
-以股票支付的報酬
49.99%519.1萬
--346.1萬
----
-73.81%427.9萬
--1,633.6萬
----
----
----
----
-75.01%208.7萬
-其他非現金項目
-12.52%8,040.5萬
178.97%9,190.9萬
52.29%-1.16億
-41.96%-2.44億
-232.54%-1.72億
173.14%1.3億
-233.40%-1.77億
12.59%1.33億
-12.74%1.18億
1,936.92%1.35億
營運資本變動
-2.22%2.41億
433.19%2.47億
54.72%-7,405.9萬
-244.74%-1.64億
73.31%1.13億
141.87%6,520.7萬
36.83%-1.56億
-17.47%-2.47億
-150.67%-2.1億
-200.59%-8,372.8萬
-應收款(增)減
1,126.90%4.28億
112.11%3,492.2萬
-1,212.89%-2.88億
72.67%-2,197.3萬
-248.56%-8,041.1萬
127.78%5,412.6萬
9.61%-1.95億
1.90%-2.16億
-45.92%-2.2億
-181.30%-1.51億
-存貨(增)減
-90.91%74.9萬
-25.89%824.1萬
-56.30%1,112萬
362.04%2,544.4萬
79.85%-971萬
-2,552.06%-4,818.3萬
-70.14%196.5萬
160.23%658.1萬
-125.65%-1,092.6萬
184.86%4,260.1萬
-應付款(減)增
-314.19%-1.24億
32.16%5,795.3萬
147.34%4,385.1萬
-304.79%-9,262.3萬
646.90%4,522.9萬
-141.65%-827萬
152.85%1,985.6萬
-280.84%-3,757.4萬
-14.35%2,077.7萬
146.84%2,425.7萬
-貸款、租賃及其他損失準備金
-143.80%-6,378.8萬
-8.66%1.46億
314.28%1.59億
-147.13%-7,441.2萬
133.81%1.58億
290.98%6,753.4萬
--1,727.3萬
----
----
----
已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流)
已付利息(經營活動產生的現金流)
-19.31%-241.6萬
3.06%-202.5萬
36.74%-208.9萬
-113.31%-330.2萬
24.19%-154.8萬
30.07%-204.2萬
33.77%-292萬
19.35%-440.9萬
-33.18%-546.7萬
-8.08%-410.5萬
已收到的利息(經營活動產生的現金流)
87.99%223.9萬
5.77%119.1萬
-28.05%112.6萬
17.67%156.5萬
0.38%133萬
13.73%132.5萬
28.73%116.5萬
77.10%90.5萬
59.19%51.1萬
-72.33%32.1萬
已支付退稅
203.35%1.13億
34.47%-1.09億
-3.08%-1.66億
71.12%-1.61億
-202.95%-5.58億
-87.25%-1.84億
-124.18%-9,841.6萬
-613.04%-4,390.1萬
186.51%855.7萬
93.73%-989.1萬
其他經營現金流入(流出)
-495.12%-1.21億
-24.40%3,057.2萬
112.73%4,043.7萬
1,900,800.00%1,900.9萬
200.00%1,000
-100.01%-1,000
336.61%1,055.5萬
-446.1萬
0
-8,879萬
經營活動現金淨額
249.38%2.63億
326.78%7,534萬
49.51%-3,322.1萬
-112.58%-6,579.1萬
-32.13%5.23億
1,486.82%7.7億
-181.78%-5,555.4萬
251.27%6,792.9萬
-60.27%1,933.8萬
-46.63%4,867.2萬
投資活動現金流量
物業、廠房及設備交易淨額
48.22%-125.4萬
17.90%-242.2萬
83.31%-295萬
37.76%-1,768萬
-152.12%-2,840.6萬
-4.80%-1,126.7萬
52.12%-1,075.1萬
-164.07%-2,245.4萬
92.04%-850.3萬
-2,434.92%-1.07億
無形資產交易淨額
--0
92.26%-268.7萬
37.45%-3,473.6萬
21.27%-5,553.1萬
26.13%-7,052.9萬
13.31%-9,547.8萬
-56.05%-1.1億
-28.07%-7,057.9萬
-98.42%-5,511萬
-322.74%-2,777.4萬
業務交易淨額
--0
-105.81%-227.3萬
--3,914.5萬
----
---3.44億
----
----
----
--841.6萬
----
投資產品交易淨額
-18,403.54%-5.07億
135.49%276.9萬
78.21%-780.3萬
-112.32%-3,580.5萬
202.98%2.91億
-7,545.96%-2.82億
96.43%-369.2萬
79.56%-1.04億
---5.06億
----
向其他方提供的預付現金及貸款
----
----
----
----
----
----
---9,580萬
----
----
----
償還對其他方提供的預付款及貸款產生的現金收入
-36.26%529.1萬
--830.1萬
----
-59.28%95.9萬
1.60%235.5萬
-76.57%231.8萬
132.09%989.4萬
-79.77%426.3萬
--2,107.7萬
----
其他投資變動淨額
8,285.71%744.9萬
99.29%-9.1萬
63.88%-1,289.3萬
-2,079.24%-3,569.6萬
81.52%-163.8萬
95.94%-886.3萬
-14,495.92%-2.18億
-118.77%-149.5萬
107.20%796.4萬
-71,900.00%-1.11億
投資活動現金淨額
-13,870.89%-4.95億
118.70%359.7萬
86.62%-1,923.7萬
4.93%-1.44億
61.78%-1.51億
7.73%-3.96億
-121.25%-4.29億
63.62%-1.94億
-117.26%-5.33億
1.23%-2.45億
融資活動現金流量
債務發行/償還的淨額
42,016.81%5.99億
15.25%-142.8萬
97.62%-168.5萬
-176.86%-7,070.9萬
195.83%9,200萬
58.80%-9,600萬
-183.65%-2.33億
904.67%2.79億
-125.15%-3,461.6萬
788.31%1.38億
普通股發行/回購的淨額
-100.73%-2.7萬
9,375.00%371萬
99.99%-4萬
-60.79%-3.05億
---1.9億
----
12,372.63%17.35億
-97.91%1,390.8萬
8,886.87%6.67億
119.04%742萬
租賃融資增減
0.44%-68.1萬
-1.33%-68.4萬
56.28%-67.5萬
33.76%-154.4萬
-12.39%-233.1萬
4.51%-207.4萬
23.20%-217.2萬
57.01%-282.8萬
18.82%-657.9萬
-14.56%-810.4萬
已支付現金股息
-0.86%-3,528萬
-0.34%-3,497.8萬
3.42%-3,486萬
-61.16%-3,609.6萬
-2.32%-2,239.7萬
-15.42%-2,188.9萬
-0.42%-1,896.4萬
-43,818.60%-1,888.5萬
99.79%-4.3萬
51.27%-2,074.3萬
其他籌資費用淨額
-0.06%-160.6萬
23.24%-160.5萬
61.41%-209.1萬
61.11%-541.9萬
-214.47%-1,393.4萬
68.36%-443.1萬
43.63%-1,400.4萬
-619.82%-2,484.1萬
-58.96%-345.1萬
16.44%-217.1萬
融資活動現金淨額
1,703.48%5.61億
11.10%-3,498.5萬
90.61%-3,935.1萬
-206.82%-4.19億
-9.83%-1.37億
-108.48%-1.24億
496.40%14.67億
-60.47%2.46億
445.43%6.22億
202.57%1.14億
現金淨流量
期初現金流
3.46%19.82億
-4.40%19.16億
-23.94%20.04億
9.73%26.34億
11.60%24.01億
84.52%21.51億
10.21%11.66億
14.29%10.58億
-8.35%9.26億
-20.80%10.1億
現金變動
648.23%3.29億
147.87%4,395.2萬
85.40%-9,180.9萬
-367.49%-6.29億
-6.15%2.35億
-74.50%2.5億
718.15%9.82億
10.27%1.2億
232.13%1.09億
69.27%-8,240.6萬
匯率變動影響
-55.11%1,002.3萬
499.30%2,233萬
282.20%372.6萬
-48.62%-204.5萬
-48.76%-137.6萬
-129.82%-92.5萬
125.65%310.2萬
-151.68%-1,209.5萬
1,344.23%2,340.4萬
-162.97%-188.1萬
現金變動之外的其他現金調整
--1,000
----
50.00%-1,000
-100.00%-2,000
---1,000
----
----
-200.00%-1,000
200.00%1,000
---1,000
期末現金
17.10%23.21億
3.46%19.82億
-4.40%19.16億
-23.94%20.04億
9.73%26.34億
11.60%24.01億
84.52%21.51億
10.21%11.66億
14.29%10.58億
-8.35%9.26億
自由現金流
273.01%2.62億
198.79%7,023.1萬
48.86%-7,109萬
-132.79%-1.39億
-36.12%4.24億
476.14%6.64億
-602.86%-1.76億
43.30%-2,510.4萬
48.46%-4,427.5萬
-206.83%-8,589.8萬
貨幣單位
日元
日元
日元
日元
日元
日元
日元
日元
日元
日元
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)2023/06/30(FY)2022/06/30(FY)2021/06/30(FY)2020/06/30(FY)2019/06/30(FY)2018/06/30(FY)2017/06/30(FY)2016/06/30(FY)2015/06/30(FY)2014/07/31
經營活動現金流量(間接法)
經營活動產生的現金 75.79%2.72億65.23%1.55億19.61%9,351.6萬-92.77%7,818.1萬13.18%10.81億2,704.99%9.55億-71.57%3,406.2萬661.23%1.2億-89.59%1,573.7萬-39.93%1.51億
扣除非現金調整前淨利潤 67.71%-6,709.2萬-19.22%-2.08億52.70%-1.74億-226.01%-3.68億-42.43%2.92億215.20%5.08億1,755.48%1.61億-73.08%868.4萬-15.30%3,225.9萬-65.68%3,808.6萬
非現金項目調整總額 -15.67%9,742.9萬-66.20%1.16億-43.97%3.42億-9.74%6.1億76.81%6.76億1,233.10%3.82億-91.98%2,868.1萬84.97%3.58億-1.74%1.93億242.83%1.97億
-折舊與攤銷 -37.59%1,183.3萬-61.86%1,896.1萬-80.44%4,971.6萬24.50%2.54億-4.45%2.04億3.15%2.14億21.05%2.07億84.20%1.71億59.02%9,289.8萬10.83%5,841.9萬
-在損益中確認的減值損失回撥 --0--119.7萬-----5.43%5.9億1,345.89%6.24億--4,316.2萬----------------
-資產準備金與勾銷 ----------------------------520.50%4,929.5萬-8,917.69%-1,172.3萬98.84%-13萬
-處置利潤 --0--07,008.37%4.1億100.73%576.1萬316.60%287萬-18.73%-132.5萬-126.85%-111.6萬178.18%415.6萬-474.10%-531.6萬141.06%142.1萬
-匯兌損益淨額 --0--0-241.50%-100.4萬-170.67%-29.4萬114.72%41.6萬-4,772.41%-282.6萬-130.69%-5.8萬135.46%18.9萬-84.43%-53.3萬90.32%-28.9萬
-以股票支付的報酬 49.99%519.1萬--346.1萬-----73.81%427.9萬--1,633.6萬-----------------75.01%208.7萬
-其他非現金項目 -12.52%8,040.5萬178.97%9,190.9萬52.29%-1.16億-41.96%-2.44億-232.54%-1.72億173.14%1.3億-233.40%-1.77億12.59%1.33億-12.74%1.18億1,936.92%1.35億
營運資本變動 -2.22%2.41億433.19%2.47億54.72%-7,405.9萬-244.74%-1.64億73.31%1.13億141.87%6,520.7萬36.83%-1.56億-17.47%-2.47億-150.67%-2.1億-200.59%-8,372.8萬
-應收款(增)減 1,126.90%4.28億112.11%3,492.2萬-1,212.89%-2.88億72.67%-2,197.3萬-248.56%-8,041.1萬127.78%5,412.6萬9.61%-1.95億1.90%-2.16億-45.92%-2.2億-181.30%-1.51億
-存貨(增)減 -90.91%74.9萬-25.89%824.1萬-56.30%1,112萬362.04%2,544.4萬79.85%-971萬-2,552.06%-4,818.3萬-70.14%196.5萬160.23%658.1萬-125.65%-1,092.6萬184.86%4,260.1萬
-應付款(減)增 -314.19%-1.24億32.16%5,795.3萬147.34%4,385.1萬-304.79%-9,262.3萬646.90%4,522.9萬-141.65%-827萬152.85%1,985.6萬-280.84%-3,757.4萬-14.35%2,077.7萬146.84%2,425.7萬
-貸款、租賃及其他損失準備金 -143.80%-6,378.8萬-8.66%1.46億314.28%1.59億-147.13%-7,441.2萬133.81%1.58億290.98%6,753.4萬--1,727.3萬------------
已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流)
已付利息(經營活動產生的現金流) -19.31%-241.6萬3.06%-202.5萬36.74%-208.9萬-113.31%-330.2萬24.19%-154.8萬30.07%-204.2萬33.77%-292萬19.35%-440.9萬-33.18%-546.7萬-8.08%-410.5萬
已收到的利息(經營活動產生的現金流) 87.99%223.9萬5.77%119.1萬-28.05%112.6萬17.67%156.5萬0.38%133萬13.73%132.5萬28.73%116.5萬77.10%90.5萬59.19%51.1萬-72.33%32.1萬
已支付退稅 203.35%1.13億34.47%-1.09億-3.08%-1.66億71.12%-1.61億-202.95%-5.58億-87.25%-1.84億-124.18%-9,841.6萬-613.04%-4,390.1萬186.51%855.7萬93.73%-989.1萬
其他經營現金流入(流出) -495.12%-1.21億-24.40%3,057.2萬112.73%4,043.7萬1,900,800.00%1,900.9萬200.00%1,000-100.01%-1,000336.61%1,055.5萬-446.1萬0-8,879萬
經營活動現金淨額 249.38%2.63億326.78%7,534萬49.51%-3,322.1萬-112.58%-6,579.1萬-32.13%5.23億1,486.82%7.7億-181.78%-5,555.4萬251.27%6,792.9萬-60.27%1,933.8萬-46.63%4,867.2萬
投資活動現金流量
物業、廠房及設備交易淨額 48.22%-125.4萬17.90%-242.2萬83.31%-295萬37.76%-1,768萬-152.12%-2,840.6萬-4.80%-1,126.7萬52.12%-1,075.1萬-164.07%-2,245.4萬92.04%-850.3萬-2,434.92%-1.07億
無形資產交易淨額 --092.26%-268.7萬37.45%-3,473.6萬21.27%-5,553.1萬26.13%-7,052.9萬13.31%-9,547.8萬-56.05%-1.1億-28.07%-7,057.9萬-98.42%-5,511萬-322.74%-2,777.4萬
業務交易淨額 --0-105.81%-227.3萬--3,914.5萬-------3.44億--------------841.6萬----
投資產品交易淨額 -18,403.54%-5.07億135.49%276.9萬78.21%-780.3萬-112.32%-3,580.5萬202.98%2.91億-7,545.96%-2.82億96.43%-369.2萬79.56%-1.04億---5.06億----
向其他方提供的預付現金及貸款 ---------------------------9,580萬------------
償還對其他方提供的預付款及貸款產生的現金收入 -36.26%529.1萬--830.1萬-----59.28%95.9萬1.60%235.5萬-76.57%231.8萬132.09%989.4萬-79.77%426.3萬--2,107.7萬----
其他投資變動淨額 8,285.71%744.9萬99.29%-9.1萬63.88%-1,289.3萬-2,079.24%-3,569.6萬81.52%-163.8萬95.94%-886.3萬-14,495.92%-2.18億-118.77%-149.5萬107.20%796.4萬-71,900.00%-1.11億
投資活動現金淨額 -13,870.89%-4.95億118.70%359.7萬86.62%-1,923.7萬4.93%-1.44億61.78%-1.51億7.73%-3.96億-121.25%-4.29億63.62%-1.94億-117.26%-5.33億1.23%-2.45億
融資活動現金流量
債務發行/償還的淨額 42,016.81%5.99億15.25%-142.8萬97.62%-168.5萬-176.86%-7,070.9萬195.83%9,200萬58.80%-9,600萬-183.65%-2.33億904.67%2.79億-125.15%-3,461.6萬788.31%1.38億
普通股發行/回購的淨額 -100.73%-2.7萬9,375.00%371萬99.99%-4萬-60.79%-3.05億---1.9億----12,372.63%17.35億-97.91%1,390.8萬8,886.87%6.67億119.04%742萬
租賃融資增減 0.44%-68.1萬-1.33%-68.4萬56.28%-67.5萬33.76%-154.4萬-12.39%-233.1萬4.51%-207.4萬23.20%-217.2萬57.01%-282.8萬18.82%-657.9萬-14.56%-810.4萬
已支付現金股息 -0.86%-3,528萬-0.34%-3,497.8萬3.42%-3,486萬-61.16%-3,609.6萬-2.32%-2,239.7萬-15.42%-2,188.9萬-0.42%-1,896.4萬-43,818.60%-1,888.5萬99.79%-4.3萬51.27%-2,074.3萬
其他籌資費用淨額 -0.06%-160.6萬23.24%-160.5萬61.41%-209.1萬61.11%-541.9萬-214.47%-1,393.4萬68.36%-443.1萬43.63%-1,400.4萬-619.82%-2,484.1萬-58.96%-345.1萬16.44%-217.1萬
融資活動現金淨額 1,703.48%5.61億11.10%-3,498.5萬90.61%-3,935.1萬-206.82%-4.19億-9.83%-1.37億-108.48%-1.24億496.40%14.67億-60.47%2.46億445.43%6.22億202.57%1.14億
現金淨流量
期初現金流 3.46%19.82億-4.40%19.16億-23.94%20.04億9.73%26.34億11.60%24.01億84.52%21.51億10.21%11.66億14.29%10.58億-8.35%9.26億-20.80%10.1億
現金變動 648.23%3.29億147.87%4,395.2萬85.40%-9,180.9萬-367.49%-6.29億-6.15%2.35億-74.50%2.5億718.15%9.82億10.27%1.2億232.13%1.09億69.27%-8,240.6萬
匯率變動影響 -55.11%1,002.3萬499.30%2,233萬282.20%372.6萬-48.62%-204.5萬-48.76%-137.6萬-129.82%-92.5萬125.65%310.2萬-151.68%-1,209.5萬1,344.23%2,340.4萬-162.97%-188.1萬
現金變動之外的其他現金調整 --1,000----50.00%-1,000-100.00%-2,000---1,000---------200.00%-1,000200.00%1,000---1,000
期末現金 17.10%23.21億3.46%19.82億-4.40%19.16億-23.94%20.04億9.73%26.34億11.60%24.01億84.52%21.51億10.21%11.66億14.29%10.58億-8.35%9.26億
自由現金流 273.01%2.62億198.79%7,023.1萬48.86%-7,109萬-132.79%-1.39億-36.12%4.24億476.14%6.64億-602.86%-1.76億43.30%-2,510.4萬48.46%-4,427.5萬-206.83%-8,589.8萬
貨幣單位 日元日元日元日元日元日元日元日元日元日元
會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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