新加坡市場個股詳情

564 事必得精密機械

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延時10分鐘行情已收盤 03/17 13:12 (北京)
1.03億總市值6.44市盈率TTM

事必得精密機械關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2024/12/31
(FY)2024/06/30
(Q4)2024/06/30
(Q2)2023/12/31
(FY)2023/06/30
(Q4)2023/06/30
(Q2)2022/12/31
(FY)2022/06/30
(Q4)2022/06/30
(Q2)2021/12/31
資產
流動資產
現金及現金等價物與短期投資
22.35%6,198.2萬
31.29%6,095萬
31.29%6,095萬
33.48%5,065.8萬
1.72%4,642.3萬
1.72%4,642.3萬
1.13%3,795.3萬
3.98%4,563.9萬
3.98%4,563.9萬
-21.29%3,753萬
-現金及現金等價物
22.35%6,198.2萬
31.29%6,095萬
31.29%6,095萬
33.48%5,065.8萬
1.72%4,642.3萬
1.72%4,642.3萬
1.13%3,795.3萬
3.98%4,563.9萬
3.98%4,563.9萬
-21.29%3,753萬
-應收賬款淨額
8.47%4,273萬
8.80%4,295.6萬
8.80%4,295.6萬
1.38%3,939.4萬
-0.34%3,948.3萬
-0.34%3,948.3萬
-10.63%3,885.9萬
-0.85%3,961.9萬
-0.85%3,961.9萬
15.85%4,348.1萬
-其他應收款
-61.74%103.3萬
-23.93%113.8萬
-23.93%113.8萬
21.84%270萬
109.23%149.6萬
109.23%149.6萬
-31.31%221.6萬
-23.53%71.5萬
-23.53%71.5萬
141.47%322.6萬
存貨
0.28%2,878.8萬
-0.83%2,944.5萬
-0.83%2,944.5萬
-17.22%2,870.8萬
-28.49%2,969萬
-28.49%2,969萬
-26.48%3,467.9萬
5.13%4,152.1萬
5.13%4,152.1萬
52.32%4,716.8萬
預付費用
150.33%946萬
85.22%486.4萬
85.22%486.4萬
159.19%377.9萬
-19.96%262.6萬
-19.96%262.6萬
-60.56%145.8萬
-51.19%328.1萬
-51.19%328.1萬
-59.20%369.7萬
流動資產合計
14.97%1.44億
16.01%1.39億
16.01%1.39億
8.75%1.25億
-8.21%1.2億
-8.21%1.2億
-14.76%1.15億
-0.31%1.31億
-0.31%1.31億
6.73%1.35億
非流動資產
物業廠房及設備淨額
5.29%8,354.4萬
0.33%7,957.8萬
0.33%7,957.8萬
-12.77%7,934.6萬
-15.40%7,931.8萬
-15.40%7,931.8萬
-5.50%9,096.6萬
15.74%9,375.3萬
15.74%9,375.3萬
36.18%9,626.5萬
-物業、廠房及設備
5.29%8,354.4萬
4.61%2.04億
4.61%2.04億
-12.77%7,934.6萬
-5.21%1.95億
-5.21%1.95億
-5.50%9,096.6萬
13.20%2.05億
13.20%2.05億
36.18%9,626.5萬
-累計折舊
----
-7.56%-1.24億
-7.56%-1.24億
----
-3.34%-1.15億
-3.34%-1.15億
----
-11.15%-1.12億
-11.15%-1.12億
----
投資總額
6.80%144.4萬
8.11%139.9萬
8.11%139.9萬
8.59%135.2萬
-1.30%129.4萬
-1.30%129.4萬
-8.99%124.5萬
-8.39%131.1萬
-8.39%131.1萬
80.24%136.8萬
-長期股權投資
6.80%144.4萬
8.11%139.9萬
8.11%139.9萬
8.59%135.2萬
-1.30%129.4萬
-1.30%129.4萬
-8.99%124.5萬
-8.39%131.1萬
-8.39%131.1萬
80.24%136.8萬
商譽及其他無形資產
----
-3.11%486.7萬
-3.11%486.7萬
----
-10.64%502.3萬
-10.64%502.3萬
----
-1.94%562.1萬
-1.94%562.1萬
----
-其他無形資產
----
-3.11%486.7萬
-3.11%486.7萬
----
-10.64%502.3萬
-10.64%502.3萬
----
-1.94%562.1萬
-1.94%562.1萬
----
非流動資產合計
5.32%8,498.8萬
0.24%8,584.4萬
0.24%8,584.4萬
-12.83%8,069.8萬
-15.28%8,563.5萬
-15.28%8,563.5萬
-5.52%9,257.7萬
14.19%1.01億
14.19%1.01億
36.58%9,799萬
總資產
11.19%2.29億
9.45%2.25億
9.45%2.25億
-0.87%2.06億
-11.29%2.06億
-11.29%2.06億
-10.88%2.08億
5.53%2.32億
5.53%2.32億
17.53%2.33億
負債
流動負債
-短期借款及資本租賃負債
119.75%458.4萬
101.76%435.8萬
101.76%435.8萬
-74.12%208.6萬
-83.22%216萬
-83.22%216萬
-52.84%806萬
261.73%1,287.4萬
261.73%1,287.4萬
718.19%1,709.2萬
-其中:短期借款
163.84%394.7萬
202.80%378.5萬
202.80%378.5萬
-79.63%149.6萬
-89.09%125萬
-89.09%125萬
-52.20%734.3萬
487.94%1,145.3萬
487.94%1,145.3萬
1,357.59%1,536.3萬
-其中:資本租賃負債
7.97%63.7萬
-37.03%57.3萬
-37.03%57.3萬
-17.71%59萬
-35.96%91萬
-35.96%91萬
-58.53%71.7萬
-11.79%142.1萬
-11.79%142.1萬
67.05%172.9萬
應付款項
11.84%4,109萬
14.10%2,873.4萬
14.10%2,873.4萬
6.64%3,674.1萬
-20.58%2,518.3萬
-20.58%2,518.3萬
-29.29%3,445.2萬
-14.96%3,170.7萬
-14.96%3,170.7萬
5.42%4,872.6萬
-應付帳款
16.20%2,161萬
16.79%2,214.5萬
16.79%2,214.5萬
11.81%1,859.7萬
-6.56%1,896.2萬
-6.56%1,896.2萬
-43.03%1,663.3萬
-31.08%2,029.3萬
-31.08%2,029.3萬
10.03%2,919.8萬
-其他應付款
7.36%1,948萬
5.92%658.9萬
5.92%658.9萬
1.82%1,814.4萬
-45.50%622.1萬
-45.50%622.1萬
-8.75%1,781.9萬
45.59%1,141.4萬
45.59%1,141.4萬
-0.79%1,952.8萬
現行撥備
14.08%118.3萬
72.59%144.8萬
72.59%144.8萬
-24.03%103.7萬
-50.73%83.9萬
-50.73%83.9萬
9.29%136.5萬
31.71%170.3萬
31.71%170.3萬
1.22%124.9萬
其他流動負債
-0.37%218.3萬
4.63%228.4萬
4.63%228.4萬
0.18%219.1萬
-3.71%218.3萬
-3.71%218.3萬
-14.30%218.7萬
-7.32%226.7萬
-7.32%226.7萬
-2.30%255.2萬
流動負債合計
14.06%4,971.1萬
15.38%5,260.9萬
15.38%5,260.9萬
-7.42%4,358.5萬
-28.37%4,559.8萬
-28.37%4,559.8萬
-32.79%4,707.9萬
4.21%6,366萬
4.21%6,366萬
30.61%7,004.7萬
非流動負債
-長期借款及資本租賃
-29.10%128.4萬
-54.59%117.3萬
-54.59%117.3萬
-39.51%181.1萬
-34.66%258.3萬
-34.66%258.3萬
-40.68%299.4萬
-37.19%395.3萬
-37.19%395.3萬
-14.70%504.7萬
-其中:長期借款
-29.14%89.5萬
-66.34%64.7萬
-66.34%64.7萬
-50.72%126.3萬
-39.41%192.2萬
-39.41%192.2萬
-32.32%256.3萬
-27.84%317.2萬
-27.84%317.2萬
-8.13%378.7萬
-其中:長期資本租賃負債
-29.01%38.9萬
-20.42%52.6萬
-20.42%52.6萬
27.15%54.8萬
-15.36%66.1萬
-15.36%66.1萬
-65.79%43.1萬
-58.85%78.1萬
-58.85%78.1萬
-29.81%126萬
長期撥備
-5.98%23.6萬
3.15%26.2萬
3.15%26.2萬
0.80%25.1萬
23.30%25.4萬
23.30%25.4萬
27.69%24.9萬
8.42%20.6萬
8.42%20.6萬
7.73%19.5萬
非流動負債合計
-8.54%568.4萬
-27.76%581.8萬
-27.76%581.8萬
-24.44%621.5萬
-12.26%805.4萬
-12.26%805.4萬
-18.45%822.5萬
-15.90%917.9萬
-15.90%917.9萬
3.38%1,008.6萬
負債總額
11.23%5,539.5萬
8.90%5,842.7萬
8.90%5,842.7萬
-9.95%4,980萬
-26.34%5,365.2萬
-26.34%5,365.2萬
-30.98%5,530.4萬
1.16%7,283.9萬
1.16%7,283.9萬
26.42%8,013.3萬
所有者權益
股本
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
-普通股
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
0.00%1,314.5萬
留存收益
8.03%1.73億
9.70%1.7億
9.70%1.7億
7.03%1.6億
4.59%1.55億
4.59%1.55億
7.40%1.5億
8.81%1.48億
8.81%1.48億
11.91%1.39億
股東權益
11.18%1.74億
9.64%1.67億
9.64%1.67億
2.43%1.56億
-4.40%1.52億
-4.40%1.52億
-0.34%1.52億
7.66%1.59億
7.66%1.59億
13.36%1.53億
總權益
11.18%1.74億
9.64%1.67億
9.64%1.67億
2.43%1.56億
-4.40%1.52億
-4.40%1.52億
-0.34%1.52億
7.66%1.59億
7.66%1.59億
13.36%1.53億
貨幣單位
新加坡元
新加坡元
新加坡元
新加坡元
新加坡元
新加坡元
新加坡元
新加坡元
新加坡元
新加坡元
(Q2)2024/12/31(FY)2024/06/30(Q4)2024/06/30(Q2)2023/12/31(FY)2023/06/30(Q4)2023/06/30(Q2)2022/12/31(FY)2022/06/30(Q4)2022/06/30(Q2)2021/12/31
資產
流動資產
現金及現金等價物與短期投資 22.35%6,198.2萬31.29%6,095萬31.29%6,095萬33.48%5,065.8萬1.72%4,642.3萬1.72%4,642.3萬1.13%3,795.3萬3.98%4,563.9萬3.98%4,563.9萬-21.29%3,753萬
-現金及現金等價物 22.35%6,198.2萬31.29%6,095萬31.29%6,095萬33.48%5,065.8萬1.72%4,642.3萬1.72%4,642.3萬1.13%3,795.3萬3.98%4,563.9萬3.98%4,563.9萬-21.29%3,753萬
-應收賬款淨額 8.47%4,273萬8.80%4,295.6萬8.80%4,295.6萬1.38%3,939.4萬-0.34%3,948.3萬-0.34%3,948.3萬-10.63%3,885.9萬-0.85%3,961.9萬-0.85%3,961.9萬15.85%4,348.1萬
-其他應收款 -61.74%103.3萬-23.93%113.8萬-23.93%113.8萬21.84%270萬109.23%149.6萬109.23%149.6萬-31.31%221.6萬-23.53%71.5萬-23.53%71.5萬141.47%322.6萬
存貨 0.28%2,878.8萬-0.83%2,944.5萬-0.83%2,944.5萬-17.22%2,870.8萬-28.49%2,969萬-28.49%2,969萬-26.48%3,467.9萬5.13%4,152.1萬5.13%4,152.1萬52.32%4,716.8萬
預付費用 150.33%946萬85.22%486.4萬85.22%486.4萬159.19%377.9萬-19.96%262.6萬-19.96%262.6萬-60.56%145.8萬-51.19%328.1萬-51.19%328.1萬-59.20%369.7萬
流動資產合計 14.97%1.44億16.01%1.39億16.01%1.39億8.75%1.25億-8.21%1.2億-8.21%1.2億-14.76%1.15億-0.31%1.31億-0.31%1.31億6.73%1.35億
非流動資產
物業廠房及設備淨額 5.29%8,354.4萬0.33%7,957.8萬0.33%7,957.8萬-12.77%7,934.6萬-15.40%7,931.8萬-15.40%7,931.8萬-5.50%9,096.6萬15.74%9,375.3萬15.74%9,375.3萬36.18%9,626.5萬
-物業、廠房及設備 5.29%8,354.4萬4.61%2.04億4.61%2.04億-12.77%7,934.6萬-5.21%1.95億-5.21%1.95億-5.50%9,096.6萬13.20%2.05億13.20%2.05億36.18%9,626.5萬
-累計折舊 -----7.56%-1.24億-7.56%-1.24億-----3.34%-1.15億-3.34%-1.15億-----11.15%-1.12億-11.15%-1.12億----
投資總額 6.80%144.4萬8.11%139.9萬8.11%139.9萬8.59%135.2萬-1.30%129.4萬-1.30%129.4萬-8.99%124.5萬-8.39%131.1萬-8.39%131.1萬80.24%136.8萬
-長期股權投資 6.80%144.4萬8.11%139.9萬8.11%139.9萬8.59%135.2萬-1.30%129.4萬-1.30%129.4萬-8.99%124.5萬-8.39%131.1萬-8.39%131.1萬80.24%136.8萬
商譽及其他無形資產 -----3.11%486.7萬-3.11%486.7萬-----10.64%502.3萬-10.64%502.3萬-----1.94%562.1萬-1.94%562.1萬----
-其他無形資產 -----3.11%486.7萬-3.11%486.7萬-----10.64%502.3萬-10.64%502.3萬-----1.94%562.1萬-1.94%562.1萬----
非流動資產合計 5.32%8,498.8萬0.24%8,584.4萬0.24%8,584.4萬-12.83%8,069.8萬-15.28%8,563.5萬-15.28%8,563.5萬-5.52%9,257.7萬14.19%1.01億14.19%1.01億36.58%9,799萬
總資產 11.19%2.29億9.45%2.25億9.45%2.25億-0.87%2.06億-11.29%2.06億-11.29%2.06億-10.88%2.08億5.53%2.32億5.53%2.32億17.53%2.33億
負債
流動負債
-短期借款及資本租賃負債 119.75%458.4萬101.76%435.8萬101.76%435.8萬-74.12%208.6萬-83.22%216萬-83.22%216萬-52.84%806萬261.73%1,287.4萬261.73%1,287.4萬718.19%1,709.2萬
-其中:短期借款 163.84%394.7萬202.80%378.5萬202.80%378.5萬-79.63%149.6萬-89.09%125萬-89.09%125萬-52.20%734.3萬487.94%1,145.3萬487.94%1,145.3萬1,357.59%1,536.3萬
-其中:資本租賃負債 7.97%63.7萬-37.03%57.3萬-37.03%57.3萬-17.71%59萬-35.96%91萬-35.96%91萬-58.53%71.7萬-11.79%142.1萬-11.79%142.1萬67.05%172.9萬
應付款項 11.84%4,109萬14.10%2,873.4萬14.10%2,873.4萬6.64%3,674.1萬-20.58%2,518.3萬-20.58%2,518.3萬-29.29%3,445.2萬-14.96%3,170.7萬-14.96%3,170.7萬5.42%4,872.6萬
-應付帳款 16.20%2,161萬16.79%2,214.5萬16.79%2,214.5萬11.81%1,859.7萬-6.56%1,896.2萬-6.56%1,896.2萬-43.03%1,663.3萬-31.08%2,029.3萬-31.08%2,029.3萬10.03%2,919.8萬
-其他應付款 7.36%1,948萬5.92%658.9萬5.92%658.9萬1.82%1,814.4萬-45.50%622.1萬-45.50%622.1萬-8.75%1,781.9萬45.59%1,141.4萬45.59%1,141.4萬-0.79%1,952.8萬
現行撥備 14.08%118.3萬72.59%144.8萬72.59%144.8萬-24.03%103.7萬-50.73%83.9萬-50.73%83.9萬9.29%136.5萬31.71%170.3萬31.71%170.3萬1.22%124.9萬
其他流動負債 -0.37%218.3萬4.63%228.4萬4.63%228.4萬0.18%219.1萬-3.71%218.3萬-3.71%218.3萬-14.30%218.7萬-7.32%226.7萬-7.32%226.7萬-2.30%255.2萬
流動負債合計 14.06%4,971.1萬15.38%5,260.9萬15.38%5,260.9萬-7.42%4,358.5萬-28.37%4,559.8萬-28.37%4,559.8萬-32.79%4,707.9萬4.21%6,366萬4.21%6,366萬30.61%7,004.7萬
非流動負債
-長期借款及資本租賃 -29.10%128.4萬-54.59%117.3萬-54.59%117.3萬-39.51%181.1萬-34.66%258.3萬-34.66%258.3萬-40.68%299.4萬-37.19%395.3萬-37.19%395.3萬-14.70%504.7萬
-其中:長期借款 -29.14%89.5萬-66.34%64.7萬-66.34%64.7萬-50.72%126.3萬-39.41%192.2萬-39.41%192.2萬-32.32%256.3萬-27.84%317.2萬-27.84%317.2萬-8.13%378.7萬
-其中:長期資本租賃負債 -29.01%38.9萬-20.42%52.6萬-20.42%52.6萬27.15%54.8萬-15.36%66.1萬-15.36%66.1萬-65.79%43.1萬-58.85%78.1萬-58.85%78.1萬-29.81%126萬
長期撥備 -5.98%23.6萬3.15%26.2萬3.15%26.2萬0.80%25.1萬23.30%25.4萬23.30%25.4萬27.69%24.9萬8.42%20.6萬8.42%20.6萬7.73%19.5萬
非流動負債合計 -8.54%568.4萬-27.76%581.8萬-27.76%581.8萬-24.44%621.5萬-12.26%805.4萬-12.26%805.4萬-18.45%822.5萬-15.90%917.9萬-15.90%917.9萬3.38%1,008.6萬
負債總額 11.23%5,539.5萬8.90%5,842.7萬8.90%5,842.7萬-9.95%4,980萬-26.34%5,365.2萬-26.34%5,365.2萬-30.98%5,530.4萬1.16%7,283.9萬1.16%7,283.9萬26.42%8,013.3萬
所有者權益
股本 0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬
-普通股 0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬0.00%1,314.5萬
留存收益 8.03%1.73億9.70%1.7億9.70%1.7億7.03%1.6億4.59%1.55億4.59%1.55億7.40%1.5億8.81%1.48億8.81%1.48億11.91%1.39億
股東權益 11.18%1.74億9.64%1.67億9.64%1.67億2.43%1.56億-4.40%1.52億-4.40%1.52億-0.34%1.52億7.66%1.59億7.66%1.59億13.36%1.53億
總權益 11.18%1.74億9.64%1.67億9.64%1.67億2.43%1.56億-4.40%1.52億-4.40%1.52億-0.34%1.52億7.66%1.59億7.66%1.59億13.36%1.53億
貨幣單位 新加坡元新加坡元新加坡元新加坡元新加坡元新加坡元新加坡元新加坡元新加坡元新加坡元