新加坡市場個股詳情

5GD 中聖集團

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延時10分鐘行情未開盤 07/18 15:43 (北京)
1.95億總市值5.10市盈率TTM

中聖集團關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
經營活動現金流量(間接法)
經營活動產生的現金
983.83%1.42億
40.47%7.27億
71.15%3.94億
1,124.76%4,543.8萬
-8.21%2.75億
274.63%1,305.7萬
23.65%5.18億
759.98%2.3億
-106.74%-443.4萬
120.85%3億
扣除非現金調整前淨利潤
123.88%1.23億
47.45%3.44億
113.81%8,457.4萬
291.00%1.35億
-29.25%6,875.8萬
-10.80%5,509萬
-78.30%2.33億
-60.42%3,955.5萬
-83.89%3,459.8萬
-85.20%9,718.1萬
非現金項目調整總額
5.40%1.3億
57.14%5.42億
84.33%1.29億
-15.61%1.21億
147.28%1.69億
94.53%1.23億
154.50%3.45億
238.17%6,995.7萬
205.58%1.43億
113.46%6,827.3萬
-折舊與攤銷
13.40%6,720.5萬
18.63%2.42億
12.29%6,203.4萬
12.32%5,997.4萬
24.92%6,030.5萬
26.85%5,926.6萬
15.05%2.04億
37.67%5,524.2萬
32.04%5,339.8萬
12.86%4,827.5萬
-在損益中確認的減值損失回撥
---508.5萬
2,007.29%1,806.2萬
1,477.03%1,355萬
2,511.90%438.8萬
244.19%12.4萬
--0
-104.74%-94.7萬
-104.02%-98.4萬
-24.66%16.8萬
95.41%-8.6萬
-聯營企業份額
-185.59%-192.2萬
-206.97%-506.2萬
-1,171.01%-175.4萬
-10,100.00%-160萬
-74.24%-103.5萬
27.87%-67.3萬
14.96%-164.9萬
25.81%-13.8萬
102.93%1.6萬
22.45%-59.4萬
-處置利潤
-98.51%10.7萬
100.20%30.8萬
94.39%-40.9萬
89.35%-306.5萬
96.15%-338.3萬
121.38%716.5萬
89.15%-1.57億
95.55%-728.6萬
92.79%-2,878.9萬
89.32%-8,784.5萬
-匯兌損益淨額
107.38%87.2萬
-78.93%1,522.5萬
24.76%-1,338.4萬
-111.09%-541.5萬
4.61%4,583.9萬
-358.66%-1,181.5萬
496.10%7,227.6萬
-36.74%-1,778.8萬
1,644.23%4,882.1萬
457.30%4,381.9萬
-其他非現金項目
-0.82%6,883.1萬
18.72%2.72億
68.45%6,891.5萬
-4.36%6,669.9萬
3.51%6,697.7萬
29.09%6,940萬
-64.30%2.29億
-33.82%4,091.1萬
-68.37%6,973.7萬
-77.46%6,470.4萬
營運資本變動
32.38%-1.12億
-162.37%-1.59億
49.49%1.8億
-15.59%-2.11億
-72.15%3,733.6萬
-24.68%-1.65億
-166.86%-6,053.7萬
243.11%1.2億
-1,275.85%-1.82億
1,099.46%1.34億
-應收款(增)減
30.84%-7,953.9萬
54.23%-9,400.3萬
136.63%3,928.3萬
32.04%-7,260.4萬
-63.09%5,431.9萬
16.94%-1.15億
75.01%-2.05億
76.32%-1.07億
-46.06%-1.07億
184.89%1.47億
-存貨(增)減
-3.16%7,723.8萬
173.25%3,853.8萬
87.12%-685.6萬
251.84%6,221.8萬
-359.38%-9,658.5萬
27.36%7,976.1萬
87.74%-5,260.9萬
-13.69%-5,323.5萬
-602.03%-4,097.6萬
92.01%-2,102.5萬
-預付費用(增)減
----
---636.4萬
----
----
----
----
--0
----
----
----
-應付款(減)增
-0.65%-9,597.1萬
-145.37%-1.11億
-49.53%1.34億
-3,939.98%-1.97億
779.88%4,644萬
-344.40%-9,535.5萬
-81.05%2.45億
-1.34%2.66億
-107.74%-487.3萬
-99.07%527.8萬
-其他流動資產變動
61.03%-1,355.3萬
129.89%1,432.3萬
34.57%1,951萬
87.99%-356.8萬
1,154.24%3,316.2萬
1.61%-3,478.1萬
27.91%-4,791.6萬
-90.04%1,449.8萬
-163.56%-2,970.8萬
101.79%264.4萬
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)
14.40%-3,764.7萬
-25.21%-1.83億
-48.13%-4,391.1萬
-5.64%-5,548.1萬
-20.89%-3,964.7萬
-40.93%-4,397.9萬
-9.73%-1.46億
27.39%-2,964.4萬
-81.33%-5,251.8萬
9.92%-3,279.7萬
已收到的利息(經營活動產生的現金流)
14.62%135.6萬
99.97%675.3萬
51.87%158.1萬
114.15%264.9萬
167.47%134萬
97.83%118.3萬
-32.22%337.7萬
-42.01%104.1萬
44.34%123.7萬
-47.65%50.1萬
已支付退稅
-101.90%-2,783.6萬
-25.74%-8,748.9萬
-175.20%-2,876.1萬
-14.76%-2,418.4萬
-111.03%-2,075.7萬
51.14%-1,378.7萬
16.20%-6,958.1萬
-246.35%-1,045.1萬
-160.01%-2,107.4萬
83.12%-983.6萬
其他經營現金流入(流出)
0
0
0
0
0
0
0
0
0
0
經營活動現金淨額
277.80%7,738.9萬
51.79%4.63億
68.93%3.22億
58.88%-3,157.8萬
-16.13%2.16億
34.36%-4,352.6萬
47.22%3.05億
386.05%1.91億
-359.83%-7,678.9萬
514.06%2.57億
投資活動現金流量
物業、廠房及設備交易淨額
8.37%-706.4萬
12.60%-4,800.5萬
-43.17%-3,399.8萬
75.87%-189.5萬
35.24%-440.3萬
53.35%-770.9萬
-442.25%-5,492.5萬
-162.24%-2,374.6萬
50.76%-785.4萬
95.68%-679.9萬
無形資產交易淨額
70.91%-1,848萬
27.58%-3.44億
-7.93%-1.19億
75.86%-4,357.2萬
-95.75%-1.17億
48.72%-6,352萬
44.36%-4.75億
36.65%-1.11億
-36.83%-1.8億
---6,001.5萬
業務交易淨額
--0
103.68%140萬
--0
--0
--0
110.70%140萬
-102.74%-3,808.8萬
107.06%57.3萬
--0
-103.38%-2,557.9萬
其他投資變動淨額
52.13%-1,142.2萬
41.59%-3,312.5萬
74.91%-344.2萬
---337.7萬
---244.8萬
44.51%-2,385.8萬
-57.02%-5,671.6萬
-9.65%-1,372萬
----
----
投資活動現金淨額
60.54%-3,696.6萬
32.17%-4.24億
-6.32%-1.57億
74.06%-4,884.4萬
-34.56%-1.24億
52.31%-9,368.7萬
-227.98%-6.25億
6.10%-1.48億
-137.71%-1.88億
-113.75%-9,239.3萬
融資活動現金流量
債務發行/償還的淨額
-96.18%755.8萬
-93.34%4,035.1萬
-459.89%-5,499.5萬
-127.17%-4,949.1萬
-119.93%-5,299.7萬
38.52%1.98億
6.32%6.06億
109.51%1,528.1萬
532.96%1.82億
2,259.34%2.66億
租賃融資增減
----
-1.71%-149萬
-193.31%-149萬
--0
----
----
22.40%-146.5萬
53.86%-50.8萬
---95.7萬
----
已支付現金股息
----
---552.8萬
--0
----
---552.8萬
----
----
----
----
----
已付利息(籌資活動產生的現金流)
0.61%-2,674.3萬
-16.27%-3,908.2萬
21.43%-386.7萬
24.32%-391.1萬
24.36%-439.8萬
-51.94%-2,690.6萬
92.59%-3,361.2萬
98.80%-492.2萬
25.62%-516.8萬
23.25%-581.4萬
其他籌資費用淨額
90.08%-195.5萬
167.84%4,406.6萬
103.42%182.9萬
-58.16%6,185.6萬
100.06%9.8萬
---1,971.7萬
-353.29%-6,495.2萬
-112.90%-5,348.6萬
182.19%1.48億
30.44%-1.59億
融資活動現金淨額
-113.98%-2,114萬
-92.43%3,831.7萬
-34.12%-5,852.3萬
-97.39%845.4萬
-162.30%-6,282.5萬
20.86%1.51億
160.88%5.06億
72.07%-4,363.5萬
152.67%3.24億
112.64%1.01億
現金淨流量
期初現金流
13.30%6.63億
46.90%5.85億
-5.09%5.56億
19.35%6.28億
130.54%5.99億
46.90%5.85億
-25.46%3.98億
-24.80%5.85億
-39.11%5.26億
-72.60%2.6億
現金變動
37.76%1,928.3萬
-58.31%7,782.2萬
38,759.93%1.07億
-222.41%-7,196.8萬
-89.20%2,870.4萬
110.17%1,399.8萬
237.21%1.87億
99.93%-27.7萬
168.31%5,879.4萬
417.40%2.66億
匯率變動影響
--0
--0
239.29%38萬
-553.61%-75.3萬
-31.19%53.4萬
81.37%-16.1萬
563.41%19萬
566.67%11.2萬
388.24%16.6萬
1,275.76%77.6萬
期末現金
13.90%6.82億
13.30%6.63億
13.30%6.63億
-5.09%5.56億
19.35%6.28億
130.54%5.99億
46.90%5.85億
46.90%5.85億
-24.80%5.85億
-39.11%5.26億
自由現金流
145.18%5,184.5萬
130.77%7,111.4萬
230.93%1.69億
70.94%-7,704.5萬
-50.46%9,397.7萬
44.50%-1.15億
68.76%-2.31億
118.02%5,104.9萬
-124.09%-2.65億
262.94%1.9億
貨幣單位
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30
經營活動現金流量(間接法)
經營活動產生的現金 983.83%1.42億40.47%7.27億71.15%3.94億1,124.76%4,543.8萬-8.21%2.75億274.63%1,305.7萬23.65%5.18億759.98%2.3億-106.74%-443.4萬120.85%3億
扣除非現金調整前淨利潤 123.88%1.23億47.45%3.44億113.81%8,457.4萬291.00%1.35億-29.25%6,875.8萬-10.80%5,509萬-78.30%2.33億-60.42%3,955.5萬-83.89%3,459.8萬-85.20%9,718.1萬
非現金項目調整總額 5.40%1.3億57.14%5.42億84.33%1.29億-15.61%1.21億147.28%1.69億94.53%1.23億154.50%3.45億238.17%6,995.7萬205.58%1.43億113.46%6,827.3萬
-折舊與攤銷 13.40%6,720.5萬18.63%2.42億12.29%6,203.4萬12.32%5,997.4萬24.92%6,030.5萬26.85%5,926.6萬15.05%2.04億37.67%5,524.2萬32.04%5,339.8萬12.86%4,827.5萬
-在損益中確認的減值損失回撥 ---508.5萬2,007.29%1,806.2萬1,477.03%1,355萬2,511.90%438.8萬244.19%12.4萬--0-104.74%-94.7萬-104.02%-98.4萬-24.66%16.8萬95.41%-8.6萬
-聯營企業份額 -185.59%-192.2萬-206.97%-506.2萬-1,171.01%-175.4萬-10,100.00%-160萬-74.24%-103.5萬27.87%-67.3萬14.96%-164.9萬25.81%-13.8萬102.93%1.6萬22.45%-59.4萬
-處置利潤 -98.51%10.7萬100.20%30.8萬94.39%-40.9萬89.35%-306.5萬96.15%-338.3萬121.38%716.5萬89.15%-1.57億95.55%-728.6萬92.79%-2,878.9萬89.32%-8,784.5萬
-匯兌損益淨額 107.38%87.2萬-78.93%1,522.5萬24.76%-1,338.4萬-111.09%-541.5萬4.61%4,583.9萬-358.66%-1,181.5萬496.10%7,227.6萬-36.74%-1,778.8萬1,644.23%4,882.1萬457.30%4,381.9萬
-其他非現金項目 -0.82%6,883.1萬18.72%2.72億68.45%6,891.5萬-4.36%6,669.9萬3.51%6,697.7萬29.09%6,940萬-64.30%2.29億-33.82%4,091.1萬-68.37%6,973.7萬-77.46%6,470.4萬
營運資本變動 32.38%-1.12億-162.37%-1.59億49.49%1.8億-15.59%-2.11億-72.15%3,733.6萬-24.68%-1.65億-166.86%-6,053.7萬243.11%1.2億-1,275.85%-1.82億1,099.46%1.34億
-應收款(增)減 30.84%-7,953.9萬54.23%-9,400.3萬136.63%3,928.3萬32.04%-7,260.4萬-63.09%5,431.9萬16.94%-1.15億75.01%-2.05億76.32%-1.07億-46.06%-1.07億184.89%1.47億
-存貨(增)減 -3.16%7,723.8萬173.25%3,853.8萬87.12%-685.6萬251.84%6,221.8萬-359.38%-9,658.5萬27.36%7,976.1萬87.74%-5,260.9萬-13.69%-5,323.5萬-602.03%-4,097.6萬92.01%-2,102.5萬
-預付費用(增)減 -------636.4萬------------------0------------
-應付款(減)增 -0.65%-9,597.1萬-145.37%-1.11億-49.53%1.34億-3,939.98%-1.97億779.88%4,644萬-344.40%-9,535.5萬-81.05%2.45億-1.34%2.66億-107.74%-487.3萬-99.07%527.8萬
-其他流動資產變動 61.03%-1,355.3萬129.89%1,432.3萬34.57%1,951萬87.99%-356.8萬1,154.24%3,316.2萬1.61%-3,478.1萬27.91%-4,791.6萬-90.04%1,449.8萬-163.56%-2,970.8萬101.79%264.4萬
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) 14.40%-3,764.7萬-25.21%-1.83億-48.13%-4,391.1萬-5.64%-5,548.1萬-20.89%-3,964.7萬-40.93%-4,397.9萬-9.73%-1.46億27.39%-2,964.4萬-81.33%-5,251.8萬9.92%-3,279.7萬
已收到的利息(經營活動產生的現金流) 14.62%135.6萬99.97%675.3萬51.87%158.1萬114.15%264.9萬167.47%134萬97.83%118.3萬-32.22%337.7萬-42.01%104.1萬44.34%123.7萬-47.65%50.1萬
已支付退稅 -101.90%-2,783.6萬-25.74%-8,748.9萬-175.20%-2,876.1萬-14.76%-2,418.4萬-111.03%-2,075.7萬51.14%-1,378.7萬16.20%-6,958.1萬-246.35%-1,045.1萬-160.01%-2,107.4萬83.12%-983.6萬
其他經營現金流入(流出) 0000000000
經營活動現金淨額 277.80%7,738.9萬51.79%4.63億68.93%3.22億58.88%-3,157.8萬-16.13%2.16億34.36%-4,352.6萬47.22%3.05億386.05%1.91億-359.83%-7,678.9萬514.06%2.57億
投資活動現金流量
物業、廠房及設備交易淨額 8.37%-706.4萬12.60%-4,800.5萬-43.17%-3,399.8萬75.87%-189.5萬35.24%-440.3萬53.35%-770.9萬-442.25%-5,492.5萬-162.24%-2,374.6萬50.76%-785.4萬95.68%-679.9萬
無形資產交易淨額 70.91%-1,848萬27.58%-3.44億-7.93%-1.19億75.86%-4,357.2萬-95.75%-1.17億48.72%-6,352萬44.36%-4.75億36.65%-1.11億-36.83%-1.8億---6,001.5萬
業務交易淨額 --0103.68%140萬--0--0--0110.70%140萬-102.74%-3,808.8萬107.06%57.3萬--0-103.38%-2,557.9萬
其他投資變動淨額 52.13%-1,142.2萬41.59%-3,312.5萬74.91%-344.2萬---337.7萬---244.8萬44.51%-2,385.8萬-57.02%-5,671.6萬-9.65%-1,372萬--------
投資活動現金淨額 60.54%-3,696.6萬32.17%-4.24億-6.32%-1.57億74.06%-4,884.4萬-34.56%-1.24億52.31%-9,368.7萬-227.98%-6.25億6.10%-1.48億-137.71%-1.88億-113.75%-9,239.3萬
融資活動現金流量
債務發行/償還的淨額 -96.18%755.8萬-93.34%4,035.1萬-459.89%-5,499.5萬-127.17%-4,949.1萬-119.93%-5,299.7萬38.52%1.98億6.32%6.06億109.51%1,528.1萬532.96%1.82億2,259.34%2.66億
租賃融資增減 -----1.71%-149萬-193.31%-149萬--0--------22.40%-146.5萬53.86%-50.8萬---95.7萬----
已支付現金股息 -------552.8萬--0-------552.8萬--------------------
已付利息(籌資活動產生的現金流) 0.61%-2,674.3萬-16.27%-3,908.2萬21.43%-386.7萬24.32%-391.1萬24.36%-439.8萬-51.94%-2,690.6萬92.59%-3,361.2萬98.80%-492.2萬25.62%-516.8萬23.25%-581.4萬
其他籌資費用淨額 90.08%-195.5萬167.84%4,406.6萬103.42%182.9萬-58.16%6,185.6萬100.06%9.8萬---1,971.7萬-353.29%-6,495.2萬-112.90%-5,348.6萬182.19%1.48億30.44%-1.59億
融資活動現金淨額 -113.98%-2,114萬-92.43%3,831.7萬-34.12%-5,852.3萬-97.39%845.4萬-162.30%-6,282.5萬20.86%1.51億160.88%5.06億72.07%-4,363.5萬152.67%3.24億112.64%1.01億
現金淨流量
期初現金流 13.30%6.63億46.90%5.85億-5.09%5.56億19.35%6.28億130.54%5.99億46.90%5.85億-25.46%3.98億-24.80%5.85億-39.11%5.26億-72.60%2.6億
現金變動 37.76%1,928.3萬-58.31%7,782.2萬38,759.93%1.07億-222.41%-7,196.8萬-89.20%2,870.4萬110.17%1,399.8萬237.21%1.87億99.93%-27.7萬168.31%5,879.4萬417.40%2.66億
匯率變動影響 --0--0239.29%38萬-553.61%-75.3萬-31.19%53.4萬81.37%-16.1萬563.41%19萬566.67%11.2萬388.24%16.6萬1,275.76%77.6萬
期末現金 13.90%6.82億13.30%6.63億13.30%6.63億-5.09%5.56億19.35%6.28億130.54%5.99億46.90%5.85億46.90%5.85億-24.80%5.85億-39.11%5.26億
自由現金流 145.18%5,184.5萬130.77%7,111.4萬230.93%1.69億70.94%-7,704.5萬-50.46%9,397.7萬44.50%-1.15億68.76%-2.31億118.02%5,104.9萬-124.09%-2.65億262.94%1.9億
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