日本市場個股詳情

6327 北川精機

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  • 683
  • -9-1.30%
延時20分鐘行情交易中 10/02 12:43 (東京)
57.71億總市值8.03市盈率(靜)

北川精機關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/06/30
(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
經營活動現金流量(間接法)
經營活動產生的現金
118.38%6.54億
-80.18%3億
642.12%15.12億
-76.91%2.04億
637.11%8.82億
-110.18%-1.64億
842.87%16.14億
-60.52%1.71億
111.48%4.34億
373.50%2.05億
扣除非現金調整前淨利潤
5.87%8.52億
19.33%8.05億
23.32%6.74億
55.90%5.47億
16.91%3.51億
-32.40%3億
12.84%4.44億
359.01%3.93億
-160.68%-1.52億
92.67%2.5億
非現金項目調整總額
-14.12%9,340.9萬
-5.51%1.09億
16.55%1.15億
-59.33%9,877.7萬
-38.77%2.43億
359.04%3.97億
-54.64%8,642萬
-23.09%1.91億
20.04%2.48億
28.19%2.06億
-折舊與攤銷
12.66%9,582.5萬
-2.94%8,506萬
9.69%8,763.7萬
-15.56%7,989.6萬
5.75%9,461.5萬
15.75%8,946.7萬
-3.63%7,729.5萬
-18.39%8,020.4萬
-14.52%9,827.5萬
-14.14%1.15億
-在損益中確認的減值損失回撥
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----
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-40.00%1.48億
--2.47億
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----
----
----
-資產準備金與勾銷
----
----
----
----
----
----
----
----
87.02%4,171.2萬
-2.67%2,230.4萬
-處置利潤
-129.27%-32.7萬
-96.27%111.7萬
1,083.37%2,997.3萬
81.77%-304.8萬
-3,807.98%-1,672.3萬
4,911.11%45.1萬
-99.97%9,000
-4.48%2,610.9萬
632.00%2,733.3萬
105.39%373.4萬
-匯兌損益淨額
-96.31%-2,117.8萬
-54.60%-1,078.8萬
24.19%-697.8萬
-87.34%-920.4萬
-179.32%-491.3萬
170.01%619.4萬
110.51%229.4萬
-152.08%-2,183.7萬
512.55%4,193.2萬
-3,454.46%-1,016.4萬
-以股票支付的報酬
36.67%1,710.2萬
--1,251.3萬
--0
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----
----
----
----
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-養老金及員工福利費用
----
----
----
----
----
----
----
----
395.97%1,116.1萬
---377.1萬
-其他非現金項目
-90.48%198.7萬
365.04%2,087.1萬
-85.58%448.8萬
45.30%3,113.3萬
-59.64%2,142.6萬
678.25%5,309.2萬
-93.57%682.2萬
288.05%1.06億
-65.54%2,733萬
8.41%7,931.4萬
營運資本變動
52.60%-2.91億
-184.99%-6.14億
263.43%7.22億
-253.16%-4.42億
133.51%2.89億
-179.43%-8.61億
362.67%10.84億
-222.19%-4.13億
234.23%3.38億
31.23%-2.52億
-應收款(增)減
248.36%5.46億
34.53%-3.68億
-177.04%-5.62億
203.10%7.29億
7.98%-7.08億
-181.37%-7.69億
229.65%9.45億
-1,178.48%-7.29億
67.47%6,757.7萬
108.70%4,035.2萬
-存貨(增)減
197.62%7.37億
122.17%2.48億
-290.05%-11.17億
167.03%5.88億
-378.99%-8.77億
34.72%-1.83億
-479.68%-2.8億
1,241.69%7,383.3萬
-102.29%-646.7萬
231.10%2.82億
-預付費用(增)減
473.08%1.01億
-210.30%-2,714.8萬
124.73%2,461.3萬
-2,673.86%-9,953.1萬
126.69%386.7萬
-362.19%-1,449.1萬
155.75%552.7萬
-229.71%-991.4萬
-89.52%764.3萬
189.09%7,291.2萬
-應付款(減)增
25.28%-2.71億
-140.01%-3.62億
216.79%9.06億
-203.95%-7.75億
765.43%7.46億
-136.96%-1.12億
280.06%3.03億
-45.87%7,979.8萬
146.30%1.47億
-199.45%-3.18億
-應計費用(減)增
-206.86%-426.7萬
159.53%399.3萬
83.50%-670.8萬
-299.55%-4,066.4萬
3.81%2,037.8萬
427.73%1,963.1萬
58.45%-599萬
-159.46%-1,441.5萬
288.62%2,424.3萬
39.66%-1,285.3萬
-貸款、租賃及其他損失準備金
-133.35%-2,478.7萬
303.15%7,433.3萬
-40.92%1,843.8萬
94.75%3,120.9萬
192.08%1,602.5萬
-166.54%-1,740.4萬
614.28%2,615.7萬
--366.2萬
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-其他流動資產變動
-654.32%-13.75億
-112.50%-1.82億
266.83%14.59億
-180.50%-8.74億
404.58%10.86億
138.39%2.15億
-50.71%9,030.6萬
88.33%1.83億
130.81%9,728.5萬
-427.81%-3.16億
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)
15.82%-1,460萬
13.27%-1,734.4萬
19.76%-1,999.7萬
17.13%-2,492.2萬
18.44%-3,007.2萬
7.70%-3,687.3萬
13.23%-3,994.7萬
19.40%-4,604萬
10.95%-5,712萬
4.16%-6,414.3萬
已收到的利息(經營活動產生的現金流)
-13.98%152.6萬
22.43%177.4萬
45.19%144.9萬
2.57%99.8萬
-29.65%97.3萬
-14.47%138.3萬
67.05%161.7萬
-32.02%96.8萬
-1.79%142.4萬
-21.41%145萬
已支付退稅
-43.83%-1.4億
-4.57%-9,737.7萬
-324.35%-9,312.3萬
133.25%4,150.7萬
11.86%-1.25億
-111.77%-1.42億
-601.87%-6,688.1萬
82.72%-952.9萬
-46.14%-5,515.2萬
45.43%-3,773.9萬
其他經營現金流入(流出)
283.5萬
0
0
0
99.99%-1,000
-108.79%-719.1萬
69,396.61%8,177萬
-116.50%-11.8萬
71,600.00%71.5萬
99.98%-1,000
經營活動現金淨額
170.00%5.04億
-86.66%1.87億
532.68%14億
-69.61%2.21億
308.92%7.28億
-121.91%-3.49億
1,265.75%15.91億
-64.00%1.16億
209.26%3.23億
148.63%1.05億
投資活動現金流量
物業、廠房及設備交易淨額
40.60%-7,492.8萬
57.64%-1.26億
-12,365.03%-2.98億
-88.45%242.8萬
119.38%2,102.8萬
-10.47%-1.08億
47.93%-9,819.2萬
-130.97%-1.89億
1,422.70%6.09億
-104.15%-4,604.1萬
無形資產交易淨額
38.58%-301.4萬
57.83%-490.7萬
31.16%-1,163.5萬
-569.61%-1,690.1萬
66.62%-252.4萬
-51.46%-756.1萬
-25.43%-499.2萬
59.68%-398萬
-147.68%-987萬
-63.12%-398.5萬
業務交易淨額
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---3.42億
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---2,620.8萬
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投資產品交易淨額
9.88%-760.5萬
-21.51%-843.9萬
-68.04%-694.5萬
-104.60%-413.3萬
35.65%-202萬
-111.80%-313.9萬
451.02%2,660萬
-106.11%-757.8萬
3,291.28%1.24億
-93.02%366萬
其他投資變動淨額
98.30%-6.4萬
-53,557.14%-375.6萬
99.78%-7,000
-132.76%-312.9萬
571.42%955.1萬
-250.41%-202.6萬
262.48%134.7萬
86.24%-82.9萬
-320.74%-602.4萬
251.02%272.9萬
投資活動現金淨額
40.23%-8,561.1萬
54.72%-1.43億
-1,355.63%-3.16億
93.12%-2,173.5萬
-160.51%-3.16億
-19.48%-1.21億
49.52%-1.01億
-128.02%-2.01億
1,743.59%7.17億
-186.34%-4,363.7萬
融資活動現金流量
債務發行/償還的淨額
0.00%-1.21億
-383.26%-1.21億
142.87%4,286.4萬
78.95%-9,999.6萬
-357.53%-4.75億
67.29%-1.04億
14.43%-3.17億
49.06%-3.71億
-2,981.21%-7.28億
88.39%-2,363.5萬
普通股發行/回購的淨額
--6.68億
--0
101.52%503.9萬
---3.32億
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---2萬
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--1.64億
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租賃融資增減
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30.91%-50.3萬
28.42%-72.8萬
已支付現金股息
-34.09%-5,657.8萬
-20.10%-4,219.4萬
---3,513.3萬
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非控制性權益現金股息
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-50.00%-780萬
-100.00%-520萬
60.00%-260萬
0.00%-650萬
16.67%-650萬
其他籌資費用淨額
---756.8萬
----
---1,000
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-100.02%-1,000
--414萬
融資活動現金淨額
394.65%4.82億
-1,381.31%-1.64億
102.96%1,276.9萬
9.13%-4.32億
-325.48%-4.75億
65.40%-1.12億
-54.12%-3.23億
71.53%-2.09億
-2,651.37%-7.35億
87.42%-2,672.3萬
現金淨流量
期初現金流
-4.27%24.98億
74.74%26.1億
-12.63%14.93億
-3.37%17.09億
-25.02%17.69億
97.46%23.59億
-18.60%11.95億
21.16%14.68億
4.08%12.11億
-24.43%11.64億
現金變動
849.41%9.01億
-110.96%-1.2億
572.42%10.96億
-271.10%-2.32億
89.24%-6,253.6萬
-149.84%-5.81億
496.98%11.67億
-196.21%-2.94億
792.20%3.05億
109.08%3,423.3萬
匯率變動影響
329.11%3,700.2萬
-56.57%862.3萬
22.32%1,985.7萬
444.00%1,623.3萬
133.66%298.4萬
-304.93%-886.4萬
-110.46%-218.9萬
142.62%2,092.2萬
-470.49%-4,909.4萬
1,990.06%1,325.1萬
現金變動之外的其他現金調整
--1,000
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----
0.00%-1,000
-200.00%-1,000
--1,000
----
--1,000
期末現金
37.53%34.36億
-4.27%24.98億
74.74%26.1億
-12.63%14.93億
-3.37%17.09億
-25.02%17.69億
97.46%23.59億
-18.60%11.95億
21.16%14.68億
4.08%12.11億
自由現金流
668.83%4.26億
-94.92%5,537.6萬
507.44%10.9億
-73.90%1.79億
247.97%6.88億
-131.28%-4.65億
2,043.11%14.85億
-129.57%-7,644.8萬
373.71%2.58億
119.50%5,456.7萬
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)2024/06/30(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
經營活動現金流量(間接法)
經營活動產生的現金 118.38%6.54億-80.18%3億642.12%15.12億-76.91%2.04億637.11%8.82億-110.18%-1.64億842.87%16.14億-60.52%1.71億111.48%4.34億373.50%2.05億
扣除非現金調整前淨利潤 5.87%8.52億19.33%8.05億23.32%6.74億55.90%5.47億16.91%3.51億-32.40%3億12.84%4.44億359.01%3.93億-160.68%-1.52億92.67%2.5億
非現金項目調整總額 -14.12%9,340.9萬-5.51%1.09億16.55%1.15億-59.33%9,877.7萬-38.77%2.43億359.04%3.97億-54.64%8,642萬-23.09%1.91億20.04%2.48億28.19%2.06億
-折舊與攤銷 12.66%9,582.5萬-2.94%8,506萬9.69%8,763.7萬-15.56%7,989.6萬5.75%9,461.5萬15.75%8,946.7萬-3.63%7,729.5萬-18.39%8,020.4萬-14.52%9,827.5萬-14.14%1.15億
-在損益中確認的減值損失回撥 -----------------40.00%1.48億--2.47億----------------
-資產準備金與勾銷 --------------------------------87.02%4,171.2萬-2.67%2,230.4萬
-處置利潤 -129.27%-32.7萬-96.27%111.7萬1,083.37%2,997.3萬81.77%-304.8萬-3,807.98%-1,672.3萬4,911.11%45.1萬-99.97%9,000-4.48%2,610.9萬632.00%2,733.3萬105.39%373.4萬
-匯兌損益淨額 -96.31%-2,117.8萬-54.60%-1,078.8萬24.19%-697.8萬-87.34%-920.4萬-179.32%-491.3萬170.01%619.4萬110.51%229.4萬-152.08%-2,183.7萬512.55%4,193.2萬-3,454.46%-1,016.4萬
-以股票支付的報酬 36.67%1,710.2萬--1,251.3萬--0----------------------------
-養老金及員工福利費用 --------------------------------395.97%1,116.1萬---377.1萬
-其他非現金項目 -90.48%198.7萬365.04%2,087.1萬-85.58%448.8萬45.30%3,113.3萬-59.64%2,142.6萬678.25%5,309.2萬-93.57%682.2萬288.05%1.06億-65.54%2,733萬8.41%7,931.4萬
營運資本變動 52.60%-2.91億-184.99%-6.14億263.43%7.22億-253.16%-4.42億133.51%2.89億-179.43%-8.61億362.67%10.84億-222.19%-4.13億234.23%3.38億31.23%-2.52億
-應收款(增)減 248.36%5.46億34.53%-3.68億-177.04%-5.62億203.10%7.29億7.98%-7.08億-181.37%-7.69億229.65%9.45億-1,178.48%-7.29億67.47%6,757.7萬108.70%4,035.2萬
-存貨(增)減 197.62%7.37億122.17%2.48億-290.05%-11.17億167.03%5.88億-378.99%-8.77億34.72%-1.83億-479.68%-2.8億1,241.69%7,383.3萬-102.29%-646.7萬231.10%2.82億
-預付費用(增)減 473.08%1.01億-210.30%-2,714.8萬124.73%2,461.3萬-2,673.86%-9,953.1萬126.69%386.7萬-362.19%-1,449.1萬155.75%552.7萬-229.71%-991.4萬-89.52%764.3萬189.09%7,291.2萬
-應付款(減)增 25.28%-2.71億-140.01%-3.62億216.79%9.06億-203.95%-7.75億765.43%7.46億-136.96%-1.12億280.06%3.03億-45.87%7,979.8萬146.30%1.47億-199.45%-3.18億
-應計費用(減)增 -206.86%-426.7萬159.53%399.3萬83.50%-670.8萬-299.55%-4,066.4萬3.81%2,037.8萬427.73%1,963.1萬58.45%-599萬-159.46%-1,441.5萬288.62%2,424.3萬39.66%-1,285.3萬
-貸款、租賃及其他損失準備金 -133.35%-2,478.7萬303.15%7,433.3萬-40.92%1,843.8萬94.75%3,120.9萬192.08%1,602.5萬-166.54%-1,740.4萬614.28%2,615.7萬--366.2萬--------
-其他流動資產變動 -654.32%-13.75億-112.50%-1.82億266.83%14.59億-180.50%-8.74億404.58%10.86億138.39%2.15億-50.71%9,030.6萬88.33%1.83億130.81%9,728.5萬-427.81%-3.16億
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) 15.82%-1,460萬13.27%-1,734.4萬19.76%-1,999.7萬17.13%-2,492.2萬18.44%-3,007.2萬7.70%-3,687.3萬13.23%-3,994.7萬19.40%-4,604萬10.95%-5,712萬4.16%-6,414.3萬
已收到的利息(經營活動產生的現金流) -13.98%152.6萬22.43%177.4萬45.19%144.9萬2.57%99.8萬-29.65%97.3萬-14.47%138.3萬67.05%161.7萬-32.02%96.8萬-1.79%142.4萬-21.41%145萬
已支付退稅 -43.83%-1.4億-4.57%-9,737.7萬-324.35%-9,312.3萬133.25%4,150.7萬11.86%-1.25億-111.77%-1.42億-601.87%-6,688.1萬82.72%-952.9萬-46.14%-5,515.2萬45.43%-3,773.9萬
其他經營現金流入(流出) 283.5萬00099.99%-1,000-108.79%-719.1萬69,396.61%8,177萬-116.50%-11.8萬71,600.00%71.5萬99.98%-1,000
經營活動現金淨額 170.00%5.04億-86.66%1.87億532.68%14億-69.61%2.21億308.92%7.28億-121.91%-3.49億1,265.75%15.91億-64.00%1.16億209.26%3.23億148.63%1.05億
投資活動現金流量
物業、廠房及設備交易淨額 40.60%-7,492.8萬57.64%-1.26億-12,365.03%-2.98億-88.45%242.8萬119.38%2,102.8萬-10.47%-1.08億47.93%-9,819.2萬-130.97%-1.89億1,422.70%6.09億-104.15%-4,604.1萬
無形資產交易淨額 38.58%-301.4萬57.83%-490.7萬31.16%-1,163.5萬-569.61%-1,690.1萬66.62%-252.4萬-51.46%-756.1萬-25.43%-499.2萬59.68%-398萬-147.68%-987萬-63.12%-398.5萬
業務交易淨額 -------------------3.42億-------2,620.8萬------------
投資產品交易淨額 9.88%-760.5萬-21.51%-843.9萬-68.04%-694.5萬-104.60%-413.3萬35.65%-202萬-111.80%-313.9萬451.02%2,660萬-106.11%-757.8萬3,291.28%1.24億-93.02%366萬
其他投資變動淨額 98.30%-6.4萬-53,557.14%-375.6萬99.78%-7,000-132.76%-312.9萬571.42%955.1萬-250.41%-202.6萬262.48%134.7萬86.24%-82.9萬-320.74%-602.4萬251.02%272.9萬
投資活動現金淨額 40.23%-8,561.1萬54.72%-1.43億-1,355.63%-3.16億93.12%-2,173.5萬-160.51%-3.16億-19.48%-1.21億49.52%-1.01億-128.02%-2.01億1,743.59%7.17億-186.34%-4,363.7萬
融資活動現金流量
債務發行/償還的淨額 0.00%-1.21億-383.26%-1.21億142.87%4,286.4萬78.95%-9,999.6萬-357.53%-4.75億67.29%-1.04億14.43%-3.17億49.06%-3.71億-2,981.21%-7.28億88.39%-2,363.5萬
普通股發行/回購的淨額 --6.68億--0101.52%503.9萬---3.32億-------2萬------1.64億--------
租賃融資增減 --------------------------------30.91%-50.3萬28.42%-72.8萬
已支付現金股息 -34.09%-5,657.8萬-20.10%-4,219.4萬---3,513.3萬----------------------------
非控制性權益現金股息 ---------------------50.00%-780萬-100.00%-520萬60.00%-260萬0.00%-650萬16.67%-650萬
其他籌資費用淨額 ---756.8萬-------1,000---------------------100.02%-1,000--414萬
融資活動現金淨額 394.65%4.82億-1,381.31%-1.64億102.96%1,276.9萬9.13%-4.32億-325.48%-4.75億65.40%-1.12億-54.12%-3.23億71.53%-2.09億-2,651.37%-7.35億87.42%-2,672.3萬
現金淨流量
期初現金流 -4.27%24.98億74.74%26.1億-12.63%14.93億-3.37%17.09億-25.02%17.69億97.46%23.59億-18.60%11.95億21.16%14.68億4.08%12.11億-24.43%11.64億
現金變動 849.41%9.01億-110.96%-1.2億572.42%10.96億-271.10%-2.32億89.24%-6,253.6萬-149.84%-5.81億496.98%11.67億-196.21%-2.94億792.20%3.05億109.08%3,423.3萬
匯率變動影響 329.11%3,700.2萬-56.57%862.3萬22.32%1,985.7萬444.00%1,623.3萬133.66%298.4萬-304.93%-886.4萬-110.46%-218.9萬142.62%2,092.2萬-470.49%-4,909.4萬1,990.06%1,325.1萬
現金變動之外的其他現金調整 --1,000----------------0.00%-1,000-200.00%-1,000--1,000------1,000
期末現金 37.53%34.36億-4.27%24.98億74.74%26.1億-12.63%14.93億-3.37%17.09億-25.02%17.69億97.46%23.59億-18.60%11.95億21.16%14.68億4.08%12.11億
自由現金流 668.83%4.26億-94.92%5,537.6萬507.44%10.9億-73.90%1.79億247.97%6.88億-131.28%-4.65億2,043.11%14.85億-129.57%-7,644.8萬373.71%2.58億119.50%5,456.7萬
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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