日本市場個股詳情

6752 松下

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  • 1142.0
  • +27.5+2.47%
延時20分鐘行情已收盤 08/16 15:00 (東京)
2.80萬億總市值6.01市盈率(靜)

松下關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
(Q2)2023/09/30
(Q1)2023/06/30
(FY)2023/03/31
(Q4)2023/03/31
(Q3)2022/12/31
(Q2)2022/09/30
經營活動現金流量(間接法)
經營活動產生的現金
-13.14%2,280億
50.82%9,295.93億
21.61%2,715.25億
58.85%2,263.14億
64.95%1,692.76億
77.38%2,624.78億
54.70%6,163.51億
33.46%2,232.79億
61.91%1,424.69億
774.54%1,026.25億
扣除非現金調整前淨利潤
-63.08%762.39億
65.90%4,654.43億
-52.52%512.65億
105.37%1,162.13億
44.22%914.65億
292.85%2,065億
5.70%2,805.56億
76.30%1,079.81億
31.37%565.88億
-20.59%634.22億
非現金項目調整總額
262.35%1,025.03億
-58.94%1,670.39億
63.86%1,191.65億
-41.55%502.93億
-39.72%607.18億
-142.85%-631.37億
29.12%4,068.21億
-18.37%727.25億
-20.69%860.39億
567.11%1,007.24億
-折舊與攤銷
6.32%1,025.03億
4.63%3,999.84億
7.04%1,043.44億
4.19%1,003.09億
3.72%989.17億
3.50%964.14億
12.72%3,822.89億
4.31%974.8億
9.63%962.79億
18.04%953.72億
-在損益中確認的減值損失回撥
----
728.89%187.66億
1,059.93%168.19億
270.58%17.38億
220.54%1.35億
-83.81%7,400萬
-72.19%22.64億
-74.82%14.5億
-19.28%4.69億
-107.00%-1.12億
-遞延所得稅
----
-212.14%-402.04億
111.04%51.9億
-12.40%282.4億
-18.62%241.33億
-566.02%-977.67億
-62.24%358.53億
-337.84%-470.19億
5.57%322.39億
70.79%296.54億
-其他非現金項目
----
-1,456.92%-2,115.07億
-134.53%-71.88億
-86.26%-799.94億
-158.23%-624.67億
-288.94%-618.58億
89.32%-135.85億
169.64%208.14億
-310.75%-429.48億
80.06%-241.9億
營運資本變動
-58.65%492.58億
518.31%2,971.11億
137.46%1,010.95億
37,953.16%598.08億
127.78%170.93億
329.42%1,191.15億
61.00%-710.26億
150.98%425.73億
99.75%-1.58億
16.32%-615.21億
-應收款(增)減
13.33%800.74億
95.97%505.54億
-82.49%-541.43億
-1.47%361.06億
83.94%-20.62億
123.14%706.53億
147.91%257.97億
-31.47%-296.69億
171.43%366.46億
-269.79%-128.43億
-存貨(增)減
14.57%-378.62億
226.69%1,528.15億
-2.37%1,256.75億
243.75%324.3億
139.83%390.29億
65.59%-443.19億
46.61%-1,206.17億
908.17%1,287.25億
51.79%-225.6億
-28.14%-979.91億
-應付款(減)增
-66.02%165.32億
-510.22%-221.11億
70.66%-284.23億
-145.74%-197.87億
-143.49%-225.58億
-16.75%486.57億
-92.98%53.9億
-622.77%-968.74億
-124.29%-80.52億
4,583.32%518.72億
-貸款、租賃及其他損失準備金
----
-417.53%-202.01億
-113.20%-26.68億
-18,938.33%-114.23億
-7.47%-67.33億
108.27%6.23億
144.73%63.62億
489.62%202.18億
99.34%-6,000萬
-221.79%-62.65億
-其他流動資產變動
-121.81%-94.86億
1,029.83%1,360.54億
200.67%606.54億
466.63%224.82億
154.10%94.17億
862.51%435.01億
-65.68%120.42億
-39.78%201.73億
-158.60%-61.32億
143.11%37.06億
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)
-0.05%39.89億
-114.43%-5,800萬
-3.00%6.78億
93.90%1.59億
14.32%32.1億
110.72%39.91億
630.91%4.02億
144.41%6.99億
60.78%8,200萬
已付利息(經營活動產生的現金流)
0.70%-218.05億
9.31%-47.27億
-16.78%-66.67億
3.05%-58.84億
8.88%-45.27億
-20.78%-219.58億
-26.41%-52.12億
-14.48%-57.09億
-20.80%-60.69億
已收到的利息(經營活動產生的現金流)
93.93%423.33億
61.08%101.14億
95.14%134.78億
72.98%101.97億
210.92%85.44億
72.23%218.29億
87.04%62.79億
98.48%69.07億
124.57%58.95億
已支付退稅
12.32%-872.12億
53.25%-82.89億
31.81%-272.24億
45.37%-86.13億
-65.40%-430.86億
30.03%-994.71億
0.94%-177.3億
-63.55%-399.25億
77.78%-157.66億
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
0.61%2,280億
66.47%8,668.98億
29.73%2,685.65億
97.79%2,065.79億
90.32%1,651.35億
84.97%2,266.19億
106.13%5,207.42億
39.22%2,070.18億
67.49%1,044.41億
198.03%867.67億
投資活動現金流量
物業、廠房及設備交易淨額
-71.47%-1,921.92億
-93.84%-5,041.01億
-83.22%-1,706.56億
-73.73%-1,042.35億
-123.73%-1,171.25億
-105.42%-1,120.85億
-51.91%-2,600.55億
-557.59%-931.41億
-12.31%-599.98億
-11.61%-523.52億
無形資產交易淨額
----
-23.84%-997.29億
-39.62%-311.89億
-31.46%-254.46億
-9.99%-245.04億
-12.27%-185.9億
-26.21%-805.33億
-25.41%-223.39億
-20.66%-193.57億
-49.90%-222.78億
業務交易淨額
-201.28%-60.05億
663.55%275.35億
157.21%65.37億
-1,043.18%-223.25億
506.95%373.94億
398.39%59.29億
99.16%-48.86億
-197.11%-114.27億
-12.30%23.67億
101.04%61.61億
其他投資變動淨額
-1,128.08%-165.3億
-276.82%-25.48億
-143.26%-32.28億
59.17%19.45億
-96.98%8,100萬
-18.38%-13.46億
-93.06%14.41億
-352.76%-13.27億
-85.86%12.22億
-74.48%26.83億
投資活動現金淨額
-70.29%-2,147.27億
-68.25%-5,788.43億
-54.82%-1,985.36億
-98.06%-1,500.61億
-58.32%-1,041.54億
-69.83%-1,260.92億
56.79%-3,440.33億
-263.29%-1,282.34億
-30.36%-757.66億
89.78%-657.86億
融資活動現金流量
債務發行/償還的淨額
-1,107.80%-262.43億
126.80%1,136.61億
106.80%45.54億
-244.05%-830.13億
270.38%1,895.16億
100.86%26.04億
-293.53%-4,240.98億
-137.76%-669.43億
191.86%576.27億
-211.31%-1,112.33億
普通股發行/回購的淨額
16.67%-1,000萬
2.00%-4,900萬
-37.50%-1,100萬
-57.14%-1,100萬
-114.29%-1,500萬
57.14%-1,200萬
-16.28%-5,000萬
11.11%-800萬
41.67%-700萬
41.67%-700萬
租賃融資增減
----
-1.14%-757.22億
3.28%-194.9億
6.99%-171.03億
-10.16%-192.75億
-5.42%-198.54億
-8.78%-748.7億
-3.07%-201.5億
-3.54%-183.89億
-5.21%-174.98億
已支付現金股息
-16.68%-408.51億
-8.34%-758.62億
--0
-16.68%-408.5億
--0
-0.01%-350.12億
-20.02%-700.19億
--0
-0.01%-350.11億
--0
非控制性權益現金股息
-13.97%-103.58億
25.28%-175.94億
9.39%-72.3億
98.17%-1.16億
-46.46%-11.6億
-7.77%-90.88億
-15.81%-235.46億
3.37%-79.79億
-1,810.24%-63.42億
76.25%-7.92億
其他籌資費用淨額
120.42%1.93億
-93.54%-279.28億
-601.97%-234.67億
102.75%1.79億
-309.70%-36.95億
93.42%-9.45億
-13.68%-144.3億
793.62%46.75億
-86.77%-65.09億
140.86%17.62億
融資活動現金淨額
-24.01%-772.69億
86.25%-834.94億
49.51%-456.44億
-1,532.65%-1,409.14億
229.43%1,653.71億
83.61%-623.07億
-1,130.41%-6,070.13億
-160.76%-904.05億
92.77%-86.31億
-268.91%-1,277.68億
現金淨流量
期初現金流
36.62%1.12萬億
-32.04%8,194.99億
26.61%1.04萬億
37.51%1.16萬億
-4.00%9,099.48億
-32.04%8,194.99億
-24.31%1.21萬億
-7.83%8,200.97億
-13.14%8,471.92億
-41.68%9,478.83億
現金變動
-267.44%-639.96億
147.54%2,045.61億
309.84%243.85億
-521.05%-843.96億
311.97%2,263.52億
111.51%382.2億
11.21%-4,303.04億
-104.43%-116.21億
117.42%200.44億
83.74%-1,067.87億
匯率變動影響
20.07%627.09億
117.54%955.65億
416.41%569.24億
29.38%-422.84億
52.36%286.96億
-29.37%522.29億
-54.62%439.3億
-79.60%110.23億
-302.33%-598.77億
185.71%188.34億
期末現金
22.90%1.12萬億
36.62%1.12萬億
36.62%1.12萬億
26.61%1.04萬億
37.51%1.16萬億
-4.00%9,099.48億
-32.04%8,194.99億
-32.04%8,194.99億
-7.83%8,200.97億
-13.14%8,471.92億
自由現金流
-67.21%305.47億
45.63%2,196.99億
-26.25%638.74億
273.17%414.41億
284.80%212.14億
95.59%931.7億
434.15%1,508.56億
34.54%866.03億
186.53%111.05億
103.61%55.13億
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
(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31(Q2)2023/09/30(Q1)2023/06/30(FY)2023/03/31(Q4)2023/03/31(Q3)2022/12/31(Q2)2022/09/30
經營活動現金流量(間接法)
經營活動產生的現金 -13.14%2,280億50.82%9,295.93億21.61%2,715.25億58.85%2,263.14億64.95%1,692.76億77.38%2,624.78億54.70%6,163.51億33.46%2,232.79億61.91%1,424.69億774.54%1,026.25億
扣除非現金調整前淨利潤 -63.08%762.39億65.90%4,654.43億-52.52%512.65億105.37%1,162.13億44.22%914.65億292.85%2,065億5.70%2,805.56億76.30%1,079.81億31.37%565.88億-20.59%634.22億
非現金項目調整總額 262.35%1,025.03億-58.94%1,670.39億63.86%1,191.65億-41.55%502.93億-39.72%607.18億-142.85%-631.37億29.12%4,068.21億-18.37%727.25億-20.69%860.39億567.11%1,007.24億
-折舊與攤銷 6.32%1,025.03億4.63%3,999.84億7.04%1,043.44億4.19%1,003.09億3.72%989.17億3.50%964.14億12.72%3,822.89億4.31%974.8億9.63%962.79億18.04%953.72億
-在損益中確認的減值損失回撥 ----728.89%187.66億1,059.93%168.19億270.58%17.38億220.54%1.35億-83.81%7,400萬-72.19%22.64億-74.82%14.5億-19.28%4.69億-107.00%-1.12億
-遞延所得稅 -----212.14%-402.04億111.04%51.9億-12.40%282.4億-18.62%241.33億-566.02%-977.67億-62.24%358.53億-337.84%-470.19億5.57%322.39億70.79%296.54億
-其他非現金項目 -----1,456.92%-2,115.07億-134.53%-71.88億-86.26%-799.94億-158.23%-624.67億-288.94%-618.58億89.32%-135.85億169.64%208.14億-310.75%-429.48億80.06%-241.9億
營運資本變動 -58.65%492.58億518.31%2,971.11億137.46%1,010.95億37,953.16%598.08億127.78%170.93億329.42%1,191.15億61.00%-710.26億150.98%425.73億99.75%-1.58億16.32%-615.21億
-應收款(增)減 13.33%800.74億95.97%505.54億-82.49%-541.43億-1.47%361.06億83.94%-20.62億123.14%706.53億147.91%257.97億-31.47%-296.69億171.43%366.46億-269.79%-128.43億
-存貨(增)減 14.57%-378.62億226.69%1,528.15億-2.37%1,256.75億243.75%324.3億139.83%390.29億65.59%-443.19億46.61%-1,206.17億908.17%1,287.25億51.79%-225.6億-28.14%-979.91億
-應付款(減)增 -66.02%165.32億-510.22%-221.11億70.66%-284.23億-145.74%-197.87億-143.49%-225.58億-16.75%486.57億-92.98%53.9億-622.77%-968.74億-124.29%-80.52億4,583.32%518.72億
-貸款、租賃及其他損失準備金 -----417.53%-202.01億-113.20%-26.68億-18,938.33%-114.23億-7.47%-67.33億108.27%6.23億144.73%63.62億489.62%202.18億99.34%-6,000萬-221.79%-62.65億
-其他流動資產變動 -121.81%-94.86億1,029.83%1,360.54億200.67%606.54億466.63%224.82億154.10%94.17億862.51%435.01億-65.68%120.42億-39.78%201.73億-158.60%-61.32億143.11%37.06億
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) -0.05%39.89億-114.43%-5,800萬-3.00%6.78億93.90%1.59億14.32%32.1億110.72%39.91億630.91%4.02億144.41%6.99億60.78%8,200萬
已付利息(經營活動產生的現金流) 0.70%-218.05億9.31%-47.27億-16.78%-66.67億3.05%-58.84億8.88%-45.27億-20.78%-219.58億-26.41%-52.12億-14.48%-57.09億-20.80%-60.69億
已收到的利息(經營活動產生的現金流) 93.93%423.33億61.08%101.14億95.14%134.78億72.98%101.97億210.92%85.44億72.23%218.29億87.04%62.79億98.48%69.07億124.57%58.95億
已支付退稅 12.32%-872.12億53.25%-82.89億31.81%-272.24億45.37%-86.13億-65.40%-430.86億30.03%-994.71億0.94%-177.3億-63.55%-399.25億77.78%-157.66億
其他經營現金流入(流出) 0000000000
經營活動現金淨額 0.61%2,280億66.47%8,668.98億29.73%2,685.65億97.79%2,065.79億90.32%1,651.35億84.97%2,266.19億106.13%5,207.42億39.22%2,070.18億67.49%1,044.41億198.03%867.67億
投資活動現金流量
物業、廠房及設備交易淨額 -71.47%-1,921.92億-93.84%-5,041.01億-83.22%-1,706.56億-73.73%-1,042.35億-123.73%-1,171.25億-105.42%-1,120.85億-51.91%-2,600.55億-557.59%-931.41億-12.31%-599.98億-11.61%-523.52億
無形資產交易淨額 -----23.84%-997.29億-39.62%-311.89億-31.46%-254.46億-9.99%-245.04億-12.27%-185.9億-26.21%-805.33億-25.41%-223.39億-20.66%-193.57億-49.90%-222.78億
業務交易淨額 -201.28%-60.05億663.55%275.35億157.21%65.37億-1,043.18%-223.25億506.95%373.94億398.39%59.29億99.16%-48.86億-197.11%-114.27億-12.30%23.67億101.04%61.61億
其他投資變動淨額 -1,128.08%-165.3億-276.82%-25.48億-143.26%-32.28億59.17%19.45億-96.98%8,100萬-18.38%-13.46億-93.06%14.41億-352.76%-13.27億-85.86%12.22億-74.48%26.83億
投資活動現金淨額 -70.29%-2,147.27億-68.25%-5,788.43億-54.82%-1,985.36億-98.06%-1,500.61億-58.32%-1,041.54億-69.83%-1,260.92億56.79%-3,440.33億-263.29%-1,282.34億-30.36%-757.66億89.78%-657.86億
融資活動現金流量
債務發行/償還的淨額 -1,107.80%-262.43億126.80%1,136.61億106.80%45.54億-244.05%-830.13億270.38%1,895.16億100.86%26.04億-293.53%-4,240.98億-137.76%-669.43億191.86%576.27億-211.31%-1,112.33億
普通股發行/回購的淨額 16.67%-1,000萬2.00%-4,900萬-37.50%-1,100萬-57.14%-1,100萬-114.29%-1,500萬57.14%-1,200萬-16.28%-5,000萬11.11%-800萬41.67%-700萬41.67%-700萬
租賃融資增減 -----1.14%-757.22億3.28%-194.9億6.99%-171.03億-10.16%-192.75億-5.42%-198.54億-8.78%-748.7億-3.07%-201.5億-3.54%-183.89億-5.21%-174.98億
已支付現金股息 -16.68%-408.51億-8.34%-758.62億--0-16.68%-408.5億--0-0.01%-350.12億-20.02%-700.19億--0-0.01%-350.11億--0
非控制性權益現金股息 -13.97%-103.58億25.28%-175.94億9.39%-72.3億98.17%-1.16億-46.46%-11.6億-7.77%-90.88億-15.81%-235.46億3.37%-79.79億-1,810.24%-63.42億76.25%-7.92億
其他籌資費用淨額 120.42%1.93億-93.54%-279.28億-601.97%-234.67億102.75%1.79億-309.70%-36.95億93.42%-9.45億-13.68%-144.3億793.62%46.75億-86.77%-65.09億140.86%17.62億
融資活動現金淨額 -24.01%-772.69億86.25%-834.94億49.51%-456.44億-1,532.65%-1,409.14億229.43%1,653.71億83.61%-623.07億-1,130.41%-6,070.13億-160.76%-904.05億92.77%-86.31億-268.91%-1,277.68億
現金淨流量
期初現金流 36.62%1.12萬億-32.04%8,194.99億26.61%1.04萬億37.51%1.16萬億-4.00%9,099.48億-32.04%8,194.99億-24.31%1.21萬億-7.83%8,200.97億-13.14%8,471.92億-41.68%9,478.83億
現金變動 -267.44%-639.96億147.54%2,045.61億309.84%243.85億-521.05%-843.96億311.97%2,263.52億111.51%382.2億11.21%-4,303.04億-104.43%-116.21億117.42%200.44億83.74%-1,067.87億
匯率變動影響 20.07%627.09億117.54%955.65億416.41%569.24億29.38%-422.84億52.36%286.96億-29.37%522.29億-54.62%439.3億-79.60%110.23億-302.33%-598.77億185.71%188.34億
期末現金 22.90%1.12萬億36.62%1.12萬億36.62%1.12萬億26.61%1.04萬億37.51%1.16萬億-4.00%9,099.48億-32.04%8,194.99億-32.04%8,194.99億-7.83%8,200.97億-13.14%8,471.92億
自由現金流 -67.21%305.47億45.63%2,196.99億-26.25%638.74億273.17%414.41億284.80%212.14億95.59%931.7億434.15%1,508.56億34.54%866.03億186.53%111.05億103.61%55.13億
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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