日本市場個股詳情

7878 光・彩

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延時20分鐘行情交易中 11/19 15:30 (東京)
18.49億總市值18.99市盈率(靜)

光・彩關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/01/31
(FY)2023/01/31
(FY)2022/01/31
(FY)2021/01/31
(FY)2020/01/31
(FY)2019/01/31
(FY)2018/01/31
(FY)2017/01/31
(FY)2016/01/31
(FY)2015/01/31
經營活動現金流量(間接法)
經營活動產生的現金
158.90%1.51億
-3,429.67%-2.57億
-86.37%771.9萬
171.33%5,663.8萬
-24.20%2,087.4萬
159.27%2,753.7萬
-96.60%1,062.1萬
150.55%3.12億
36.32%1.25億
346.35%9,132.8萬
扣除非現金調整前淨利潤
154.72%1.16億
128.89%4,547.2萬
-51.67%1,986.6萬
-60.77%4,110.7萬
8.28%1.05億
814.46%9,677.4萬
-122.18%-1,354.5萬
142.24%6,105.5萬
-128.04%-1.45億
-558.56%-6,338.7萬
非現金項目調整總額
23.00%6,373.9萬
54.39%5,182.1萬
89.87%3,356.4萬
-69.93%1,767.7萬
-9.14%5,879.3萬
-50.35%6,470.5萬
242.69%1.3億
-156.45%-9,133.5萬
81.42%1.62億
1,196.12%8,918.6萬
-折舊與攤銷
-6.10%5,670.6萬
13.56%6,038.7萬
13.28%5,317.6萬
11.27%4,694.3萬
12.69%4,219萬
9.84%3,743.8萬
12.22%3,408.4萬
19.17%3,037.2萬
-23.69%2,548.6萬
-10.21%3,339.8萬
-在損益中確認的減值損失回撥
----
----
----
----
----
--826.5萬
----
----
----
--5,130.7萬
-資產準備金與勾銷
----
----
----
----
----
----
----
----
13,020.94%6,140.6萬
107.29%46.8萬
-處置利潤
--0
-635.70%-1,481.7萬
---201.4萬
--0
-116.86%-17.1萬
1,202.17%101.4萬
80.79%-9.2萬
-100.88%-47.9萬
--5,433.3萬
----
-匯兌損益淨額
96.21%-14.8萬
-60.57%-390.5萬
-252.67%-243.2萬
187.03%159.3萬
165.76%55.5萬
-204.07%-84.4萬
--81.1萬
----
----
----
-養老金及員工福利費用
----
----
----
----
----
----
----
----
-208.89%-196萬
--180萬
-其他非現金項目
-29.29%718.1萬
166.97%1,015.6萬
50.85%-1,516.6萬
-290.26%-3,085.9萬
-13.88%1,621.9萬
-80.28%1,883.2萬
178.79%9,552.1萬
-637.91%-1.21億
918.39%2,253.7萬
109.26%221.3萬
營運資本變動
92.04%-2,819萬
-675.14%-3.54億
-2,027.98%-4,570.9萬
98.49%-214.8萬
-6.54%-1.43億
-26.17%-1.34億
-148.87%-1.06億
102.55%2.17億
63.66%1.07億
213.42%6,552.9萬
-應收款(增)減
-88.64%-5,367.3萬
10.74%-2,845.2萬
-203.39%-3,187.5萬
143.35%3,083.1萬
-540.18%-7,111.8萬
85.64%-1,110.9萬
-235.03%-7,734.4萬
-48.49%5,728萬
580.27%1.11億
27.83%-2,315.3萬
-存貨(增)減
70.51%-5,557.9萬
-16.26%-1.88億
-87.51%-1.62億
-3.69%-8,645.1萬
41.62%-8,337.4萬
-3,135.82%-1.43億
-96.81%470.4萬
25.42%1.48億
385.82%1.18億
-116.72%-4,119.4萬
-應付款(減)增
140.18%6,053.6萬
-217.79%-1.51億
160.55%1.28億
74.76%4,908.7萬
1,569.86%2,808.9萬
96.22%-191.1萬
-334.63%-5,060.9萬
142.28%2,157萬
-141.58%-5,102.2萬
1,916.61%1.23億
-應計費用(減)增
105.60%1,369.3萬
-63.15%666萬
925.34%1,807.5萬
88.92%-219萬
-150.97%-1,977萬
264.43%3,879萬
201.38%1,064.4萬
49.52%-1,049.9萬
-292.52%-2,080萬
10,924.49%1,080.4萬
-貸款、租賃及其他損失準備金
3.59%683.3萬
188.54%659.6萬
-65.23%228.6萬
88.94%657.5萬
105.21%348萬
-1,136.36%-6,681.4萬
430.62%644.7萬
--121.5萬
----
----
-其他流動資產變動
----
----
--1.7萬
--0
-100.03%-1.7萬
--4,990.5萬
----
----
-1,276.81%-4,986.8萬
-11,583.87%-362.2萬
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)
-23.44%-514.5萬
7.03%-416.8萬
9.12%-448.3萬
-121.31%-493.3萬
1.33%-222.9萬
25.49%-225.9萬
-0.90%-303.2萬
5.80%-300.5萬
-0.25%-319萬
7.61%-318.2萬
已收到的利息(經營活動產生的現金流)
67,400.00%67.5萬
-99.83%1,000
-4.92%59.9萬
-26.49%63萬
31.04%85.7萬
11.79%65.4萬
22.13%58.5萬
-10.30%47.9萬
-21.59%53.4萬
0.74%68.1萬
已支付退稅
-349.34%-2,289.4萬
135.14%918.2萬
11.26%-2,613.1萬
-107.93%-2,944.7萬
30.56%-1,416.2萬
-2.66%-2,039.5萬
-453.83%-1,986.6萬
-92.75%-358.7萬
76.41%-186.1萬
-29.97%-788.8萬
其他經營現金流入(流出)
0.00%-1,000
-100.02%-1,000
-83.50%644.2萬
3,903.2萬
0
0
6.52%-1.17億
-1.25億
0
0
經營活動現金淨額
149.21%1.24億
-1,489.52%-2.52億
-125.60%-1,585.4萬
1,059.55%6,192萬
-3.56%534萬
104.31%553.7萬
-171.07%-1.29億
50.72%1.81億
48.24%1.2億
276.30%8,093.9萬
投資活動現金流量
物業、廠房及設備交易淨額
56.43%-2,041.7萬
48.07%-4,685.7萬
-403.94%-9,022.5萬
83.00%-1,790.4萬
-89.98%-1.05億
-5.94%-5,542.7萬
-68.26%-5,232.1萬
-108.29%-3,109.5萬
47.26%-1,492.9萬
-268.63%-2,830.7萬
無形資產交易淨額
-34.17%-803.3萬
65.46%-598.7萬
-101.09%-1,733.6萬
-34.07%-862.1萬
-1,430.95%-643萬
95.17%-42萬
-897.59%-869.9萬
96.00%-87.2萬
-8,157.58%-2,180萬
---26.4萬
業務交易淨額
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----
----
----
----
----
----
----
----
--993.2萬
投資物業交易淨額
----
----
--2,645.9萬
--0
-80.78%1,938.1萬
--1.01億
----
----
----
----
投資產品交易淨額
--0
125.53%2,808.7萬
169.19%1,245.4萬
-131.10%-1,800.1萬
309.66%5,787.8萬
-124.45%-2,760.5萬
--1.13億
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----
----
其他投資變動淨額
-941.45%-1,145.6萬
-664.10%-110萬
7.73%19.5萬
18,200.00%18.1萬
99.98%-1,000
-20.74%-550.2萬
81.57%-455.7萬
2.51%-2,472萬
-203.72%-2,535.7萬
196.02%2,444.8萬
投資活動現金淨額
-54.33%-3,990.6萬
62.23%-2,585.7萬
-54.36%-6,845.3萬
-28.64%-4,434.5萬
-389.58%-3,447.2萬
-74.85%1,190.4萬
183.50%4,733.5萬
8.70%-5,668.7萬
-1,168.79%-6,208.6萬
117.53%580.9萬
融資活動現金流量
債務發行/償還的淨額
-113.27%-3,089萬
435.20%2.33億
-127.04%-6,944萬
86.98%2.57億
490.05%1.37億
0.00%-3,520.8萬
31.39%-3,520.8萬
-147.37%-5,131.4萬
475.36%1.08億
-148.11%-2,885.7萬
普通股發行/回購的淨額
51.02%-21.7萬
-1,745.83%-44.3萬
85.19%-2.4萬
---16.2萬
----
-453.57%-15.5萬
91.88%-2.8萬
-400.00%-34.5萬
77.52%-6.9萬
-124.09%-30.7萬
租賃融資增減
-25.35%-416.9萬
21.05%-332.6萬
0.00%-421.3萬
0.64%-421.3萬
-45.35%-424萬
-119.82%-291.7萬
4.19%-132.7萬
---138.5萬
----
----
已支付現金股息
-0.27%-1,498.1萬
-0.10%-1,494萬
11.64%-1,492.5萬
-10.49%-1,689.2萬
-0.88%-1,528.8萬
-1.58%-1,515.4萬
-0.16%-1,491.9萬
-1.15%-1,489.5萬
-13.01%-1,472.5萬
-39.08%-1,303萬
其他籌資費用淨額
50.00%-1,000
---2,000
----
-100.00%-2,000
50.00%-1,000
-100.00%-2,000
0.00%-1,000
99.93%-1,000
-6.62%-144.9萬
-27.73%-135.9萬
融資活動現金淨額
-123.48%-5,025.8萬
341.58%2.14億
-137.62%-8,860.2萬
99.92%2.36億
320.45%1.18億
-3.79%-5,343.6萬
24.22%-5,148.3萬
-173.79%-6,794萬
311.41%9,207.4萬
-188.15%-4,355.3萬
現金淨流量
期初現金流
-11.78%4.49億
-25.11%5.08億
58.83%6.79億
25.97%4.27億
-9.39%3.39億
-26.28%3.74億
12.18%5.08億
49.31%4.53億
16.24%3.03億
-9.71%2.61億
現金變動
153.05%3,385萬
63.10%-6,381.1萬
-168.32%-1.73億
185.42%2.53億
346.33%8,866.7萬
72.87%-3,599.5萬
-336.04%-1.33億
-62.52%5,621萬
247.20%1.5億
245.71%4,319.5萬
匯率變動影響
-96.21%14.8萬
60.57%390.5萬
252.67%243.2萬
-187.03%-159.3萬
-165.76%-55.5萬
204.07%84.4萬
22.17%-81.1萬
-6,612.50%-104.2萬
101.93%1.6萬
-151.75%-82.8萬
現金變動之外的其他現金調整
----
0.00%-1,000
-200.00%-1,000
--1,000
----
--1,000
----
99.77%-1,000
---44.4萬
----
期末現金
7.58%4.83億
-11.78%4.49億
-25.11%5.08億
58.83%6.79億
25.97%4.27億
-9.39%3.39億
-26.28%3.74億
12.18%5.08億
49.31%4.53億
16.24%3.03億
自由現金流
131.35%9,556.4萬
-147.01%-3.05億
-448.68%-1.23億
133.27%3,539.5萬
-111.47%-1.06億
73.47%-5,031萬
-227.39%-1.9億
78.81%1.49億
58.98%8,325.5萬
197.72%5,236.8萬
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)2024/01/31(FY)2023/01/31(FY)2022/01/31(FY)2021/01/31(FY)2020/01/31(FY)2019/01/31(FY)2018/01/31(FY)2017/01/31(FY)2016/01/31(FY)2015/01/31
經營活動現金流量(間接法)
經營活動產生的現金 158.90%1.51億-3,429.67%-2.57億-86.37%771.9萬171.33%5,663.8萬-24.20%2,087.4萬159.27%2,753.7萬-96.60%1,062.1萬150.55%3.12億36.32%1.25億346.35%9,132.8萬
扣除非現金調整前淨利潤 154.72%1.16億128.89%4,547.2萬-51.67%1,986.6萬-60.77%4,110.7萬8.28%1.05億814.46%9,677.4萬-122.18%-1,354.5萬142.24%6,105.5萬-128.04%-1.45億-558.56%-6,338.7萬
非現金項目調整總額 23.00%6,373.9萬54.39%5,182.1萬89.87%3,356.4萬-69.93%1,767.7萬-9.14%5,879.3萬-50.35%6,470.5萬242.69%1.3億-156.45%-9,133.5萬81.42%1.62億1,196.12%8,918.6萬
-折舊與攤銷 -6.10%5,670.6萬13.56%6,038.7萬13.28%5,317.6萬11.27%4,694.3萬12.69%4,219萬9.84%3,743.8萬12.22%3,408.4萬19.17%3,037.2萬-23.69%2,548.6萬-10.21%3,339.8萬
-在損益中確認的減值損失回撥 ----------------------826.5萬--------------5,130.7萬
-資產準備金與勾銷 --------------------------------13,020.94%6,140.6萬107.29%46.8萬
-處置利潤 --0-635.70%-1,481.7萬---201.4萬--0-116.86%-17.1萬1,202.17%101.4萬80.79%-9.2萬-100.88%-47.9萬--5,433.3萬----
-匯兌損益淨額 96.21%-14.8萬-60.57%-390.5萬-252.67%-243.2萬187.03%159.3萬165.76%55.5萬-204.07%-84.4萬--81.1萬------------
-養老金及員工福利費用 ---------------------------------208.89%-196萬--180萬
-其他非現金項目 -29.29%718.1萬166.97%1,015.6萬50.85%-1,516.6萬-290.26%-3,085.9萬-13.88%1,621.9萬-80.28%1,883.2萬178.79%9,552.1萬-637.91%-1.21億918.39%2,253.7萬109.26%221.3萬
營運資本變動 92.04%-2,819萬-675.14%-3.54億-2,027.98%-4,570.9萬98.49%-214.8萬-6.54%-1.43億-26.17%-1.34億-148.87%-1.06億102.55%2.17億63.66%1.07億213.42%6,552.9萬
-應收款(增)減 -88.64%-5,367.3萬10.74%-2,845.2萬-203.39%-3,187.5萬143.35%3,083.1萬-540.18%-7,111.8萬85.64%-1,110.9萬-235.03%-7,734.4萬-48.49%5,728萬580.27%1.11億27.83%-2,315.3萬
-存貨(增)減 70.51%-5,557.9萬-16.26%-1.88億-87.51%-1.62億-3.69%-8,645.1萬41.62%-8,337.4萬-3,135.82%-1.43億-96.81%470.4萬25.42%1.48億385.82%1.18億-116.72%-4,119.4萬
-應付款(減)增 140.18%6,053.6萬-217.79%-1.51億160.55%1.28億74.76%4,908.7萬1,569.86%2,808.9萬96.22%-191.1萬-334.63%-5,060.9萬142.28%2,157萬-141.58%-5,102.2萬1,916.61%1.23億
-應計費用(減)增 105.60%1,369.3萬-63.15%666萬925.34%1,807.5萬88.92%-219萬-150.97%-1,977萬264.43%3,879萬201.38%1,064.4萬49.52%-1,049.9萬-292.52%-2,080萬10,924.49%1,080.4萬
-貸款、租賃及其他損失準備金 3.59%683.3萬188.54%659.6萬-65.23%228.6萬88.94%657.5萬105.21%348萬-1,136.36%-6,681.4萬430.62%644.7萬--121.5萬--------
-其他流動資產變動 ----------1.7萬--0-100.03%-1.7萬--4,990.5萬---------1,276.81%-4,986.8萬-11,583.87%-362.2萬
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) -23.44%-514.5萬7.03%-416.8萬9.12%-448.3萬-121.31%-493.3萬1.33%-222.9萬25.49%-225.9萬-0.90%-303.2萬5.80%-300.5萬-0.25%-319萬7.61%-318.2萬
已收到的利息(經營活動產生的現金流) 67,400.00%67.5萬-99.83%1,000-4.92%59.9萬-26.49%63萬31.04%85.7萬11.79%65.4萬22.13%58.5萬-10.30%47.9萬-21.59%53.4萬0.74%68.1萬
已支付退稅 -349.34%-2,289.4萬135.14%918.2萬11.26%-2,613.1萬-107.93%-2,944.7萬30.56%-1,416.2萬-2.66%-2,039.5萬-453.83%-1,986.6萬-92.75%-358.7萬76.41%-186.1萬-29.97%-788.8萬
其他經營現金流入(流出) 0.00%-1,000-100.02%-1,000-83.50%644.2萬3,903.2萬006.52%-1.17億-1.25億00
經營活動現金淨額 149.21%1.24億-1,489.52%-2.52億-125.60%-1,585.4萬1,059.55%6,192萬-3.56%534萬104.31%553.7萬-171.07%-1.29億50.72%1.81億48.24%1.2億276.30%8,093.9萬
投資活動現金流量
物業、廠房及設備交易淨額 56.43%-2,041.7萬48.07%-4,685.7萬-403.94%-9,022.5萬83.00%-1,790.4萬-89.98%-1.05億-5.94%-5,542.7萬-68.26%-5,232.1萬-108.29%-3,109.5萬47.26%-1,492.9萬-268.63%-2,830.7萬
無形資產交易淨額 -34.17%-803.3萬65.46%-598.7萬-101.09%-1,733.6萬-34.07%-862.1萬-1,430.95%-643萬95.17%-42萬-897.59%-869.9萬96.00%-87.2萬-8,157.58%-2,180萬---26.4萬
業務交易淨額 --------------------------------------993.2萬
投資物業交易淨額 ----------2,645.9萬--0-80.78%1,938.1萬--1.01億----------------
投資產品交易淨額 --0125.53%2,808.7萬169.19%1,245.4萬-131.10%-1,800.1萬309.66%5,787.8萬-124.45%-2,760.5萬--1.13億------------
其他投資變動淨額 -941.45%-1,145.6萬-664.10%-110萬7.73%19.5萬18,200.00%18.1萬99.98%-1,000-20.74%-550.2萬81.57%-455.7萬2.51%-2,472萬-203.72%-2,535.7萬196.02%2,444.8萬
投資活動現金淨額 -54.33%-3,990.6萬62.23%-2,585.7萬-54.36%-6,845.3萬-28.64%-4,434.5萬-389.58%-3,447.2萬-74.85%1,190.4萬183.50%4,733.5萬8.70%-5,668.7萬-1,168.79%-6,208.6萬117.53%580.9萬
融資活動現金流量
債務發行/償還的淨額 -113.27%-3,089萬435.20%2.33億-127.04%-6,944萬86.98%2.57億490.05%1.37億0.00%-3,520.8萬31.39%-3,520.8萬-147.37%-5,131.4萬475.36%1.08億-148.11%-2,885.7萬
普通股發行/回購的淨額 51.02%-21.7萬-1,745.83%-44.3萬85.19%-2.4萬---16.2萬-----453.57%-15.5萬91.88%-2.8萬-400.00%-34.5萬77.52%-6.9萬-124.09%-30.7萬
租賃融資增減 -25.35%-416.9萬21.05%-332.6萬0.00%-421.3萬0.64%-421.3萬-45.35%-424萬-119.82%-291.7萬4.19%-132.7萬---138.5萬--------
已支付現金股息 -0.27%-1,498.1萬-0.10%-1,494萬11.64%-1,492.5萬-10.49%-1,689.2萬-0.88%-1,528.8萬-1.58%-1,515.4萬-0.16%-1,491.9萬-1.15%-1,489.5萬-13.01%-1,472.5萬-39.08%-1,303萬
其他籌資費用淨額 50.00%-1,000---2,000-----100.00%-2,00050.00%-1,000-100.00%-2,0000.00%-1,00099.93%-1,000-6.62%-144.9萬-27.73%-135.9萬
融資活動現金淨額 -123.48%-5,025.8萬341.58%2.14億-137.62%-8,860.2萬99.92%2.36億320.45%1.18億-3.79%-5,343.6萬24.22%-5,148.3萬-173.79%-6,794萬311.41%9,207.4萬-188.15%-4,355.3萬
現金淨流量
期初現金流 -11.78%4.49億-25.11%5.08億58.83%6.79億25.97%4.27億-9.39%3.39億-26.28%3.74億12.18%5.08億49.31%4.53億16.24%3.03億-9.71%2.61億
現金變動 153.05%3,385萬63.10%-6,381.1萬-168.32%-1.73億185.42%2.53億346.33%8,866.7萬72.87%-3,599.5萬-336.04%-1.33億-62.52%5,621萬247.20%1.5億245.71%4,319.5萬
匯率變動影響 -96.21%14.8萬60.57%390.5萬252.67%243.2萬-187.03%-159.3萬-165.76%-55.5萬204.07%84.4萬22.17%-81.1萬-6,612.50%-104.2萬101.93%1.6萬-151.75%-82.8萬
現金變動之外的其他現金調整 ----0.00%-1,000-200.00%-1,000--1,000------1,000----99.77%-1,000---44.4萬----
期末現金 7.58%4.83億-11.78%4.49億-25.11%5.08億58.83%6.79億25.97%4.27億-9.39%3.39億-26.28%3.74億12.18%5.08億49.31%4.53億16.24%3.03億
自由現金流 131.35%9,556.4萬-147.01%-3.05億-448.68%-1.23億133.27%3,539.5萬-111.47%-1.06億73.47%-5,031萬-227.39%-1.9億78.81%1.49億58.98%8,325.5萬197.72%5,236.8萬
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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