日本市場個股詳情

8200 稜閣屋

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  • 2250
  • -8-0.35%
延時20分鐘行情未開盤 11/15 15:30 (東京)
586.53億總市值77.51市盈率(靜)

稜閣屋關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/02/29
(FY)2023/02/28
(FY)2022/02/28
(FY)2021/02/28
(FY)2020/02/29
(FY)2019/02/28
(FY)2018/02/28
(FY)2017/02/28
(FY)2016/02/29
(FY)2015/02/28
經營活動現金流量(間接法)
經營活動產生的現金
118.38%31.1億
284.86%14.24億
77.94%-7.7億
-204.45%-34.92億
-15.61%33.43億
-18.94%39.61億
1.97%48.87億
13.95%47.93億
14.50%42.06億
7.13%36.73億
扣除非現金調整前淨利潤
1,066.07%9.25億
-108.02%-9,572.6萬
116.25%11.94億
-9,827.61%-73.5億
-94.53%7,555.3萬
-35.70%13.82億
-18.96%21.5億
10.35%26.53億
40.13%24.04億
34.38%17.15億
非現金項目調整總額
57.38%23.6億
286.01%14.99億
-122.81%-8.06億
5.26%35.33億
11.90%33.57億
33.20%30億
7.17%22.52億
15.25%21.01億
-1.45%18.23億
-0.47%18.5億
-折舊與攤銷
0.53%18.75億
2.29%18.65億
-11.68%18.23億
6.76%20.64億
18.35%19.33億
7.18%16.34億
5.23%15.24億
8.15%14.48億
7.51%13.39億
2.44%12.46億
-在損益中確認的減值損失回撥
-47.86%1.36億
-59.71%2.61億
-69.58%6.47億
67.21%21.26億
150.14%12.71億
45.17%5.08億
-35.61%3.5億
171.08%5.44億
5.23%2.01億
6.83%1.91億
-聯營企業份額
----
----
-90.85%468萬
-8.81%5,113.7萬
-5.59%5,607.7萬
38.94%5,939.7萬
84.20%4,275.1萬
147.67%2,320.9萬
-17.91%937.1萬
-32.33%1,141.5萬
-處置利潤
-44.43%5,496.9萬
-24.07%9,891.3萬
121.78%1.3億
-753.34%-5.98億
-78.36%9,152.8萬
94.43%4.23億
404.99%2.18億
-152.32%-7,132.8萬
-29.65%1.36億
-14.96%1.94億
-其他非現金項目
140.60%2.94億
78.75%-7.25億
-3,004.97%-34.11億
-2,544.26%-1.1億
-98.80%449.4萬
219.48%3.76億
-25.34%1.18億
14.27%1.57億
-33.95%1.38億
-4.99%2.09億
營運資本變動
-953.14%-1.74億
101.77%2,045.2萬
-457.38%-11.59億
463.95%3.24億
78.83%-8,907.2萬
-186.66%-4.21億
1,152.94%4.85億
283.48%3,874.1萬
-119.58%-2,111.4萬
-63.28%1.08億
-應收款(增)減
87.58%-2,859.3萬
-441.42%-2.3億
-127.57%-4,251.4萬
144.09%1.54億
-3,195.48%-3.5億
113.32%1,129.8萬
-13.32%-8,483.8萬
-1,773.94%-7,486.4萬
97.13%-399.5萬
-57.74%-1.39億
-存貨(增)減
-353.35%-1.29億
-154.92%-2,841.5萬
10.67%5,174.3萬
177.03%4,675.5萬
21.97%-6,069.9萬
-208.08%-7,778.5萬
-37.55%-2,524.8萬
-15.52%-1,835.6萬
-227.08%-1,589萬
-61.25%1,250.4萬
-預付費用(增)減
-14.29%-2,400萬
35.45%-2,100萬
-179.33%-3,253.3萬
-91.88%-1,164.7萬
-148.56%-607萬
516.67%1,250萬
11.76%-300萬
-187.56%-340萬
111.16%388.3萬
-140.95%-3,479.2萬
-應付款(減)增
-101.41%-146.2萬
109.34%1.04億
-460.27%-11.09億
56.07%3.08億
256.75%1.97億
-157.77%-1.26億
544.04%2.18億
77.34%-4,903.6萬
-146.67%-2.16億
159.36%4.64億
-貸款、租賃及其他損失準備金
-128.89%-5,097.8萬
278.78%1.76億
-142.62%-9,870.6萬
565.09%2.32億
111.91%3,482.2萬
-483.46%-2.92億
10.85%7,621.6萬
-37.68%6,875.4萬
455.09%1.1億
28.65%-3,107萬
-其他流動資產變動
62.42%-4,023.2萬
-147.81%-1.07億
-0.06%2.24億
211.37%2.24億
19.26%-2.01億
-81.94%-2.49億
-150.14%-1.37億
-201.61%-5,474.7萬
114.66%5,388.1萬
-781.60%-3.68億
-其他流動負債變動
-21.60%9,960萬
183.70%1.27億
75.85%-1.52億
-311.90%-6.29億
-1.31%2.97億
-31.93%3.01億
159.10%4.41億
262.04%1.7億
-76.97%4,706.4萬
170.67%2.04億
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)
18.23%-1.78億
22.27%-2.17億
-253.10%-2.8億
-69.77%-7,920.5萬
-46.91%-4,665.4萬
10.91%-3,175.6萬
39.34%-3,564.3萬
12.14%-5,875.5萬
20.56%-6,687.5萬
19.70%-8,418.2萬
已收到的利息(經營活動產生的現金流)
24.71%2,200.7萬
12.05%1,764.6萬
9.31%1,574.8萬
-3.44%1,440.7萬
5.42%1,492.1萬
7.14%1,415.4萬
-31.64%1,321.1萬
-12.43%1,932.5萬
17.65%2,206.8萬
69.27%1,875.7萬
已支付退稅
72.18%-1.51億
-251.10%-5.42億
-86.93%-1.54億
86.80%-8,261.2萬
21.00%-6.26億
39.25%-7.92億
-7.91%-13.05億
-23.90%-12.09億
-53.27%-9.76億
-19.29%-6.37億
其他經營現金流入(流出)
-86.62%9,143.1萬
-81.26%6.83億
1,457.00%36.46億
2,823.39%2.34億
-859.9萬
0
0
0
0
0
經營活動現金淨額
112.01%28.95億
-44.44%13.65億
172.17%24.58億
-227.21%-34.05億
-15.06%26.77億
-11.49%31.51億
0.44%35.6億
11.27%35.45億
7.21%31.86億
6.06%29.71億
投資活動現金流量
物業、廠房及設備交易淨額
-2.74%-19億
-18.29%-18.5億
-100.77%-15.64億
70.93%-7.79億
60.76%-26.79億
-134.31%-68.28億
-25.81%-29.14億
-30.38%-23.16億
-13.20%-17.77億
-172.90%-15.7億
無形資產交易淨額
67.69%-6,057.1萬
-103.24%-1.87億
-480.35%-9,223.5萬
87.60%-1,589.3萬
-1,087.58%-1.28億
-163.29%-1,079.5萬
78.73%-410萬
-56.60%-1,927.3萬
88.07%-1,230.7萬
-631.80%-1.03億
業務交易淨額
----
----
--799.2萬
--0
---4,898萬
----
----
-8,716.89%-1.74億
64.23%-197.7萬
95.31%-552.7萬
投資產品交易淨額
-716.75%-5,265.8萬
159.32%853.8萬
-409.52%-1,439.4萬
-110.26%-282.5萬
1,082.73%2,754.6萬
83.05%-280.3萬
-101.61%-1,653.6萬
40,482.07%10.27億
85.79%-254.3萬
97.67%-1,789.7萬
其他投資變動淨額
231.88%6,246.5萬
-127.41%-4,736.4萬
452.69%1.73億
60.97%-4,900萬
47.44%-1.26億
-73.07%-2.39億
-5.39%-1.38億
-79.25%-1.31億
-69.75%-7,306.8萬
-159.04%-4,304.5萬
投資活動現金淨額
6.01%-19.51億
-39.38%-20.76億
-75.95%-14.9億
71.35%-8.47億
58.27%-29.55億
-130.43%-70.81億
-90.38%-30.73億
13.53%-16.14億
-7.32%-18.67億
-23.90%-17.39億
融資活動現金流量
債務發行/償還的淨額
81.08%-8.65億
-41.66%-45.72億
-130.00%-32.28億
643.80%107.6億
14.00%14.47億
144.57%12.69億
-233.41%-28.47億
-296.64%-8.54億
211.80%4.34億
61.67%-3.88億
普通股發行/回購的淨額
-21.33%486.4萬
-99.68%618.3萬
1,260.89%19.46億
1,269.98%1.43億
100.74%1,043.9萬
-65,837.34%-14.11億
-100.03%-214萬
557.40%66.41億
-756.13%-14.52億
-340.68%-1.7億
租賃融資增減
34.37%-6,312.4萬
13.52%-9,618.6萬
-17.64%-1.11億
25.79%-9,455.1萬
10.27%-1.27億
-4.91%-1.42億
-7.10%-1.35億
-21.59%-1.26億
-5.23%-1.04億
-11.12%-9,876萬
發行費用
4.20%-1,935萬
-1.87%-2,019.9萬
91.64%-1,982.8萬
---2.37億
----
----
----
----
----
----
已支付現金股息
-0.17%-1.31億
-42,569.61%-1.31億
99.76%-30.6萬
59.04%-1.27億
-3.72%-3.11億
39.71%-3億
-29.46%-4.97億
-3.78%-3.84億
-67.20%-3.7億
-0.24%-2.21億
其他籌資費用淨額
99.99%-1,000
---1,908.1萬
----
299,050.00%597.9萬
0.00%-2,000
-100.01%-2,000
2,001,800.00%2,001.7萬
-200.00%-1,000
0.00%1,000
200.00%1,000
融資活動現金淨額
77.78%-10.74億
-242.05%-48.32億
-113.52%-14.13億
925.82%104.5億
274.45%10.19億
83.13%-5.84億
-165.61%-34.62億
453.74%52.77億
-69.87%-14.92億
29.89%-8.78億
現金淨流量
期初現金流
-69.95%23.73億
-5.41%78.97億
278.00%83.49億
54.28%22.09億
-76.04%14.32億
-32.92%59.75億
420.45%89.07億
-7.84%17.11億
25.94%18.57億
12.59%14.75億
現金變動
97.65%-1.3億
-1,146.49%-55.43億
-107.17%-4.45億
736.37%61.98億
116.42%7.41億
-51.74%-45.13億
-141.27%-29.74億
4,276.19%72.07億
-148.73%-1.73億
143.48%3.54億
匯率變動影響
-98.62%26.9萬
363.67%1,944.8萬
87.22%-737.6萬
-260.41%-5,772.9萬
218.72%3,598.9萬
-140.24%-3,031.3萬
-9.26%-1,261.8萬
-142.92%-1,154.9萬
-5.16%2,690.6萬
46.40%2,837萬
現金變動之外的其他現金調整
----
----
---2,000
----
200.00%1,000
-100.00%-1,000
--5,516萬
----
-100.00%-2,000
---1,000
期末現金
-5.47%22.43億
-69.95%23.73億
-5.41%78.97億
278.00%83.49億
54.28%22.09億
-76.04%14.32億
-32.92%59.75億
420.45%89.07億
-7.84%17.11億
25.94%18.57億
自由現金流
231.61%9.3億
-188.29%-7.07億
114.27%8.01億
-2,916.99%-56.1億
94.98%-1.86億
-766.55%-37.03億
-52.45%5.56億
41.56%11.68億
-15.87%8.25億
-45.55%9.81億
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
(FY)2024/02/29(FY)2023/02/28(FY)2022/02/28(FY)2021/02/28(FY)2020/02/29(FY)2019/02/28(FY)2018/02/28(FY)2017/02/28(FY)2016/02/29(FY)2015/02/28
經營活動現金流量(間接法)
經營活動產生的現金 118.38%31.1億284.86%14.24億77.94%-7.7億-204.45%-34.92億-15.61%33.43億-18.94%39.61億1.97%48.87億13.95%47.93億14.50%42.06億7.13%36.73億
扣除非現金調整前淨利潤 1,066.07%9.25億-108.02%-9,572.6萬116.25%11.94億-9,827.61%-73.5億-94.53%7,555.3萬-35.70%13.82億-18.96%21.5億10.35%26.53億40.13%24.04億34.38%17.15億
非現金項目調整總額 57.38%23.6億286.01%14.99億-122.81%-8.06億5.26%35.33億11.90%33.57億33.20%30億7.17%22.52億15.25%21.01億-1.45%18.23億-0.47%18.5億
-折舊與攤銷 0.53%18.75億2.29%18.65億-11.68%18.23億6.76%20.64億18.35%19.33億7.18%16.34億5.23%15.24億8.15%14.48億7.51%13.39億2.44%12.46億
-在損益中確認的減值損失回撥 -47.86%1.36億-59.71%2.61億-69.58%6.47億67.21%21.26億150.14%12.71億45.17%5.08億-35.61%3.5億171.08%5.44億5.23%2.01億6.83%1.91億
-聯營企業份額 ---------90.85%468萬-8.81%5,113.7萬-5.59%5,607.7萬38.94%5,939.7萬84.20%4,275.1萬147.67%2,320.9萬-17.91%937.1萬-32.33%1,141.5萬
-處置利潤 -44.43%5,496.9萬-24.07%9,891.3萬121.78%1.3億-753.34%-5.98億-78.36%9,152.8萬94.43%4.23億404.99%2.18億-152.32%-7,132.8萬-29.65%1.36億-14.96%1.94億
-其他非現金項目 140.60%2.94億78.75%-7.25億-3,004.97%-34.11億-2,544.26%-1.1億-98.80%449.4萬219.48%3.76億-25.34%1.18億14.27%1.57億-33.95%1.38億-4.99%2.09億
營運資本變動 -953.14%-1.74億101.77%2,045.2萬-457.38%-11.59億463.95%3.24億78.83%-8,907.2萬-186.66%-4.21億1,152.94%4.85億283.48%3,874.1萬-119.58%-2,111.4萬-63.28%1.08億
-應收款(增)減 87.58%-2,859.3萬-441.42%-2.3億-127.57%-4,251.4萬144.09%1.54億-3,195.48%-3.5億113.32%1,129.8萬-13.32%-8,483.8萬-1,773.94%-7,486.4萬97.13%-399.5萬-57.74%-1.39億
-存貨(增)減 -353.35%-1.29億-154.92%-2,841.5萬10.67%5,174.3萬177.03%4,675.5萬21.97%-6,069.9萬-208.08%-7,778.5萬-37.55%-2,524.8萬-15.52%-1,835.6萬-227.08%-1,589萬-61.25%1,250.4萬
-預付費用(增)減 -14.29%-2,400萬35.45%-2,100萬-179.33%-3,253.3萬-91.88%-1,164.7萬-148.56%-607萬516.67%1,250萬11.76%-300萬-187.56%-340萬111.16%388.3萬-140.95%-3,479.2萬
-應付款(減)增 -101.41%-146.2萬109.34%1.04億-460.27%-11.09億56.07%3.08億256.75%1.97億-157.77%-1.26億544.04%2.18億77.34%-4,903.6萬-146.67%-2.16億159.36%4.64億
-貸款、租賃及其他損失準備金 -128.89%-5,097.8萬278.78%1.76億-142.62%-9,870.6萬565.09%2.32億111.91%3,482.2萬-483.46%-2.92億10.85%7,621.6萬-37.68%6,875.4萬455.09%1.1億28.65%-3,107萬
-其他流動資產變動 62.42%-4,023.2萬-147.81%-1.07億-0.06%2.24億211.37%2.24億19.26%-2.01億-81.94%-2.49億-150.14%-1.37億-201.61%-5,474.7萬114.66%5,388.1萬-781.60%-3.68億
-其他流動負債變動 -21.60%9,960萬183.70%1.27億75.85%-1.52億-311.90%-6.29億-1.31%2.97億-31.93%3.01億159.10%4.41億262.04%1.7億-76.97%4,706.4萬170.67%2.04億
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) 18.23%-1.78億22.27%-2.17億-253.10%-2.8億-69.77%-7,920.5萬-46.91%-4,665.4萬10.91%-3,175.6萬39.34%-3,564.3萬12.14%-5,875.5萬20.56%-6,687.5萬19.70%-8,418.2萬
已收到的利息(經營活動產生的現金流) 24.71%2,200.7萬12.05%1,764.6萬9.31%1,574.8萬-3.44%1,440.7萬5.42%1,492.1萬7.14%1,415.4萬-31.64%1,321.1萬-12.43%1,932.5萬17.65%2,206.8萬69.27%1,875.7萬
已支付退稅 72.18%-1.51億-251.10%-5.42億-86.93%-1.54億86.80%-8,261.2萬21.00%-6.26億39.25%-7.92億-7.91%-13.05億-23.90%-12.09億-53.27%-9.76億-19.29%-6.37億
其他經營現金流入(流出) -86.62%9,143.1萬-81.26%6.83億1,457.00%36.46億2,823.39%2.34億-859.9萬00000
經營活動現金淨額 112.01%28.95億-44.44%13.65億172.17%24.58億-227.21%-34.05億-15.06%26.77億-11.49%31.51億0.44%35.6億11.27%35.45億7.21%31.86億6.06%29.71億
投資活動現金流量
物業、廠房及設備交易淨額 -2.74%-19億-18.29%-18.5億-100.77%-15.64億70.93%-7.79億60.76%-26.79億-134.31%-68.28億-25.81%-29.14億-30.38%-23.16億-13.20%-17.77億-172.90%-15.7億
無形資產交易淨額 67.69%-6,057.1萬-103.24%-1.87億-480.35%-9,223.5萬87.60%-1,589.3萬-1,087.58%-1.28億-163.29%-1,079.5萬78.73%-410萬-56.60%-1,927.3萬88.07%-1,230.7萬-631.80%-1.03億
業務交易淨額 ----------799.2萬--0---4,898萬---------8,716.89%-1.74億64.23%-197.7萬95.31%-552.7萬
投資產品交易淨額 -716.75%-5,265.8萬159.32%853.8萬-409.52%-1,439.4萬-110.26%-282.5萬1,082.73%2,754.6萬83.05%-280.3萬-101.61%-1,653.6萬40,482.07%10.27億85.79%-254.3萬97.67%-1,789.7萬
其他投資變動淨額 231.88%6,246.5萬-127.41%-4,736.4萬452.69%1.73億60.97%-4,900萬47.44%-1.26億-73.07%-2.39億-5.39%-1.38億-79.25%-1.31億-69.75%-7,306.8萬-159.04%-4,304.5萬
投資活動現金淨額 6.01%-19.51億-39.38%-20.76億-75.95%-14.9億71.35%-8.47億58.27%-29.55億-130.43%-70.81億-90.38%-30.73億13.53%-16.14億-7.32%-18.67億-23.90%-17.39億
融資活動現金流量
債務發行/償還的淨額 81.08%-8.65億-41.66%-45.72億-130.00%-32.28億643.80%107.6億14.00%14.47億144.57%12.69億-233.41%-28.47億-296.64%-8.54億211.80%4.34億61.67%-3.88億
普通股發行/回購的淨額 -21.33%486.4萬-99.68%618.3萬1,260.89%19.46億1,269.98%1.43億100.74%1,043.9萬-65,837.34%-14.11億-100.03%-214萬557.40%66.41億-756.13%-14.52億-340.68%-1.7億
租賃融資增減 34.37%-6,312.4萬13.52%-9,618.6萬-17.64%-1.11億25.79%-9,455.1萬10.27%-1.27億-4.91%-1.42億-7.10%-1.35億-21.59%-1.26億-5.23%-1.04億-11.12%-9,876萬
發行費用 4.20%-1,935萬-1.87%-2,019.9萬91.64%-1,982.8萬---2.37億------------------------
已支付現金股息 -0.17%-1.31億-42,569.61%-1.31億99.76%-30.6萬59.04%-1.27億-3.72%-3.11億39.71%-3億-29.46%-4.97億-3.78%-3.84億-67.20%-3.7億-0.24%-2.21億
其他籌資費用淨額 99.99%-1,000---1,908.1萬----299,050.00%597.9萬0.00%-2,000-100.01%-2,0002,001,800.00%2,001.7萬-200.00%-1,0000.00%1,000200.00%1,000
融資活動現金淨額 77.78%-10.74億-242.05%-48.32億-113.52%-14.13億925.82%104.5億274.45%10.19億83.13%-5.84億-165.61%-34.62億453.74%52.77億-69.87%-14.92億29.89%-8.78億
現金淨流量
期初現金流 -69.95%23.73億-5.41%78.97億278.00%83.49億54.28%22.09億-76.04%14.32億-32.92%59.75億420.45%89.07億-7.84%17.11億25.94%18.57億12.59%14.75億
現金變動 97.65%-1.3億-1,146.49%-55.43億-107.17%-4.45億736.37%61.98億116.42%7.41億-51.74%-45.13億-141.27%-29.74億4,276.19%72.07億-148.73%-1.73億143.48%3.54億
匯率變動影響 -98.62%26.9萬363.67%1,944.8萬87.22%-737.6萬-260.41%-5,772.9萬218.72%3,598.9萬-140.24%-3,031.3萬-9.26%-1,261.8萬-142.92%-1,154.9萬-5.16%2,690.6萬46.40%2,837萬
現金變動之外的其他現金調整 -----------2,000----200.00%1,000-100.00%-1,000--5,516萬-----100.00%-2,000---1,000
期末現金 -5.47%22.43億-69.95%23.73億-5.41%78.97億278.00%83.49億54.28%22.09億-76.04%14.32億-32.92%59.75億420.45%89.07億-7.84%17.11億25.94%18.57億
自由現金流 231.61%9.3億-188.29%-7.07億114.27%8.01億-2,916.99%-56.1億94.98%-1.86億-766.55%-37.03億-52.45%5.56億41.56%11.68億-15.87%8.25億-45.55%9.81億
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

分析

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目標價預測

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熱議
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