(FY)2024/06/30 | (FY)2023/06/30 | (FY)2022/06/30 | (FY)2021/06/30 | (FY)2020/03/31 | (Q2)2019/09/30 | (Q1)2019/06/30 | (FY)2019/03/31 | (Q4)2019/03/31 | (Q3)2018/12/31 | |
---|---|---|---|---|---|---|---|---|---|---|
經營活動現金流量(間接法) | ||||||||||
經營活動產生的現金 | 24.03%669.9萬 | 237.35%540.1萬 | -60.20%160.1萬 | 1,982.89%402.23萬 | -92.40%19.31萬 | -95.92%12.39萬 | 379.56%124.47萬 | -56.87%254.23萬 | -103.29%-14.52萬 | -157.91%-60.09萬 |
扣除非現金調整前淨利潤 | 135.49%282.9萬 | -861.32%-797.1萬 | 106.93%104.7萬 | -261.40%-1,510.7萬 | 85.94%-418.01萬 | -5.90%-66.23萬 | 45.32%-63.18萬 | -613.42%-2,973.66萬 | -1,853.07%-2,614.24萬 | 1.43%-185.77萬 |
非現金項目調整總額 | -87.90%143.4萬 | 1,242.47%1,185.4萬 | -94.17%88.3萬 | 430.13%1,514.88萬 | -90.44%285.76萬 | -57.93%54.9萬 | -55.26%64.04萬 | 435.50%2,990.12萬 | 1,441.71%2,523.11萬 | 46.32%198.88萬 |
-折舊與攤銷 | 36.75%89.3萬 | 3.98%65.3萬 | -70.43%62.8萬 | 26.42%212.35萬 | -61.37%167.97萬 | -62.11%40.07萬 | -69.52%33.94萬 | 0.21%434.8萬 | 5.55%120.41萬 | -5.53%101.63萬 |
-在損益中確認的減值損失回撥 | ---- | ---- | ---- | 6,782.02%1,132.41萬 | -100.68%-16.95萬 | 88.84%-1.14萬 | -80.49%-5.4萬 | 7,966.86%2,481.02萬 | 6,785.79%2,431.06萬 | 6,649.69%63.09萬 |
-資產準備金與勾銷 | ---- | ---- | ---- | 30.27%59.34萬 | -8.72%45.55萬 | -12.81%10.92萬 | -16.12%11.24萬 | -9.89%49.9萬 | -21.48%11.86萬 | -2.31%12.63萬 |
-處置利潤 | 71.43%-2,000 | ---7,000 | --0 | 48.20%-6.89萬 | 81.43%-13.3萬 | ---12.63萬 | --0 | -182.06%-71.64萬 | -313.73%-70.22萬 | 24.38%-1.41萬 |
-匯兌損益淨額 | ---1,000 | --0 | ---- | 867.32%2萬 | -139.07%-2,604.1686 | -587.81%-3,878.7035 | 29.78%5,895.2382 | 313.09%6,664.6805 | -222.06%-685.0825 | 277.70%2,185.0647 |
-以股票支付的報酬 | --0 | --120.3萬 | --0 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-其他非現金項目 | -94.56%54.4萬 | 3,823.53%1,000.5萬 | -77.95%25.5萬 | 12.58%115.67萬 | 7.74%102.74萬 | -19.39%18.07萬 | 12.98%23.68萬 | 48.88%95.37萬 | 87.04%30.07萬 | 23.75%22.72萬 |
營運資本變動 | 60.47%243.6萬 | 561.40%151.8萬 | -108.27%-32.9萬 | 162.63%398.04萬 | -36.26%151.56萬 | -89.95%23.72萬 | 7,582.69%123.6萬 | -46.92%237.77萬 | -81.37%76.61萬 | -146.83%-73.2萬 |
-應收款(增)減 | 1,104.69%321.5萬 | 72.29%-32萬 | -171.57%-115.5萬 | -12.42%161.38萬 | -33.48%184.25萬 | -87.92%13.05萬 | -24.91%115.23萬 | 163.33%277.01萬 | 41.95%109.73萬 | -133.69%-88.36萬 |
-存貨(增)減 | ---15.6萬 | --0 | ---- | -34.83%-175.16萬 | -173.40%-129.91萬 | -104.80%-4.93萬 | -810.96%-47.02萬 | 163.05%177萬 | -82.72%36.95萬 | 132.37%42.39萬 |
-應付款(減)增 | -122.16%-62.8萬 | 509.46%283.4萬 | -90.02%46.5萬 | 240.61%466.02萬 | 261.61%136.82萬 | 98.37%47.44萬 | 152.53%15.88萬 | -139.94%-84.66萬 | -129.71%-23.88萬 | -2,786.09%-55.6萬 |
-其他流動資產變動 | 100.50%5,000 | -375.90%-99.6萬 | 344.62%36.1萬 | 89.12%-14.76萬 | -73.98%-135.6萬 | -57.11%-92.66萬 | 78.19%-19.85萬 | -201.21%-77.94萬 | -34.47%16.7萬 | 137.63%51.87萬 |
-其他流動負債變動 | ---- | ---- | ---- | -141.09%-39.44萬 | 278.96%95.99萬 | 0.68%60.82萬 | 306.84%59.37萬 | -296.99%-53.64萬 | -541.13%-62.9萬 | -2,147.55%-23.5萬 |
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) | -53.73%-61.8萬 | -216.54%-40.2萬 | -12.7萬 | |||||||
已收到的利息(經營活動產生的現金流) | ||||||||||
已支付退稅 | -68.75%-56.7萬 | 26.96%-33.6萬 | -636.65%-46萬 | 37.66%-6.24萬 | 0.81%-10.02萬 | 0 | 4.83%-4.91萬 | 11.95%-10.1萬 | 15.52%-1,658.8858 | 3.07%-4.97萬 |
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 | 18.25%551.4萬 | 359.86%466.3萬 | -74.39%101.4萬 | 4,160.21%395.98萬 | -96.19%9.29萬 | -95.92%12.39萬 | 474.99%119.56萬 | -57.77%244.13萬 | -103.33%-14.68萬 | -165.95%-65.06萬 |
投資活動現金流量 | ||||||||||
物業、廠房及設備交易淨額 | -2,730.14%-1,033萬 | -150.00%-36.5萬 | 91.29%-14.6萬 | -22.21%-167.6萬 | 46.71%-137.14萬 | 74.58%-12.7萬 | 13.04%-57.83萬 | 34.64%-257.34萬 | 74.20%-69.12萬 | 1.25%-74.29萬 |
已收到的利息(投資活動產生的現金流) | 166.20%18.9萬 | 1,083.33%7.1萬 | -90.33%6,000 | 12.60%6.2萬 | -6.91%5.51萬 | -25.16%1.09萬 | -12.34%1.38萬 | 0.28%5.92萬 | -3.12%1.53萬 | -0.31%1.43萬 |
其他投資變動淨額 | ---- | ---- | ---- | ---- | --73.8萬 | --71.47萬 | ---- | ---- | ---- | ---- |
投資活動現金淨額 | -3,349.32%-1,014.1萬 | -110.00%-29.4萬 | 91.33%-14萬 | -179.08%-161.4萬 | 77.00%-57.83萬 | 223.34%59.85萬 | 13.06%-56.46萬 | 35.17%-251.42萬 | 74.62%-67.6萬 | 1.27%-72.86萬 |
融資活動現金流量 | ||||||||||
債務發行/償還的淨額 | 503.81%604.1萬 | -6.40%-149.6萬 | -1,250.96%-140.6萬 | ---10.41萬 | --0 | -119.51%-349.08萬 | 4.83%-589.52萬 | 97.32%-33.32萬 | 5,507.57%1,151.58萬 | 3.07%-430.06萬 |
普通股發行/回購的淨額 | --0 | --117.4萬 | --0 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
租賃融資增減 | -15.24%-12.1萬 | -1.94%-10.5萬 | -94.05%-10.3萬 | -20.44%-5.31萬 | ---4.41萬 | ---- | ---- | --0 | ---- | ---- |
已支付現金股息 | ---65.4萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
已付利息(籌資活動產生的現金流) | -20.69%-10.5萬 | 27.50%-8.7萬 | 86.73%-12萬 | -10.74%-90.46萬 | -6.44%-81.69萬 | 27.89%-12.86萬 | -15.00%-18.69萬 | -9.70%-76.74萬 | -31.25%-23.17萬 | -1.64%-20.12萬 |
其他籌資費用淨額 | -3,429.09%-194.1萬 | -101.98%-5.5萬 | 826.51%277.9萬 | --29.99萬 | ---- | ---- | -4.83%589.52萬 | ---- | ---- | -10.46%397.28萬 |
融資活動現金淨額 | 665.91%322萬 | -149.48%-56.9萬 | 250.95%115萬 | 11.52%-76.18萬 | 21.78%-86.1萬 | -1,929.87%-361.94萬 | -15.00%-18.69萬 | -57.34%-110.07萬 | -34.35%-23.72萬 | -167.20%-52.9萬 |
現金淨流量 | ||||||||||
期初現金流 | 71.48%911.6萬 | 61.48%531.6萬 | -79.32%329.2萬 | -4.49%1,592.04萬 | -7.29%1,666.81萬 | -3.15%1,657.51萬 | -11.04%1,635.08萬 | 3.57%1,797.81萬 | 5.23%1,756.91萬 | 17.02%1,947.73萬 |
現金變動 | -137.03%-140.7萬 | 87.75%380萬 | 27.78%202.4萬 | 217.65%158.4萬 | -14.72%-134.64萬 | -221.86%-289.7萬 | 173.53%44.41萬 | -197.58%-117.36萬 | -167.57%-106萬 | -3,884.82%-190.82萬 |
期末現金 | -15.43%770.9萬 | 71.48%911.6萬 | -69.63%531.6萬 | 14.25%1,750.44萬 | -8.82%1,532.17萬 | -29.82%1,367.81萬 | -5.52%1,679.49萬 | -9.47%1,680.45萬 | -9.47%1,680.45萬 | 5.23%1,756.91萬 |
自由現金流 | -212.62%-481.8萬 | 392.86%427.8萬 | -60.59%86.8萬 | 271.40%220.26萬 | -690.43%-128.51萬 | -100.27%-6,981.6663 | 235.02%61.72萬 | -110.87%-16.26萬 | -156.84%-84.99萬 | -796.00%-141.21萬 |
貨幣單位 | 新加坡元 | 新加坡元 | 新加坡元 | 新加坡元 | 新加坡元 | 新加坡元 | 新加坡元 | 新加坡元 | 新加坡元 | 新加坡元 |
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暫無數據