新加坡市場個股詳情

BQD 恆益德國際

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延時10分鐘行情休市中 01/03 13:39 (北京)
9733.80萬總市值6.15市盈率TTM

恆益德國際關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/09/30
(FY)2023/09/30
(FY)2022/09/30
(FY)2021/09/30
(FY)2020/09/30
(FY)2019/09/30
(Q4)2019/09/30
(Q3)2019/06/30
(Q2)2019/03/31
(Q1)2018/12/31
經營活動現金流量(間接法)
經營活動產生的現金
51.15%7,725.5萬
431.08%5,111.1萬
-73.85%962.4萬
40.48%3,680.1萬
341.25%2,619.7萬
-16.22%593.7萬
-50.19%52.9萬
575.36%300.9萬
465.82%1,334.2萬
-354.55%-1,094.3萬
扣除非現金調整前淨利潤
288.53%5,519.1萬
-695.30%-2,927.5萬
92.23%-368.1萬
52.38%-4,734.6萬
-188.67%-9,943.4萬
-35.44%-3,444.5萬
-104.33%-1,639.1萬
69.32%-258.7萬
-83.08%-885.2萬
-59.67%-661.5萬
非現金項目調整總額
-46.00%3,588.9萬
33.81%6,646.2萬
-25.68%4,966.8萬
-43.31%6,683萬
290.94%1.18億
48.07%3,015.4萬
210.47%1,566萬
-95.45%26.8萬
81.83%618.4萬
33.34%804.2萬
-折舊與攤銷
-13.20%4,030.7萬
2.30%4,643.5萬
-11.44%4,538.9萬
-0.16%5,125.4萬
87.51%5,133.7萬
0.55%2,737.9萬
8.98%759.6萬
-0.86%677.9萬
0.81%662.7萬
-6.88%637.7萬
-在損益中確認的減值損失回撥
-75.21%78.5萬
81.75%316.6萬
188.34%174.2萬
-104.78%-197.2萬
394.52%4,129.7萬
396.20%835.1萬
396.02%784.7萬
1,092.73%65.6萬
84.29%-1.1萬
-89.26%1.3萬
-資產準備金與勾銷
1,993.10%60.7萬
103.89%2.9萬
-307.22%-74.6萬
-43.49%36萬
276.92%63.7萬
-67.69%16.9萬
-130.21%-44.2萬
-80.28%8.4萬
294.21%47.7萬
-163.80%-10.4萬
-處置利潤
-5,513.04%-903.7萬
99.04%-16.1萬
-5,405.99%-1,682萬
-92.28%31.7萬
134.78%410.7萬
-28.76%-1,181萬
-54.17%-7.4萬
-34.45%-1,027.1萬
-1,298.08%-145.4萬
99.20%-1.1萬
-匯兌損益淨額
-3,991.71%-740.6萬
-106.85%-18.1萬
143.19%264.1萬
-48.24%108.6萬
1,319.77%209.8萬
96.46%-17.2萬
94.72%-22.2萬
-80.39%87.9萬
79.40%-91.3萬
111.81%8.4萬
-其他非現金項目
-38.09%1,063.3萬
-1.65%1,717.4萬
10.62%1,746.2萬
-14.24%1,578.5萬
195.13%1,840.7萬
25.62%623.7萬
2.03%95.5萬
23.97%214.1萬
11.21%145.8萬
69.83%168.3萬
營運資本變動
-199.29%-1,382.5萬
138.29%1,392.4萬
-309.98%-3,636.3萬
123.50%1,731.7萬
-24.25%774.8萬
-15.84%1,022.8萬
-68.81%126萬
179.10%532.8萬
322.20%1,601萬
-613.07%-1,237萬
-應收款(增)減
43.19%-240.7萬
78.16%-423.7萬
-745.84%-1,940.1萬
-61.39%300.4萬
665.41%778萬
82.30%-137.6萬
911.57%244.8萬
-144.07%-288萬
963.99%703.3萬
-6.42%-797.7萬
-存貨(增)減
-48.94%-567.6萬
58.25%-381.1萬
-544.02%-912.9萬
-39.60%205.6萬
152.93%340.4萬
-377.92%-643.1萬
-658.62%-537.1萬
131.78%66.2萬
12.85%103.6萬
-165.87%-275.8萬
-應付款(減)增
-126.13%-574.2萬
380.51%2,197.2萬
-163.91%-783.3萬
456.72%1,225.7萬
-119.05%-343.6萬
2.40%1,803.5萬
-7.17%418.3萬
45.90%754.6萬
258.83%794.1萬
-128.58%-163.5萬
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)
38.09%-114.9萬
-47.30%-185.6萬
-40.47%-126萬
43.12%-89.7萬
-4.44%-157.7萬
-34.22%-151萬
37.74%-32萬
-53.93%-29.4萬
-70.21%-32萬
-148.28%-57.6萬
已收到的利息(經營活動產生的現金流)
已支付退稅
-51.45%-585.8萬
-84.45%-386.8萬
-25.95%-209.7萬
-14.67%-166.5萬
33.03%-145.2萬
33.86%-216.8萬
79.42%-14.2萬
60.72%-39.2萬
-22.52%-90.3萬
14.30%-73.1萬
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
54.78%7,024.8萬
624.22%4,538.7萬
-81.70%626.7萬
47.79%3,423.9萬
925.59%2,316.8萬
-15.80%225.9萬
147.18%6.7萬
227.50%232.3萬
745.71%1,211.9萬
-481.14%-1,225萬
投資活動現金流量
物業、廠房及設備交易淨額
-98.04%-405萬
-115.34%-204.5萬
159.48%1,332.7萬
54.47%-2,240.6萬
61.80%-4,920.9萬
-247.16%-1.29億
-441.43%-4,361.8萬
-496.97%-3,546.6萬
-170.13%-2,752.4萬
-71.89%-2,220.8萬
無形資產交易淨額
63.09%-108.1萬
4.34%-292.9萬
-1,017.52%-306.2萬
29.20%-27.4萬
72.75%-38.7萬
45.43%-142萬
-32.88%-19.4萬
70.28%-61.1萬
-45.15%-47.9萬
-94.29%-13.6萬
業務交易淨額
--3,074.5萬
--0
----
----
-94.45%100.9萬
535.80%1,816.4萬
---74.1萬
486.53%1,890.5萬
--0
--0
投資物業交易淨額
----
----
----
----
----
----
----
--0
----
----
投資產品交易淨額
--0
--26.4萬
--0
--84萬
----
----
----
--0
--0
--0
已收到的股息(投資活動產生的現金流)
----
----
----
----
----
-99.36%1,000
--0
--0
--0
-99.16%1,000
已收到的利息(投資活動產生的現金流)
54.36%30.1萬
58.54%19.5萬
38.20%12.3萬
-62.45%8.9萬
-46.86%23.7萬
-36.38%44.6萬
22.14%16萬
7.95%9.5萬
-54.15%9.4萬
-64.98%9.7萬
其他投資變動淨額
--1,761.7萬
----
--8,673.8萬
----
--862.9萬
----
----
----
----
----
投資活動現金淨額
1,064.16%4,353.2萬
-104.65%-451.5萬
546.54%9,712.6萬
45.24%-2,175.1萬
64.42%-3,972.1萬
-693.19%-1.12億
-1,911.46%-4,439.3萬
-145.25%-1,707.7萬
-205.28%-2,790.9萬
-624.55%-2,224.6萬
融資活動現金流量
債務發行/償還的淨額
-114.51%-5,811.2萬
62.68%-2,709.1萬
-771.63%-7,259萬
-81.86%1,080.8萬
-26.02%5,959萬
1,208.87%8,054.8萬
891.00%3,885.7萬
1,138.71%2,138.7萬
372.08%740.6萬
301.41%1,289.8萬
普通股發行/回購的淨額
--0
--3,027.4萬
--0
----
----
--5,129萬
--0
--0
--0
--5,129萬
租賃融資增減
-5.40%-2,485萬
-5.88%-2,357.6萬
-10.79%-2,226.6萬
11.04%-2,009.7萬
-136.83%-2,259.1萬
-7.60%-953.9萬
2.96%-222.8萬
0.24%-246.8萬
-13.74%-242.6萬
-23.19%-241.7萬
發行費用
----
----
----
--0
----
---87.8萬
--0
--0
--0
---87.8萬
已付利息(籌資活動產生的現金流)
26.22%-1,264萬
8.84%-1,713.1萬
8.87%-1,879.3萬
-5.21%-2,062.2萬
-278.89%-1,960萬
-13.92%-517.3萬
-43.76%-79.5萬
-19.58%-194.2萬
7.23%-123.2萬
-16.22%-120.4萬
其他籌資費用淨額
180.17%213萬
-130.30%-265.7萬
-9.76%877萬
1,660.51%971.8萬
188.46%55.2萬
-6,833.33%-62.4萬
---3,000
---2,000
---2,000
-30,750.00%-61.7萬
融資活動現金淨額
-132.63%-9,347.2萬
61.69%-4,018.1萬
-419.38%-1.05億
-212.49%-2,019.3萬
-84.47%1,795.1萬
659.14%1.16億
3,270.74%3,583.1萬
375.70%1,697.5萬
160.59%374.6萬
728.16%5,907.2萬
現金淨流量
期初現金流
4.99%1,566.3萬
-8.89%1,491.8萬
-31.96%1,637.3萬
6.14%2,406.4萬
38.47%2,267.1萬
-66.50%1,637.2萬
76.69%3,119.3萬
-11.02%2,893.3萬
-12.17%4,100.1萬
-66.50%1,637.2萬
現金變動
2,838.93%2,030.8萬
146.50%69.1萬
80.71%-148.6萬
-651.14%-770.5萬
-77.66%139.8萬
119.51%625.8萬
-560.58%-849.5萬
114.86%222.1萬
13.30%-1,204.4萬
1,360.95%2,457.6萬
匯率變動影響
-122.22%-1.2萬
74.19%5.4萬
121.43%3.1萬
380.00%1.4萬
-112.20%-5,000
109.49%4.1萬
-1,000.00%-2.7萬
-50.00%3.9萬
91.14%-2.4萬
121.90%5.3萬
期末現金
129.58%3,595.9萬
4.99%1,566.3萬
-8.89%1,491.8萬
-31.96%1,637.3萬
6.14%2,406.4萬
38.47%2,267.1萬
38.47%2,267.1萬
76.69%3,119.3萬
-11.02%2,893.3萬
-12.17%4,100.1萬
自由現金流
123.68%6,508.1萬
570.58%2,909.6萬
-161.02%-618.3萬
137.66%1,013.3萬
79.37%-2,690.4萬
-182.38%-1.3億
-167.25%-4,390.4萬
-212.96%-3,384.7萬
-96.42%-1,799.4萬
-254.52%-3,466.1萬
貨幣單位
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
(FY)2024/09/30(FY)2023/09/30(FY)2022/09/30(FY)2021/09/30(FY)2020/09/30(FY)2019/09/30(Q4)2019/09/30(Q3)2019/06/30(Q2)2019/03/31(Q1)2018/12/31
經營活動現金流量(間接法)
經營活動產生的現金 51.15%7,725.5萬431.08%5,111.1萬-73.85%962.4萬40.48%3,680.1萬341.25%2,619.7萬-16.22%593.7萬-50.19%52.9萬575.36%300.9萬465.82%1,334.2萬-354.55%-1,094.3萬
扣除非現金調整前淨利潤 288.53%5,519.1萬-695.30%-2,927.5萬92.23%-368.1萬52.38%-4,734.6萬-188.67%-9,943.4萬-35.44%-3,444.5萬-104.33%-1,639.1萬69.32%-258.7萬-83.08%-885.2萬-59.67%-661.5萬
非現金項目調整總額 -46.00%3,588.9萬33.81%6,646.2萬-25.68%4,966.8萬-43.31%6,683萬290.94%1.18億48.07%3,015.4萬210.47%1,566萬-95.45%26.8萬81.83%618.4萬33.34%804.2萬
-折舊與攤銷 -13.20%4,030.7萬2.30%4,643.5萬-11.44%4,538.9萬-0.16%5,125.4萬87.51%5,133.7萬0.55%2,737.9萬8.98%759.6萬-0.86%677.9萬0.81%662.7萬-6.88%637.7萬
-在損益中確認的減值損失回撥 -75.21%78.5萬81.75%316.6萬188.34%174.2萬-104.78%-197.2萬394.52%4,129.7萬396.20%835.1萬396.02%784.7萬1,092.73%65.6萬84.29%-1.1萬-89.26%1.3萬
-資產準備金與勾銷 1,993.10%60.7萬103.89%2.9萬-307.22%-74.6萬-43.49%36萬276.92%63.7萬-67.69%16.9萬-130.21%-44.2萬-80.28%8.4萬294.21%47.7萬-163.80%-10.4萬
-處置利潤 -5,513.04%-903.7萬99.04%-16.1萬-5,405.99%-1,682萬-92.28%31.7萬134.78%410.7萬-28.76%-1,181萬-54.17%-7.4萬-34.45%-1,027.1萬-1,298.08%-145.4萬99.20%-1.1萬
-匯兌損益淨額 -3,991.71%-740.6萬-106.85%-18.1萬143.19%264.1萬-48.24%108.6萬1,319.77%209.8萬96.46%-17.2萬94.72%-22.2萬-80.39%87.9萬79.40%-91.3萬111.81%8.4萬
-其他非現金項目 -38.09%1,063.3萬-1.65%1,717.4萬10.62%1,746.2萬-14.24%1,578.5萬195.13%1,840.7萬25.62%623.7萬2.03%95.5萬23.97%214.1萬11.21%145.8萬69.83%168.3萬
營運資本變動 -199.29%-1,382.5萬138.29%1,392.4萬-309.98%-3,636.3萬123.50%1,731.7萬-24.25%774.8萬-15.84%1,022.8萬-68.81%126萬179.10%532.8萬322.20%1,601萬-613.07%-1,237萬
-應收款(增)減 43.19%-240.7萬78.16%-423.7萬-745.84%-1,940.1萬-61.39%300.4萬665.41%778萬82.30%-137.6萬911.57%244.8萬-144.07%-288萬963.99%703.3萬-6.42%-797.7萬
-存貨(增)減 -48.94%-567.6萬58.25%-381.1萬-544.02%-912.9萬-39.60%205.6萬152.93%340.4萬-377.92%-643.1萬-658.62%-537.1萬131.78%66.2萬12.85%103.6萬-165.87%-275.8萬
-應付款(減)增 -126.13%-574.2萬380.51%2,197.2萬-163.91%-783.3萬456.72%1,225.7萬-119.05%-343.6萬2.40%1,803.5萬-7.17%418.3萬45.90%754.6萬258.83%794.1萬-128.58%-163.5萬
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) 38.09%-114.9萬-47.30%-185.6萬-40.47%-126萬43.12%-89.7萬-4.44%-157.7萬-34.22%-151萬37.74%-32萬-53.93%-29.4萬-70.21%-32萬-148.28%-57.6萬
已收到的利息(經營活動產生的現金流)
已支付退稅 -51.45%-585.8萬-84.45%-386.8萬-25.95%-209.7萬-14.67%-166.5萬33.03%-145.2萬33.86%-216.8萬79.42%-14.2萬60.72%-39.2萬-22.52%-90.3萬14.30%-73.1萬
其他經營現金流入(流出) 0000000000
經營活動現金淨額 54.78%7,024.8萬624.22%4,538.7萬-81.70%626.7萬47.79%3,423.9萬925.59%2,316.8萬-15.80%225.9萬147.18%6.7萬227.50%232.3萬745.71%1,211.9萬-481.14%-1,225萬
投資活動現金流量
物業、廠房及設備交易淨額 -98.04%-405萬-115.34%-204.5萬159.48%1,332.7萬54.47%-2,240.6萬61.80%-4,920.9萬-247.16%-1.29億-441.43%-4,361.8萬-496.97%-3,546.6萬-170.13%-2,752.4萬-71.89%-2,220.8萬
無形資產交易淨額 63.09%-108.1萬4.34%-292.9萬-1,017.52%-306.2萬29.20%-27.4萬72.75%-38.7萬45.43%-142萬-32.88%-19.4萬70.28%-61.1萬-45.15%-47.9萬-94.29%-13.6萬
業務交易淨額 --3,074.5萬--0---------94.45%100.9萬535.80%1,816.4萬---74.1萬486.53%1,890.5萬--0--0
投資物業交易淨額 ------------------------------0--------
投資產品交易淨額 --0--26.4萬--0--84萬--------------0--0--0
已收到的股息(投資活動產生的現金流) ---------------------99.36%1,000--0--0--0-99.16%1,000
已收到的利息(投資活動產生的現金流) 54.36%30.1萬58.54%19.5萬38.20%12.3萬-62.45%8.9萬-46.86%23.7萬-36.38%44.6萬22.14%16萬7.95%9.5萬-54.15%9.4萬-64.98%9.7萬
其他投資變動淨額 --1,761.7萬------8,673.8萬------862.9萬--------------------
投資活動現金淨額 1,064.16%4,353.2萬-104.65%-451.5萬546.54%9,712.6萬45.24%-2,175.1萬64.42%-3,972.1萬-693.19%-1.12億-1,911.46%-4,439.3萬-145.25%-1,707.7萬-205.28%-2,790.9萬-624.55%-2,224.6萬
融資活動現金流量
債務發行/償還的淨額 -114.51%-5,811.2萬62.68%-2,709.1萬-771.63%-7,259萬-81.86%1,080.8萬-26.02%5,959萬1,208.87%8,054.8萬891.00%3,885.7萬1,138.71%2,138.7萬372.08%740.6萬301.41%1,289.8萬
普通股發行/回購的淨額 --0--3,027.4萬--0----------5,129萬--0--0--0--5,129萬
租賃融資增減 -5.40%-2,485萬-5.88%-2,357.6萬-10.79%-2,226.6萬11.04%-2,009.7萬-136.83%-2,259.1萬-7.60%-953.9萬2.96%-222.8萬0.24%-246.8萬-13.74%-242.6萬-23.19%-241.7萬
發行費用 --------------0-------87.8萬--0--0--0---87.8萬
已付利息(籌資活動產生的現金流) 26.22%-1,264萬8.84%-1,713.1萬8.87%-1,879.3萬-5.21%-2,062.2萬-278.89%-1,960萬-13.92%-517.3萬-43.76%-79.5萬-19.58%-194.2萬7.23%-123.2萬-16.22%-120.4萬
其他籌資費用淨額 180.17%213萬-130.30%-265.7萬-9.76%877萬1,660.51%971.8萬188.46%55.2萬-6,833.33%-62.4萬---3,000---2,000---2,000-30,750.00%-61.7萬
融資活動現金淨額 -132.63%-9,347.2萬61.69%-4,018.1萬-419.38%-1.05億-212.49%-2,019.3萬-84.47%1,795.1萬659.14%1.16億3,270.74%3,583.1萬375.70%1,697.5萬160.59%374.6萬728.16%5,907.2萬
現金淨流量
期初現金流 4.99%1,566.3萬-8.89%1,491.8萬-31.96%1,637.3萬6.14%2,406.4萬38.47%2,267.1萬-66.50%1,637.2萬76.69%3,119.3萬-11.02%2,893.3萬-12.17%4,100.1萬-66.50%1,637.2萬
現金變動 2,838.93%2,030.8萬146.50%69.1萬80.71%-148.6萬-651.14%-770.5萬-77.66%139.8萬119.51%625.8萬-560.58%-849.5萬114.86%222.1萬13.30%-1,204.4萬1,360.95%2,457.6萬
匯率變動影響 -122.22%-1.2萬74.19%5.4萬121.43%3.1萬380.00%1.4萬-112.20%-5,000109.49%4.1萬-1,000.00%-2.7萬-50.00%3.9萬91.14%-2.4萬121.90%5.3萬
期末現金 129.58%3,595.9萬4.99%1,566.3萬-8.89%1,491.8萬-31.96%1,637.3萬6.14%2,406.4萬38.47%2,267.1萬38.47%2,267.1萬76.69%3,119.3萬-11.02%2,893.3萬-12.17%4,100.1萬
自由現金流 123.68%6,508.1萬570.58%2,909.6萬-161.02%-618.3萬137.66%1,013.3萬79.37%-2,690.4萬-182.38%-1.3億-167.25%-4,390.4萬-212.96%-3,384.7萬-96.42%-1,799.4萬-254.52%-3,466.1萬
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