澳洲市場個股詳情

HLI Helia Group Ltd

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  • 3.580
  • -1.270-26.19%
延時20分鐘行情交易中 03/24 14:30 (悉尼)
9.75億總市值4.49市盈率(靜)

Helia Group Ltd關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/12/30
(FY)2023/12/30
(FY)2022/12/30
(FY)2021/12/30
(FY)2020/12/30
(FY)2019/12/30
(FY)2018/12/30
(FY)2017/12/30
(FY)2016/12/30
(FY)2015/12/30
經營活動現金流(直接法)
經營活動產生的現金收入
10.77%1.91億
-4.17%1.73億
-55.73%1.8億
-10.78%4.07億
19.69%4.56億
31.92%3.81億
1.04%2.89億
-7.76%2.86億
-33.27%3.1億
24.15%4.64億
從保險業務收到的現金
9.33%3.31億
-25.48%3.03億
-38.64%4.06億
-3.26%6.62億
18.56%6.85億
8.97%5.77億
10.83%5.3億
-7.30%4.78億
-22.36%5.16億
35.65%6.64億
經營活動產生的其他現金收入
-7.42%-1.4億
42.45%-1.3億
11.39%-2.26億
-11.76%-2.55億
-16.38%-2.29億
18.55%-1.96億
-25.38%-2.41億
6.61%-1.92億
-2.98%-2.06億
-72.83%-2億
現金付款
70.21%-5,680.3萬
-83.26%-1.91億
-67.03%-1.04億
60.96%-6,229萬
15.71%-1.6億
-0.99%-1.89億
17.51%-1.87億
-9.39%-2.27億
16.28%-2.08億
-155.56%-2.48億
為保險業務支付的現金
31.90%-4,565.7萬
-131.36%-6,704萬
29.57%-2,897.6萬
66.80%-4,114.1萬
7.49%-1.24億
9.27%-1.34億
-0.59%-1.48億
-70.94%-1.47億
-8.75%-8,586.4萬
-61.34%-7,895.9萬
已交所有稅款
107.11%756.3萬
-75.33%-1.06億
-582.68%-6,062.9萬
62.08%-888.1萬
48.39%-2,342.1萬
-57.69%-4,538.5萬
58.72%-2,878.2萬
36.79%-6,973.1萬
28.95%-1.1億
-279.67%-1.55億
經營活動產生的其他現金付款
-7.95%-1,870.9萬
-20.05%-1,733.1萬
-17.68%-1,443.7萬
-0.64%-1,226.8萬
-22.75%-1,219萬
9.69%-993.1萬
-2.81%-1,099.7萬
7.21%-1,069.6萬
17.03%-1,152.7萬
-91.60%-1,389.3萬
經營活動現金淨額
845.56%1.34億
-123.69%-1,803萬
-77.92%7,610.5萬
16.21%3.45億
54.62%2.97億
89.07%1.92億
72.87%1.01億
-42.59%5,869萬
-52.75%1.02億
-21.90%2.16億
投資活動現金流
持續投資活動現金淨額
-46.15%2.14億
98.66%3.97億
158.06%2億
-48.62%-3.44億
-356.70%-2.32億
-64.73%9,023.7萬
112.86%2.56億
-68.30%1.2億
110.26%3.79億
205.94%1.8億
固定資產交易淨額
-109.34%-9.1萬
-18.08%97.4萬
-32.98%118.9萬
61.27%177.4萬
173.28%110萬
87.11%-150.1萬
-791.42%-1,164.2萬
14.08%-130.6萬
-505.58%-152萬
11.31%-25.1萬
投資產品交易淨額
-45.99%2.14億
99.36%3.96億
157.42%1.99億
-48.68%-3.46億
-353.70%-2.33億
-65.71%9,173.8萬
120.15%2.68億
-68.09%1.22億
110.81%3.81億
176.13%1.81億
非持續投資活動現金淨額
投資活動現金流淨額
-46.15%2.14億
98.66%3.97億
158.06%2億
-48.62%-3.44億
-356.70%-2.32億
-64.73%9,023.7萬
112.86%2.56億
-68.30%1.2億
110.26%3.79億
205.94%1.8億
融資活動現金流
持續融資活動現金淨額
15.31%-2.93億
-5.15%-3.46億
-1,087.87%-3.29億
41.92%-2,769.3萬
85.73%-4,767.7萬
-28.64%-3.34億
-34.20%-2.6億
61.45%-1.94億
-23.26%-5.02億
-2,137.33%-4.07億
債務發行/償還的淨額
53.72%-140.7萬
38.75%-304萬
-6.75%-496.3萬
72.22%-464.9萬
-374.57%-1,673.8萬
---352.7萬
----
----
-147.63%-4,961.9萬
118.37%1.04億
普通股發行/回購的淨額
27.37%-1.13億
13.65%-1.56億
-7,380.15%-1.81億
---241.8萬
----
57.13%-6,390.4萬
-192.96%-1.49億
74.86%-5,088.3萬
-34.96%-2.02億
-126.46%-1.5億
現金股利支付
4.61%-1.78億
-30.44%-1.87億
-593.90%-1.43億
33.33%-2,062.6萬
88.40%-3,093.9萬
-141.03%-2.67億
22.44%-1.11億
42.93%-1.43億
30.85%-2.5億
-1,885.71%-3.61億
非持續融資活動現金淨額
融資活動現金流淨額
15.31%-2.93億
-5.15%-3.46億
-1,087.87%-3.29億
41.92%-2,769.3萬
85.73%-4,767.7萬
-28.64%-3.34億
-34.20%-2.6億
61.45%-1.94億
-23.26%-5.02億
-2,137.33%-4.07億
現金淨流量
期初現金流
139.29%5,704.9萬
-68.93%2,384.1萬
-26.62%7,672.4萬
19.83%1.05億
-38.31%8,725.4萬
228.76%1.41億
-25.35%4,302.5萬
-26.22%5,763.4萬
-11.83%7,811.4萬
--8,859.6萬
當期現金流變化
66.83%5,532.9萬
162.62%3,316.5萬
-94.07%-5,296.5萬
-258.03%-2,729.1萬
133.20%1,726.9萬
-153.27%-5,200.9萬
768.33%9,763.7萬
28.67%-1,460.9萬
-95.38%-2,048萬
-111.83%-1,048.2萬
利率變動影響
-95.35%2,000
-47.56%4.3萬
115.13%8.2萬
-1,694.12%-54.2萬
101.55%3.4萬
-377.54%-218.7萬
--78.8萬
----
----
----
期末現金
96.99%1.12億
139.29%5,704.9萬
-68.93%2,384.1萬
-26.62%7,672.4萬
19.83%1.05億
-38.31%8,725.4萬
228.76%1.41億
-25.35%4,302.5萬
-26.22%5,763.4萬
-11.83%7,811.4萬
自由現金流
835.15%1.34億
-124.20%-1,827.3萬
-78.09%7,550.6萬
16.42%3.45億
56.34%2.96億
110.85%1.89億
56.51%8,981.3萬
-43.02%5,738.4萬
-53.40%1.01億
-21.91%2.16億
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)2024/12/30(FY)2023/12/30(FY)2022/12/30(FY)2021/12/30(FY)2020/12/30(FY)2019/12/30(FY)2018/12/30(FY)2017/12/30(FY)2016/12/30(FY)2015/12/30
經營活動現金流(直接法)
經營活動產生的現金收入 10.77%1.91億-4.17%1.73億-55.73%1.8億-10.78%4.07億19.69%4.56億31.92%3.81億1.04%2.89億-7.76%2.86億-33.27%3.1億24.15%4.64億
從保險業務收到的現金 9.33%3.31億-25.48%3.03億-38.64%4.06億-3.26%6.62億18.56%6.85億8.97%5.77億10.83%5.3億-7.30%4.78億-22.36%5.16億35.65%6.64億
經營活動產生的其他現金收入 -7.42%-1.4億42.45%-1.3億11.39%-2.26億-11.76%-2.55億-16.38%-2.29億18.55%-1.96億-25.38%-2.41億6.61%-1.92億-2.98%-2.06億-72.83%-2億
現金付款 70.21%-5,680.3萬-83.26%-1.91億-67.03%-1.04億60.96%-6,229萬15.71%-1.6億-0.99%-1.89億17.51%-1.87億-9.39%-2.27億16.28%-2.08億-155.56%-2.48億
為保險業務支付的現金 31.90%-4,565.7萬-131.36%-6,704萬29.57%-2,897.6萬66.80%-4,114.1萬7.49%-1.24億9.27%-1.34億-0.59%-1.48億-70.94%-1.47億-8.75%-8,586.4萬-61.34%-7,895.9萬
已交所有稅款 107.11%756.3萬-75.33%-1.06億-582.68%-6,062.9萬62.08%-888.1萬48.39%-2,342.1萬-57.69%-4,538.5萬58.72%-2,878.2萬36.79%-6,973.1萬28.95%-1.1億-279.67%-1.55億
經營活動產生的其他現金付款 -7.95%-1,870.9萬-20.05%-1,733.1萬-17.68%-1,443.7萬-0.64%-1,226.8萬-22.75%-1,219萬9.69%-993.1萬-2.81%-1,099.7萬7.21%-1,069.6萬17.03%-1,152.7萬-91.60%-1,389.3萬
經營活動現金淨額 845.56%1.34億-123.69%-1,803萬-77.92%7,610.5萬16.21%3.45億54.62%2.97億89.07%1.92億72.87%1.01億-42.59%5,869萬-52.75%1.02億-21.90%2.16億
投資活動現金流
持續投資活動現金淨額 -46.15%2.14億98.66%3.97億158.06%2億-48.62%-3.44億-356.70%-2.32億-64.73%9,023.7萬112.86%2.56億-68.30%1.2億110.26%3.79億205.94%1.8億
固定資產交易淨額 -109.34%-9.1萬-18.08%97.4萬-32.98%118.9萬61.27%177.4萬173.28%110萬87.11%-150.1萬-791.42%-1,164.2萬14.08%-130.6萬-505.58%-152萬11.31%-25.1萬
投資產品交易淨額 -45.99%2.14億99.36%3.96億157.42%1.99億-48.68%-3.46億-353.70%-2.33億-65.71%9,173.8萬120.15%2.68億-68.09%1.22億110.81%3.81億176.13%1.81億
非持續投資活動現金淨額
投資活動現金流淨額 -46.15%2.14億98.66%3.97億158.06%2億-48.62%-3.44億-356.70%-2.32億-64.73%9,023.7萬112.86%2.56億-68.30%1.2億110.26%3.79億205.94%1.8億
融資活動現金流
持續融資活動現金淨額 15.31%-2.93億-5.15%-3.46億-1,087.87%-3.29億41.92%-2,769.3萬85.73%-4,767.7萬-28.64%-3.34億-34.20%-2.6億61.45%-1.94億-23.26%-5.02億-2,137.33%-4.07億
債務發行/償還的淨額 53.72%-140.7萬38.75%-304萬-6.75%-496.3萬72.22%-464.9萬-374.57%-1,673.8萬---352.7萬---------147.63%-4,961.9萬118.37%1.04億
普通股發行/回購的淨額 27.37%-1.13億13.65%-1.56億-7,380.15%-1.81億---241.8萬----57.13%-6,390.4萬-192.96%-1.49億74.86%-5,088.3萬-34.96%-2.02億-126.46%-1.5億
現金股利支付 4.61%-1.78億-30.44%-1.87億-593.90%-1.43億33.33%-2,062.6萬88.40%-3,093.9萬-141.03%-2.67億22.44%-1.11億42.93%-1.43億30.85%-2.5億-1,885.71%-3.61億
非持續融資活動現金淨額
融資活動現金流淨額 15.31%-2.93億-5.15%-3.46億-1,087.87%-3.29億41.92%-2,769.3萬85.73%-4,767.7萬-28.64%-3.34億-34.20%-2.6億61.45%-1.94億-23.26%-5.02億-2,137.33%-4.07億
現金淨流量
期初現金流 139.29%5,704.9萬-68.93%2,384.1萬-26.62%7,672.4萬19.83%1.05億-38.31%8,725.4萬228.76%1.41億-25.35%4,302.5萬-26.22%5,763.4萬-11.83%7,811.4萬--8,859.6萬
當期現金流變化 66.83%5,532.9萬162.62%3,316.5萬-94.07%-5,296.5萬-258.03%-2,729.1萬133.20%1,726.9萬-153.27%-5,200.9萬768.33%9,763.7萬28.67%-1,460.9萬-95.38%-2,048萬-111.83%-1,048.2萬
利率變動影響 -95.35%2,000-47.56%4.3萬115.13%8.2萬-1,694.12%-54.2萬101.55%3.4萬-377.54%-218.7萬--78.8萬------------
期末現金 96.99%1.12億139.29%5,704.9萬-68.93%2,384.1萬-26.62%7,672.4萬19.83%1.05億-38.31%8,725.4萬228.76%1.41億-25.35%4,302.5萬-26.22%5,763.4萬-11.83%7,811.4萬
自由現金流 835.15%1.34億-124.20%-1,827.3萬-78.09%7,550.6萬16.42%3.45億56.34%2.96億110.85%1.89億56.51%8,981.3萬-43.02%5,738.4萬-53.40%1.01億-21.91%2.16億
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP