澳洲市場個股詳情

MFF MFF Capital Investments Ltd

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  • 4.210
  • -0.030-0.71%
延時20分鐘行情已收盤 11/18 16:00 (悉尼)
24.52億總市值5.44市盈率(靜)

MFF Capital Investments Ltd關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/06/30
(FY)2023/06/30
(FY)2022/06/30
(FY)2021/06/30
(FY)2020/06/30
(FY)2019/06/30
(FY)2018/06/30
(FY)2017/06/30
(FY)2016/06/30
(FY)2015/06/30
經營活動現金流量(直接法)
經營活動產生的現金收入
61.81%5.72億
13.58%3.53億
106.26%3.11億
-86.68%1.51億
234.05%11.32億
12.47%3.39億
92.05%3.01億
410.64%1.57億
-68.11%3,073.3萬
-48.98%9,638.6萬
銀行及客戶存款產生的現金收入
63.54%5.31億
11.80%3.25億
116.15%2.9億
-87.87%1.34億
256.24%11.07億
11.71%3.11億
104.43%2.78億
765.76%1.36億
--1,572.3萬
----
貸款產生的現金收入
185.59%580.9萬
6,680.00%203.4萬
-56.52%3萬
-84.84%6.9萬
-43.76%45.5萬
17.42%80.9萬
8,512.50%68.9萬
-94.16%8,000
--13.7萬
----
證券相關活動產生的現金收入
31.52%3,528.4萬
28.81%2,682.8萬
26.38%2,082.8萬
-32.69%1,648萬
-10.32%2,448.2萬
21.75%2,729.9萬
7.79%2,242.3萬
39.87%2,080.3萬
--1,487.3萬
----
現金付款
-8.77%-2.35億
59.40%-2.16億
43.57%-5.33億
-304.11%-9.44億
35.56%-2.34億
-28.84%-3.63億
-122.07%-2.81億
36.32%-1.27億
-25.48%-1.99億
27.23%-1.59億
銀行和客戶存款的現金付款
4.77%-1.71億
64.87%-1.79億
66.93%-5.11億
-1,550.37%-15.45億
70.35%-9,359.8萬
-23.63%-3.16億
-133.16%-2.55億
39.82%-1.1億
---1.82億
----
已繳所有稅款
-93.10%-6,001.2萬
-113.39%-3,107.8萬
-334.75%-1,456.4萬
97.41%-335萬
-211.09%-1.29億
-131.60%-4,160.2萬
-362.96%-1,796.3萬
40.04%-388萬
---647.1萬
----
經營活動產生的其他現金付款
24.23%-437.9萬
21.54%-577.9萬
-101.22%-736.6萬
5,788.90%6.04億
-101.33%-1,061.6萬
34.94%-527.3萬
39.19%-810.5萬
-26.21%-1,332.9萬
-27.98%-1,056.1萬
-451.24%-825.2萬
經營活動現金淨額
145.53%3.36億
161.84%1.37億
72.06%-2.22億
-188.27%-7.93億
3,908.54%8.99億
-218.09%-2,359.7萬
-33.86%1,998.3萬
117.95%3,021.2萬
-170.48%-1.68億
-114.25%-6,221.5萬
投資活動現金流量
持續投資活動現金淨額
非持續投資現金淨額
融資活動現金流量
持續融資活動現金淨額
-93.85%-2.75億
-156.40%-1.42億
116.74%2.52億
153.10%1.16億
-1,021.99%-2.19億
215.58%2,373.3萬
31.25%-2,053.3萬
-126.70%-2,986.8萬
-6.29%1.12億
362.36%1.19億
債務發行/償還的淨額
-194.31%-1.88億
-125.50%-6,401.3萬
145.11%2.51億
192.45%1.02億
-383.86%-1.11億
160.18%3,902.4萬
-80.88%-6,484.3萬
-131.63%-3,584.8萬
595.76%1.13億
-184.61%-2,286.4萬
普通股發行/回購的淨額
25.75%-1,749.5萬
-172.54%-2,356.2萬
-18.96%3,248.2萬
--4,008.1萬
----
----
256.70%5,593.7萬
105.80%1,568.2萬
-94.94%762萬
1,639.40%1.51億
現金股利支付
-22.31%-4,604.6萬
-24.13%-3,764.7萬
-16.69%-3,032.9萬
75.67%-2,599萬
-710.79%-1.07億
-22.00%-1,317.4萬
-39.83%-1,079.8萬
-0.59%-772.2萬
-24.18%-767.7萬
-5.48%-618.2萬
已付利息(籌資活動產生的現金流)
-39.18%-2,329.9萬
-1,151.12%-1,674萬
-331.61%-133.8萬
74.78%-31萬
41.95%-122.9萬
-155.37%-211.7萬
58.13%-82.9萬
-40.63%-198萬
32.92%-140.8萬
47.42%-209.9萬
其他融資活動的淨現金流額
-1.85%-5.5萬
---5.4萬
----
----
----
----
----
----
----
----
非持續融資活動現金淨額
融資活動現金流淨額
-93.85%-2.75億
-156.40%-1.42億
116.74%2.52億
153.10%1.16億
-1,021.99%-2.19億
215.58%2,373.3萬
31.25%-2,053.3萬
-126.70%-2,986.8萬
-6.29%1.12億
362.36%1.19億
現金淨流量
期初現金流
-14.95%2,824.8萬
998.71%3,321.4萬
-99.56%302.3萬
278,641.80%6.8億
125.93%24.4萬
-83.59%10.8萬
109.55%65.8萬
-99.45%31.4萬
39,711.81%5,732.9萬
-95.71%14.4萬
當期現金流變化
1,332.38%6,120萬
-116.45%-496.6萬
104.46%3,019.1萬
-199.59%-6.77億
499,816.18%6.8億
124.73%13.6萬
-259.88%-55萬
100.61%34.4萬
-198.62%-5,639.4萬
1,879.25%5,718.5萬
利率變動影響
----
----
----
----
----
----
----
----
---62.1萬
----
期末現金流
216.65%8,944.8萬
-14.95%2,824.8萬
998.71%3,321.4萬
-99.56%302.3萬
278,641.80%6.8億
125.93%24.4萬
-83.59%10.8萬
109.55%65.8萬
-99.45%31.4萬
39,711.81%5,732.9萬
自由現金流
145.53%3.36億
161.84%1.37億
72.06%-2.22億
-188.27%-7.93億
3,908.54%8.99億
-218.09%-2,359.7萬
-33.86%1,998.3萬
117.95%3,021.2萬
-170.48%-1.68億
-114.25%-6,221.5萬
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)2024/06/30(FY)2023/06/30(FY)2022/06/30(FY)2021/06/30(FY)2020/06/30(FY)2019/06/30(FY)2018/06/30(FY)2017/06/30(FY)2016/06/30(FY)2015/06/30
經營活動現金流量(直接法)
經營活動產生的現金收入 61.81%5.72億13.58%3.53億106.26%3.11億-86.68%1.51億234.05%11.32億12.47%3.39億92.05%3.01億410.64%1.57億-68.11%3,073.3萬-48.98%9,638.6萬
銀行及客戶存款產生的現金收入 63.54%5.31億11.80%3.25億116.15%2.9億-87.87%1.34億256.24%11.07億11.71%3.11億104.43%2.78億765.76%1.36億--1,572.3萬----
貸款產生的現金收入 185.59%580.9萬6,680.00%203.4萬-56.52%3萬-84.84%6.9萬-43.76%45.5萬17.42%80.9萬8,512.50%68.9萬-94.16%8,000--13.7萬----
證券相關活動產生的現金收入 31.52%3,528.4萬28.81%2,682.8萬26.38%2,082.8萬-32.69%1,648萬-10.32%2,448.2萬21.75%2,729.9萬7.79%2,242.3萬39.87%2,080.3萬--1,487.3萬----
現金付款 -8.77%-2.35億59.40%-2.16億43.57%-5.33億-304.11%-9.44億35.56%-2.34億-28.84%-3.63億-122.07%-2.81億36.32%-1.27億-25.48%-1.99億27.23%-1.59億
銀行和客戶存款的現金付款 4.77%-1.71億64.87%-1.79億66.93%-5.11億-1,550.37%-15.45億70.35%-9,359.8萬-23.63%-3.16億-133.16%-2.55億39.82%-1.1億---1.82億----
已繳所有稅款 -93.10%-6,001.2萬-113.39%-3,107.8萬-334.75%-1,456.4萬97.41%-335萬-211.09%-1.29億-131.60%-4,160.2萬-362.96%-1,796.3萬40.04%-388萬---647.1萬----
經營活動產生的其他現金付款 24.23%-437.9萬21.54%-577.9萬-101.22%-736.6萬5,788.90%6.04億-101.33%-1,061.6萬34.94%-527.3萬39.19%-810.5萬-26.21%-1,332.9萬-27.98%-1,056.1萬-451.24%-825.2萬
經營活動現金淨額 145.53%3.36億161.84%1.37億72.06%-2.22億-188.27%-7.93億3,908.54%8.99億-218.09%-2,359.7萬-33.86%1,998.3萬117.95%3,021.2萬-170.48%-1.68億-114.25%-6,221.5萬
投資活動現金流量
持續投資活動現金淨額
非持續投資現金淨額
融資活動現金流量
持續融資活動現金淨額 -93.85%-2.75億-156.40%-1.42億116.74%2.52億153.10%1.16億-1,021.99%-2.19億215.58%2,373.3萬31.25%-2,053.3萬-126.70%-2,986.8萬-6.29%1.12億362.36%1.19億
債務發行/償還的淨額 -194.31%-1.88億-125.50%-6,401.3萬145.11%2.51億192.45%1.02億-383.86%-1.11億160.18%3,902.4萬-80.88%-6,484.3萬-131.63%-3,584.8萬595.76%1.13億-184.61%-2,286.4萬
普通股發行/回購的淨額 25.75%-1,749.5萬-172.54%-2,356.2萬-18.96%3,248.2萬--4,008.1萬--------256.70%5,593.7萬105.80%1,568.2萬-94.94%762萬1,639.40%1.51億
現金股利支付 -22.31%-4,604.6萬-24.13%-3,764.7萬-16.69%-3,032.9萬75.67%-2,599萬-710.79%-1.07億-22.00%-1,317.4萬-39.83%-1,079.8萬-0.59%-772.2萬-24.18%-767.7萬-5.48%-618.2萬
已付利息(籌資活動產生的現金流) -39.18%-2,329.9萬-1,151.12%-1,674萬-331.61%-133.8萬74.78%-31萬41.95%-122.9萬-155.37%-211.7萬58.13%-82.9萬-40.63%-198萬32.92%-140.8萬47.42%-209.9萬
其他融資活動的淨現金流額 -1.85%-5.5萬---5.4萬--------------------------------
非持續融資活動現金淨額
融資活動現金流淨額 -93.85%-2.75億-156.40%-1.42億116.74%2.52億153.10%1.16億-1,021.99%-2.19億215.58%2,373.3萬31.25%-2,053.3萬-126.70%-2,986.8萬-6.29%1.12億362.36%1.19億
現金淨流量
期初現金流 -14.95%2,824.8萬998.71%3,321.4萬-99.56%302.3萬278,641.80%6.8億125.93%24.4萬-83.59%10.8萬109.55%65.8萬-99.45%31.4萬39,711.81%5,732.9萬-95.71%14.4萬
當期現金流變化 1,332.38%6,120萬-116.45%-496.6萬104.46%3,019.1萬-199.59%-6.77億499,816.18%6.8億124.73%13.6萬-259.88%-55萬100.61%34.4萬-198.62%-5,639.4萬1,879.25%5,718.5萬
利率變動影響 -----------------------------------62.1萬----
期末現金流 216.65%8,944.8萬-14.95%2,824.8萬998.71%3,321.4萬-99.56%302.3萬278,641.80%6.8億125.93%24.4萬-83.59%10.8萬109.55%65.8萬-99.45%31.4萬39,711.81%5,732.9萬
自由現金流 145.53%3.36億161.84%1.37億72.06%-2.22億-188.27%-7.93億3,908.54%8.99億-218.09%-2,359.7萬-33.86%1,998.3萬117.95%3,021.2萬-170.48%-1.68億-114.25%-6,221.5萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

分析

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