(FY)2024/04/30 | (FY)2023/04/30 | (FY)2022/04/30 | (FY)2021/04/30 | (FY)2020/04/30 | (Q2)2019/10/31 | (Q1)2019/07/31 | (FY)2019/04/30 | (Q4)2019/04/30 | (Q3)2019/01/31 | |
---|---|---|---|---|---|---|---|---|---|---|
經營活動現金流量(間接法) | ||||||||||
經營活動產生的現金 | 3.30%2,605.6萬 | 485.79%2,522.4萬 | -87.46%430.6萬 | 158.18%3,433萬 | 236.38%1,329.7萬 | -431.82%-175.5萬 | 284.66%497.3萬 | -82.61%395.3萬 | 58.36%873.5萬 | -154.41%-175.9萬 |
扣除非現金調整前淨利潤 | 32.67%782.5萬 | -17.29%589.8萬 | 59.00%713.1萬 | 245.00%448.5萬 | -238.39%-309.3萬 | -297.33%-88.8萬 | 110.04%48.1萬 | -72.83%223.5萬 | -46.64%99.3萬 | -65.82%56.3萬 |
非現金項目調整總額 | -24.01%557.7萬 | -4.51%733.9萬 | -35.01%768.6萬 | -3.56%1,182.7萬 | 15.77%1,226.3萬 | 27.98%299.6萬 | 167.55%517.7萬 | -9.61%1,059.3萬 | 60.17%263.8萬 | -22.97%367.9萬 |
-折舊與攤銷 | -9.43%667.3萬 | -11.34%736.8萬 | -6.03%831萬 | -6.47%884.3萬 | 29.97%945.5萬 | 26.81%234.1萬 | 27.28%236.1萬 | -5.49%727.5萬 | -12.31%171.6萬 | -4.57%185.8萬 |
-在損益中確認的減值損失回撥 | 142.86%3,000 | -138.89%-7,000 | 357.14%1.8萬 | -153.85%-7,000 | 176.47%1.3萬 | -5.26%1.8萬 | -50.00%-3,000 | -30.77%-1.7萬 | -120.00%-4,000 | -500.00%-3萬 |
-資產準備金與勾銷 | -119.90%-7.7萬 | 165.07%38.7萬 | -3.31%14.6萬 | 894.74%15.1萬 | -109.22%-1.9萬 | -67.50%3.9萬 | -53.06%2.3萬 | 1,080.95%20.6萬 | 92.99%-1.5萬 | -24.64%5.2萬 |
-聯營企業份額 | 41.02%-83.1萬 | 31.00%-140.9萬 | -81.51%-204.2萬 | -198.41%-112.5萬 | -26.94%-37.7萬 | 162.07%5.4萬 | -331.71%-9.5萬 | 81.86%-29.7萬 | 231.25%2.1萬 | 56.76%-27.2萬 |
-處置利潤 | -173.50%-160萬 | -891.53%-58.5萬 | -116.12%-5.9萬 | 359.57%36.6萬 | -176.47%-14.1萬 | 49.28%-3.5萬 | -122.76%-3.3萬 | 64.08%-5.1萬 | 104.98%1.5萬 | -139.55%-14.2萬 |
-匯兌損益淨額 | -8.89%-289萬 | -37.23%-265.4萬 | -8,308.70%-193.4萬 | 97.86%-2.3萬 | -51.20%-107.5萬 | -53.86%-67.7萬 | 272.54%191萬 | -135.89%-71.1萬 | 55.76%-33.8萬 | -44.28%117.4萬 |
-以股票支付的報酬 | ---- | ---- | ---- | -72.19%5.2萬 | -33.92%18.7萬 | ---- | ---- | --28.3萬 | ---- | ---- |
-其他非現金項目 | 1.42%429.9萬 | 30.55%423.9萬 | -9.05%324.7萬 | -15.40%357萬 | 8.07%422萬 | 18.28%112.6萬 | 6.29%101.4萬 | 1.35%390.5萬 | -0.52%96萬 | 11.96%103.9萬 |
營運資本變動 | 5.56%1,265.4萬 | 214.04%1,198.7萬 | -158.34%-1,051.1萬 | 336.59%1,801.8萬 | 146.50%412.7萬 | -23.84%-386.5萬 | 85.94%-68.3萬 | -418.33%-887.5萬 | 154.18%510.4萬 | -88.12%-600.1萬 |
-應收款(增)減 | -139.47%-200.6萬 | 0.77%508.2萬 | -29.14%504.3萬 | 54.28%711.7萬 | -33.45%461.3萬 | 263.00%149.8萬 | -193.56%-213.7萬 | -21.25%693.2萬 | 53.11%521.2萬 | 117.71%35.5萬 |
-存貨(增)減 | 76.13%1,673.6萬 | 170.73%950.2萬 | -254.07%-1,343.5萬 | 388.24%872萬 | 145.27%178.6萬 | 96.61%-17.1萬 | -1,374.34%-144萬 | 60.69%-394.5萬 | 280.69%176.9萬 | 80.25%-78.4萬 |
-應付款(減)增 | 20.06%-207.6萬 | -22.56%-259.7萬 | -197.16%-211.9萬 | 195.99%218.1萬 | 80.85%-227.2萬 | -282.75%-519.2萬 | 139.90%289.4萬 | -395.00%-1,186.2萬 | -350.12%-187.7萬 | -300.22%-557.2萬 |
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) | -5.60%-482.7萬 | -32.53%-457.1萬 | 9.55%-344.9萬 | 13.46%-381.3萬 | -5.89%-440.6萬 | -18.11%-117.4萬 | -5.54%-106.7萬 | -2.74%-416.1萬 | -5.24%-108.5萬 | -9.06%-107.1萬 |
已收到的利息(經營活動產生的現金流) | 59.04%52.8萬 | 64.36%33.2萬 | -16.87%20.2萬 | 30.65%24.3萬 | -27.34%18.6萬 | 14.29%4.8萬 | -7.02%5.3萬 | 29.95%25.6萬 | 89.39%12.5萬 | -40.74%3.2萬 |
已支付退稅 | 23.80%-188.6萬 | 3.43%-247.5萬 | -12.51%-256.3萬 | -33.37%-227.8萬 | 17.53%-170.8萬 | 14.95%-74.5萬 | 53.75%-17.9萬 | 20.56%-207.1萬 | 126.16%7.3萬 | -21.52%-88.1萬 |
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 | 7.35%1,987.1萬 | 1,330.72%1,851萬 | -105.28%-150.4萬 | 286.51%2,848.2萬 | 464.26%736.9萬 | -68.03%-362.6萬 | 193.70%378萬 | -112.43%-202.3萬 | 83.71%784.8萬 | -332.85%-367.9萬 |
投資活動現金流量 | ||||||||||
物業、廠房及設備交易淨額 | 235.22%200.4萬 | 79.41%-148.2萬 | -94.41%-719.9萬 | -135.41%-370.3萬 | 9.96%-157.3萬 | 61.16%-22.1萬 | 62.98%-27.1萬 | 63.42%-174.7萬 | 17.43%-73.9萬 | 116.40%29.3萬 |
已收到的股息(投資活動產生的現金流) | -22.50%189.4萬 | 28.23%244.4萬 | 0.95%190.6萬 | 79.64%188.8萬 | 0.86%105.1萬 | ---- | ---- | 196.02%104.2萬 | ---2,000 | --17.4萬 |
投資活動現金淨額 | 305.20%389.8萬 | 118.17%96.2萬 | -191.63%-529.3萬 | -247.70%-181.5萬 | 25.96%-52.2萬 | 175.75%83萬 | 62.98%-27.1萬 | 84.06%-70.5萬 | 17.21%-74.1萬 | 126.13%46.7萬 |
融資活動現金流量 | ||||||||||
債務發行/償還的淨額 | 16.08%-1,472.3萬 | -355.65%-1,754.5萬 | 201.12%686.3萬 | -165.07%-678.7萬 | 667.21%1,043.1萬 | 113.81%614.7萬 | 687.01%329.9萬 | 74.71%-183.9萬 | -2,948.20%-676.7萬 | 950.20%261.5萬 |
租賃融資增減 | -10.97%-233.6萬 | 12.69%-210.5萬 | 2.15%-241.1萬 | 2.57%-246.4萬 | ---252.9萬 | ---55.3萬 | ---56.9萬 | --0 | ---- | ---- |
已支付現金股息 | 0.00%-356.1萬 | -20.02%-356.1萬 | -150.59%-296.7萬 | 49.87%-118.4萬 | -0.25%-236.2萬 | ---- | ---- | 33.33%-235.6萬 | --0 | ---- |
其他籌資費用淨額 | ---- | ---- | ---- | ---- | ---- | 89.44%-5.5萬 | 73.16%-6.2萬 | -2.66%-88.7萬 | 79.90%-4.1萬 | 61.79%-9.4萬 |
融資活動現金淨額 | 11.16%-2,062萬 | -1,663.03%-2,321.1萬 | 114.23%148.5萬 | -288.36%-1,043.5萬 | 209.01%554萬 | 158,950.00%317.7萬 | 436.44%266.8萬 | 56.46%-508.2萬 | -1,498.12%-680.8萬 | 83,933.33%252.1萬 |
現金淨流量 | ||||||||||
期初現金流 | -15.46%3,029.4萬 | -14.34%3,583.6萬 | 62.59%4,183.4萬 | 87.69%2,573萬 | -37.34%1,370.9萬 | 24.36%2,008.5萬 | -37.34%1,370.9萬 | 0.85%2,187.7萬 | -28.72%1,355.4萬 | -26.28%1,381.6萬 |
現金變動 | 184.22%314.9萬 | 29.61%-373.9萬 | -132.73%-531.2萬 | 31.04%1,623.2萬 | 258.60%1,238.7萬 | 120.49%38.1萬 | 211.12%617.7萬 | -4,487.64%-781萬 | -89.87%29.9萬 | -238.73%-69.1萬 |
匯率變動影響 | 50.14%-89.9萬 | -162.83%-180.3萬 | -435.94%-68.6萬 | 65.03%-12.8萬 | -2.23%-36.6萬 | 59.45%-19.3萬 | 219.16%19.9萬 | -6,066.67%-35.8萬 | -61.80%-14.4萬 | -10.25%42.9萬 |
期末現金 | 7.43%3,254.4萬 | -15.46%3,029.4萬 | -14.34%3,583.6萬 | 62.59%4,183.4萬 | 87.69%2,573萬 | 46.74%2,027.3萬 | 24.36%2,008.5萬 | -37.34%1,370.9萬 | -37.34%1,370.9萬 | -28.72%1,355.4萬 |
自由現金流 | 5.75%1,785.5萬 | 292.39%1,688.4萬 | -135.56%-877.6萬 | 340.38%2,467.9萬 | 221.12%560.4萬 | -47.15%-402.9萬 | 173.46%350.9萬 | -140.78%-462.7萬 | 125.05%748.5萬 | -2,048.13%-459.7萬 |
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