(FY)2024/07/31 | (FY)2023/07/31 | (FY)2022/07/31 | (FY)2021/07/31 | (FY)2020/07/31 | (Q2)2020/01/31 | (Q1)2019/10/31 | (FY)2019/07/31 | (Q4)2019/07/31 | (Q3)2019/04/30 | |
---|---|---|---|---|---|---|---|---|---|---|
經營活動現金流量(間接法) | ||||||||||
經營活動產生的現金 | 69.23%1,227.1萬 | -29.84%725.1萬 | -30.24%1,033.5萬 | -52.61%1,481.6萬 | 7.76%3,126.2萬 | 28.12%1,162.7萬 | 4.78%686.7萬 | -0.88%2,901萬 | 88.48%944.1萬 | -63.88%394萬 |
扣除非現金調整前淨利潤 | 204.54%333.6萬 | -13.80%-319.1萬 | -174.57%-280.4萬 | 122.75%376萬 | 666.44%168.8萬 | 224.48%95.6萬 | 296.32%129.2萬 | -101.97%-29.8萬 | -97.48%11.6萬 | -98.68%2.8萬 |
非現金項目調整總額 | -63.56%441.3萬 | -26.99%1,211.1萬 | 1.51%1,658.8萬 | -19.78%1,634.2萬 | -19.70%2,037.1萬 | -18.86%552.4萬 | -16.86%565.6萬 | -4.50%2,536.9萬 | -7.33%577.9萬 | -16.23%597.9萬 |
-折舊與攤銷 | 11.67%1,514.3萬 | -25.24%1,356萬 | -13.30%1,813.7萬 | -8.64%2,092萬 | -11.89%2,289.8萬 | -12.06%586萬 | -8.23%621萬 | -3.99%2,598.8萬 | -14.57%593.3萬 | -3.43%662.4萬 |
-在損益中確認的減值損失回撥 | -101.27%-7,000 | -32.31%55.1萬 | 387.43%81.4萬 | -80.54%16.7萬 | 26.74%85.8萬 | -28.06%10萬 | -60.93%5.9萬 | 612.88%67.7萬 | 289.52%39.8萬 | -127.50%-1.1萬 |
-處置利潤 | -734.24%-955.2萬 | 14.93%-114.5萬 | 64.46%-134.6萬 | -80.25%-378.7萬 | -297.16%-210.1萬 | -64.74%6.7萬 | -932.08%-44.1萬 | -11.13%-52.9萬 | 73.83%-14萬 | -323.32%-63.2萬 |
-匯兌損益淨額 | -55.17%6.5萬 | 368.52%14.5萬 | -235.00%-5.4萬 | 2.56%4萬 | 234.48%3.9萬 | -543.33%-19.3萬 | 312.50%10.2萬 | -147.54%-2.9萬 | -249.23%-9.7萬 | 380.77%14.6萬 |
-其他非現金項目 | -23.60%-123.6萬 | -3.84%-100萬 | 3.51%-96.3萬 | 24.57%-99.8萬 | -79.27%-132.3萬 | -100.00%-31萬 | -128.33%-27.4萬 | -1,740.00%-73.8萬 | -986.21%-31.5萬 | -2,214.29%-14.8萬 |
營運資本變動 | 370.94%452.2萬 | 51.61%-166.9萬 | 34.75%-344.9萬 | -157.44%-528.6萬 | 133.64%920.3萬 | 69.59%514.7萬 | 85.91%-8.1萬 | 131.66%393.9萬 | 160.80%354.6萬 | -224.82%-206.7萬 |
-存貨(增)減 | 109.49%156.7萬 | 750.43%74.8萬 | -122.37%-11.5萬 | 187.56%51.4萬 | 45.50%-58.7萬 | 58.76%-8萬 | 109.63%15.3萬 | -315.83%-107.7萬 | -40.35%71.4萬 | -102.65%-9,000 |
-預付費用(增)減 | 30.34%481.6萬 | 121.13%369.5萬 | 156.47%167.1萬 | -125.93%-295.9萬 | 12.92%1,141.3萬 | -54.18%262.2萬 | 6.16%215.5萬 | 704.12%1,010.7萬 | 143.65%382.3萬 | -140.38%-146.9萬 |
-應付款(減)增 | 69.55%-186.1萬 | -22.12%-611.2萬 | -76.17%-500.5萬 | -75.05%-284.1萬 | 68.12%-162.3萬 | 204.45%260.5萬 | -134.91%-238.9萬 | 54.81%-509.1萬 | -157.32%-99.1萬 | 74.62%-58.9萬 |
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) | -95.70%-136.6萬 | -132.67%-69.8萬 | 15.25%-30萬 | 68.78%-35.4萬 | 29.21%-113.4萬 | 43.19%-24.2萬 | 30.13%-32萬 | -14.02%-160.2萬 | 14.29%-30.6萬 | -7.57%-41.2萬 |
已收到的利息(經營活動產生的現金流) | 50.15%243.7萬 | 179.35%162.3萬 | -62.68%58.1萬 | -36.86%155.7萬 | 10.29%246.6萬 | 8.69%56.3萬 | 20.36%67.4萬 | 84.34%223.6萬 | 99.58%47.7萬 | 81.12%68.1萬 |
已支付退稅 | -212.69%-81.3萬 | 76.04%-26萬 | 55.55%-108.5萬 | -61.44%-244.1萬 | -18.59%-151.2萬 | 24.07%-24.6萬 | 149.86%17.3萬 | 16.88%-127.5萬 | 18.95%-27.8萬 | 13.07%-32.6萬 |
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 | 58.27%1,252.9萬 | -16.94%791.6萬 | -29.81%953.1萬 | -56.32%1,357.8萬 | 9.56%3,108.2萬 | 32.33%1,170.2萬 | 17.20%739.4萬 | 3.00%2,836.9萬 | 105.23%933.4萬 | -63.11%388.3萬 |
投資活動現金流量 | ||||||||||
物業、廠房及設備交易淨額 | 128.41%378.4萬 | 53.05%-1,331.9萬 | -145.42%-2,836.8萬 | -862.45%-1,155.9萬 | 85.61%-120.1萬 | 79.54%-78.2萬 | 71.13%-61.3萬 | 41.97%-834.8萬 | 93.52%-22.8萬 | -73.37%-217.4萬 |
投資產品交易淨額 | -163.39%-1,773.4萬 | -121.64%-673.3萬 | 777.63%3,111萬 | 30.09%-459.1萬 | -11.57%-656.7萬 | -303.19%-254.4萬 | 1,335.38%186.6萬 | 79.14%-588.6萬 | 98.14%-29.8萬 | 41.10%-697萬 |
已收到的股息(投資活動產生的現金流) | 0.00%12.8萬 | 2.40%12.8萬 | 92.31%12.5萬 | -15.58%6.5萬 | -4.94%7.7萬 | 25.00%2萬 | 31.25%2.1萬 | -5.81%8.1萬 | -6.52%4.3萬 | -60.00%6,000 |
投資活動現金淨額 | 30.63%-1,382.2萬 | -794.94%-1,992.4萬 | 117.82%286.7萬 | -109.14%-1,608.5萬 | 45.66%-769.1萬 | -29.39%-330.6萬 | 164.44%127.4萬 | 66.71%-1,415.3萬 | 97.52%-48.3萬 | 30.10%-913.8萬 |
融資活動現金流量 | ||||||||||
債務發行/償還的淨額 | -131.07%-612.3萬 | 511.32%1,970.9萬 | 233.17%322.4萬 | 81.51%-242.1萬 | -23.69%-1,309.1萬 | -47.51%-361.4萬 | -54.10%-392.8萬 | -229.01%-1,058.4萬 | -134.25%-174萬 | -69.46%-384.5萬 |
租賃融資增減 | -2.99%-210.2萬 | -6.58%-204.1萬 | 26.96%-191.5萬 | 26.60%-262.2萬 | -41.63%-357.2萬 | -49.93%-100.6萬 | -34.87%-90.5萬 | -31.83%-252.2萬 | 16.16%-52.9萬 | -39.40%-65.1萬 |
已支付現金股息 | ---- | ---- | 0.00%-36.8萬 | ---36.8萬 | ---- | ---- | ---- | 0.00%-36.8萬 | --0 | --7.1萬 |
非控制性權益現金股息 | 4.98%-38.2萬 | 24.58%-40.2萬 | 18.25%-53.3萬 | -19.20%-65.2萬 | 17.00%-54.7萬 | ---- | ---- | 51.58%-65.9萬 | 76.25%-21.9萬 | -332.26%-7.2萬 |
融資活動現金淨額 | -149.85%-860.7萬 | 4,131.86%1,726.6萬 | 106.73%40.8萬 | 64.77%-606.3萬 | -21.77%-1,721萬 | -28.77%-505.8萬 | -50.09%-483.3萬 | -409.80%-1,413.3萬 | -170.52%-248.8萬 | -66.25%-449.7萬 |
現金淨流量 | ||||||||||
期初現金流 | 6.23%4,459.7萬 | 33.54%4,198.2萬 | -23.05%3,143.8萬 | 13.43%4,085.5萬 | -1.66%3,601.9萬 | 4.53%3,860.9萬 | -1.66%3,601.9萬 | -19.38%3,662.7萬 | -32.66%3,005.2萬 | -20.98%3,950.9萬 |
現金變動 | -288.28%-990萬 | -58.94%525.8萬 | 249.43%1,280.6萬 | -238.65%-857萬 | 7,346.99%618.1萬 | 41.44%333.8萬 | 244.87%383.5萬 | 100.80%8.3萬 | 155.64%636.3萬 | -85.68%-975.2萬 |
匯率變動影響 | 66.48%-88.6萬 | -16.84%-264.3萬 | -167.06%-226.2萬 | 37.03%-84.7萬 | -94.65%-134.5萬 | 663.38%162.6萬 | -55.04%-124.5萬 | -143.11%-69.1萬 | -111.54%-39.6萬 | 354.31%29.5萬 |
期末現金 | -24.19%3,381.1萬 | 6.23%4,459.7萬 | 33.54%4,198.2萬 | -23.05%3,143.8萬 | 13.43%4,085.5萬 | 10.29%4,357.3萬 | 4.53%3,860.9萬 | -1.66%3,601.9萬 | -1.66%3,601.9萬 | -32.66%3,005.2萬 |
自由現金流 | 221.89%751.6萬 | 68.56%-616.6萬 | -3,656.70%-1,961萬 | -101.96%-52.2萬 | 40.33%2,667.5萬 | 115.54%1,085.7萬 | 54.53%629.7萬 | 45.26%1,900.9萬 | 769.39%863.3萬 | -86.36%126.4萬 |
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 |
暫無數據