新加坡市場個股詳情

S7OU 亞洲付費電視信託

添加自選
  • 0.079
  • +0.002+2.60%
延時10分鐘行情休市中 12/27 17:04 (北京)
1.43億總市值-0.36市盈率TTM

亞洲付費電視信託關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2024/06/30
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
經營活動現金流量(間接法)
經營活動產生的現金
236.97%4,201.3萬
-25.61%1.23億
-43.25%3,129.4萬
18.17%3,687.6萬
-57.58%1,246.8萬
-14.51%4,201.8萬
-23.02%1.65億
-11.30%5,514.8萬
-43.88%3,120.6萬
-47.75%2,938.9萬
扣除非現金調整前淨利潤
3.51%1,287.6萬
-993.13%-4.06億
-5,421.25%-4.36億
-24.46%1,021.8萬
7.76%1,243.9萬
-41.35%717.6萬
124.70%4,550.3萬
1,404.22%819.8萬
195.39%1,352.6萬
48.65%1,154.3萬
非現金項目調整總額
-12.87%2,332.1萬
344.72%5.6億
1,355.33%4.74億
-6.21%2,700.2萬
-14.68%2,676.5萬
-3.18%3,208.6萬
-22.19%1.26億
-26.57%3,256.1萬
-31.11%2,878.9萬
-16.88%3,137萬
-折舊與攤銷
-14.00%1,261.5萬
-18.34%5,700.9萬
-16.55%1,327.8萬
-18.39%1,401.9萬
-18.27%1,466.8萬
-19.88%1,504.4萬
-19.38%6,981.2萬
-9.40%1,591.1萬
-23.74%1,717.8萬
-22.39%1,794.6萬
-在損益中確認的減值損失回撥
----
--4.4億
----
----
----
----
--0
----
----
----
-處置利潤
-7.93%-110.3萬
76.84%-201.3萬
164.36%145.4萬
39.37%-204.4萬
-64.84%-102.2萬
83.57%-40.1萬
-79,109.09%-869.1萬
-477.75%-225.9萬
-2,132.45%-337.1萬
-159.90%-62萬
-匯兌損益淨額
18.80%-78.6萬
-121.99%-79.9萬
-5.56%146.1萬
-342.88%-133.1萬
-99.59%-96.8萬
-98.07%3.9萬
305.89%363.4萬
205.02%154.7萬
828.81%54.8萬
-168.89%-48.5萬
-遞延所得稅
-17.67%217.1萬
29.30%1,962.9萬
21.49%642.8萬
88.08%498.6萬
-9.60%263.7萬
29.06%557.8萬
5.01%1,518.1萬
29.59%529.1萬
-54.79%265.1萬
318.51%291.7萬
-其他非現金項目
-8.96%1,042.4萬
-0.06%4,589.8萬
-6.80%1,125萬
-3.49%1,137.2萬
-1.40%1,145萬
13.07%1,182.6萬
-26.47%4,592.5萬
-50.86%1,207.1萬
-12.67%1,178.3萬
-4.67%1,161.2萬
營運資本變動
121.75%581.6萬
-373.74%-3,066.5萬
-144.07%-634.1萬
96.90%-34.4萬
-97.69%-2,673.6萬
-26.92%275.6萬
-120.10%-647.3萬
-16.74%1,438.9萬
-220.34%-1,110.9萬
-225.90%-1,352.4萬
-應收款(增)減
-35,600.00%-390.5萬
-37.26%182.5萬
-90.10%69.2萬
62.87%-113.4萬
100.30%1.1萬
-15.85%225.6萬
275.24%290.9萬
573.12%698.8萬
-1,206.52%-305.4萬
-350.85%-370.6萬
-應付款(減)增
143.01%998.7萬
-1,186.93%-2,884萬
-303.43%-918.1萬
98.75%-35.3萬
-273.11%-2,322.1萬
-52.10%391.5萬
-107.48%-224.1萬
-69.00%451.3萬
-424.45%-2,834.1萬
75.88%1,341.4萬
-貸款、租賃及其他損失準備金
-3.88%-10.7萬
82.96%-24.9萬
123.08%4.5萬
57.34%-15.4萬
22.56%-10.3萬
95.21%-3.7萬
-177.23%-146.1萬
71.57%-19.5萬
-416.67%-36.1萬
-235.71%-13.3萬
-其他流動資產變動
261.68%94.1萬
52.06%-195.2萬
185.57%16.6萬
-92.65%164.8萬
97.48%-58.2萬
0.69%-318.4萬
-223.06%-407.2萬
-111.69%-19.4萬
5,278.75%2,242.4萬
-1,604.63%-2,309.6萬
-其他流動負債變動
61.28%-110萬
9.89%-144.9萬
-40.89%193.7萬
80.25%-35.1萬
-94,600.00%-284.1萬
93.75%-19.4萬
-244.34%-160.8萬
1.55%327.7萬
-429.68%-177.7萬
-100.13%-3,000
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)
42.42%-1.9萬
13.14%-11.9萬
10.34%-2.6萬
9.38%-2.9萬
8.33%-3.3萬
22.50%-3.1萬
30.81%-13.7萬
35.56%-2.9萬
33.33%-3.2萬
29.41%-3.6萬
已收到的利息(經營活動產生的現金流)
已支付退稅
-2.96%-622.7萬
-10.71%-1,219萬
-35.70%-212.1萬
-21.63%-363.8萬
-20.86%-604.8萬
73.64%-38.3萬
-9.39%-1,101.1萬
61.45%-156.3萬
-24.16%-299.1萬
-112.76%-500.4萬
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
460.00%3,576.7萬
-28.23%1.1億
-45.58%2,914.7萬
17.83%3,320.9萬
-73.77%638.7萬
-12.70%4,160.4萬
-24.61%1.54億
-7.78%5,355.6萬
-46.97%2,818.3萬
-54.78%2,434.9萬
投資活動現金流量
物業、廠房及設備交易淨額
-50.03%-1,076萬
4.15%-3,228.5萬
-25.28%-1,121.8萬
30.18%-805.5萬
-22.43%-717.2萬
20.36%-584萬
-15.62%-3,368.2萬
-32.40%-895.4萬
-61.63%-1,153.7萬
24.69%-585.8萬
無形資產交易淨額
71.57%-11.2萬
46.77%-128.4萬
58.81%-43萬
86.19%-11.3萬
-290.10%-39.4萬
22.72%-34.7萬
48.04%-241.2萬
-100.77%-104.4萬
-137.79%-81.8萬
-134.88%-10.1萬
投資活動現金淨額
-43.70%-1,087.2萬
7.00%-3,356.9萬
-16.50%-1,164.8萬
33.89%-816.8萬
-26.97%-756.6萬
20.50%-618.7萬
-6.87%-3,609.4萬
-37.28%-999.8萬
-65.13%-1,235.5萬
23.81%-595.9萬
融資活動現金流量
債務發行/償還的淨額
54.31%-502萬
20.95%-4,928.4萬
66.58%-1,069.4萬
8.46%338.3萬
14.56%-1,098.8萬
-50.34%-3,098.5萬
16.43%-6,234.9萬
46.22%-3,199.8萬
129.33%311.9萬
-148.07%-1,286萬
租賃融資增減
13.64%-47.5萬
13.63%-219.2萬
6.69%-54.4萬
15.63%-54萬
14.86%-55萬
16.59%-55.8萬
3.83%-253.8萬
13.50%-58.3萬
4.33%-64萬
0.92%-64.6萬
已支付現金股息
----
22.50%-1,399.9萬
--0
-109.99%-948.3萬
----
0.00%-451.6萬
0.00%-1,806.4萬
0.00%-451.6萬
0.00%-451.6萬
0.00%-451.6萬
非控制性權益現金股息
5.76%-13.1萬
18.39%-14.2萬
25.00%-3,000
--0
6.08%-13.9萬
--0
-16.00%-17.4萬
---4,000
--0
0.67%-14.8萬
已付利息(籌資活動產生的現金流)
9.43%-964.8萬
-0.32%-4,387.8萬
6.95%-1,034.1萬
8.77%-978.6萬
-1.08%-1,065.2萬
-15.32%-1,309.9萬
5.33%-4,373.7萬
2.12%-1,111.3萬
14.80%-1,072.7萬
5.87%-1,053.8萬
其他籌資費用淨額
-11.83%150.5萬
70.05%579.7萬
6.98%191.6萬
-28.08%79.4萬
469.00%170.7萬
544.86%138萬
508.75%340.9萬
1,294.00%179.1萬
2,728.57%110.4萬
262.16%30萬
融資活動現金淨額
33.23%-1,376.9萬
16.00%-1.04億
57.64%-1,966.6萬
-34.07%-1,563.2萬
27.41%-2,062.2萬
-29.26%-4,777.8萬
13.36%-1.23億
39.07%-4,642.3萬
59.02%-1,166萬
-29.83%-2,840.8萬
現金淨流量
期初現金流
-33.00%7,135.4萬
-4.66%1.19億
-22.69%9,410.7萬
-27.95%8,469.8萬
-16.52%1.06億
-4.66%1.19億
28.52%1.25億
-18.89%1.22億
-11.52%1.18億
17.34%1.28億
現金變動
151.03%1,112.6萬
-363.82%-2,692萬
24.36%-216.7萬
125.74%940.9萬
-117.62%-2,180.1萬
-524.63%-1,236.1萬
-120.98%-580.4萬
88.72%-286.5萬
-75.78%416.8萬
-141.50%-1,001.8萬
期末現金
-2.62%8,248萬
-22.65%9,194萬
-22.65%9,194萬
-22.69%9,410.7萬
-27.95%8,469.8萬
-16.52%1.06億
-4.66%1.19億
-4.66%1.19億
-18.89%1.22億
-11.52%1.18億
自由現金流
2,211.54%2,489.5萬
-34.74%7,677.8萬
-59.83%1,749.9萬
58.21%2,504.1萬
-106.41%-117.9萬
-11.18%3,541.7萬
-30.72%1.18億
-14.24%4,355.8萬
-65.08%1,582.8萬
-60.04%1,839萬
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
(Q2)2024/06/30(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30
經營活動現金流量(間接法)
經營活動產生的現金 236.97%4,201.3萬-25.61%1.23億-43.25%3,129.4萬18.17%3,687.6萬-57.58%1,246.8萬-14.51%4,201.8萬-23.02%1.65億-11.30%5,514.8萬-43.88%3,120.6萬-47.75%2,938.9萬
扣除非現金調整前淨利潤 3.51%1,287.6萬-993.13%-4.06億-5,421.25%-4.36億-24.46%1,021.8萬7.76%1,243.9萬-41.35%717.6萬124.70%4,550.3萬1,404.22%819.8萬195.39%1,352.6萬48.65%1,154.3萬
非現金項目調整總額 -12.87%2,332.1萬344.72%5.6億1,355.33%4.74億-6.21%2,700.2萬-14.68%2,676.5萬-3.18%3,208.6萬-22.19%1.26億-26.57%3,256.1萬-31.11%2,878.9萬-16.88%3,137萬
-折舊與攤銷 -14.00%1,261.5萬-18.34%5,700.9萬-16.55%1,327.8萬-18.39%1,401.9萬-18.27%1,466.8萬-19.88%1,504.4萬-19.38%6,981.2萬-9.40%1,591.1萬-23.74%1,717.8萬-22.39%1,794.6萬
-在損益中確認的減值損失回撥 ------4.4億------------------0------------
-處置利潤 -7.93%-110.3萬76.84%-201.3萬164.36%145.4萬39.37%-204.4萬-64.84%-102.2萬83.57%-40.1萬-79,109.09%-869.1萬-477.75%-225.9萬-2,132.45%-337.1萬-159.90%-62萬
-匯兌損益淨額 18.80%-78.6萬-121.99%-79.9萬-5.56%146.1萬-342.88%-133.1萬-99.59%-96.8萬-98.07%3.9萬305.89%363.4萬205.02%154.7萬828.81%54.8萬-168.89%-48.5萬
-遞延所得稅 -17.67%217.1萬29.30%1,962.9萬21.49%642.8萬88.08%498.6萬-9.60%263.7萬29.06%557.8萬5.01%1,518.1萬29.59%529.1萬-54.79%265.1萬318.51%291.7萬
-其他非現金項目 -8.96%1,042.4萬-0.06%4,589.8萬-6.80%1,125萬-3.49%1,137.2萬-1.40%1,145萬13.07%1,182.6萬-26.47%4,592.5萬-50.86%1,207.1萬-12.67%1,178.3萬-4.67%1,161.2萬
營運資本變動 121.75%581.6萬-373.74%-3,066.5萬-144.07%-634.1萬96.90%-34.4萬-97.69%-2,673.6萬-26.92%275.6萬-120.10%-647.3萬-16.74%1,438.9萬-220.34%-1,110.9萬-225.90%-1,352.4萬
-應收款(增)減 -35,600.00%-390.5萬-37.26%182.5萬-90.10%69.2萬62.87%-113.4萬100.30%1.1萬-15.85%225.6萬275.24%290.9萬573.12%698.8萬-1,206.52%-305.4萬-350.85%-370.6萬
-應付款(減)增 143.01%998.7萬-1,186.93%-2,884萬-303.43%-918.1萬98.75%-35.3萬-273.11%-2,322.1萬-52.10%391.5萬-107.48%-224.1萬-69.00%451.3萬-424.45%-2,834.1萬75.88%1,341.4萬
-貸款、租賃及其他損失準備金 -3.88%-10.7萬82.96%-24.9萬123.08%4.5萬57.34%-15.4萬22.56%-10.3萬95.21%-3.7萬-177.23%-146.1萬71.57%-19.5萬-416.67%-36.1萬-235.71%-13.3萬
-其他流動資產變動 261.68%94.1萬52.06%-195.2萬185.57%16.6萬-92.65%164.8萬97.48%-58.2萬0.69%-318.4萬-223.06%-407.2萬-111.69%-19.4萬5,278.75%2,242.4萬-1,604.63%-2,309.6萬
-其他流動負債變動 61.28%-110萬9.89%-144.9萬-40.89%193.7萬80.25%-35.1萬-94,600.00%-284.1萬93.75%-19.4萬-244.34%-160.8萬1.55%327.7萬-429.68%-177.7萬-100.13%-3,000
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) 42.42%-1.9萬13.14%-11.9萬10.34%-2.6萬9.38%-2.9萬8.33%-3.3萬22.50%-3.1萬30.81%-13.7萬35.56%-2.9萬33.33%-3.2萬29.41%-3.6萬
已收到的利息(經營活動產生的現金流)
已支付退稅 -2.96%-622.7萬-10.71%-1,219萬-35.70%-212.1萬-21.63%-363.8萬-20.86%-604.8萬73.64%-38.3萬-9.39%-1,101.1萬61.45%-156.3萬-24.16%-299.1萬-112.76%-500.4萬
其他經營現金流入(流出) 0000000000
經營活動現金淨額 460.00%3,576.7萬-28.23%1.1億-45.58%2,914.7萬17.83%3,320.9萬-73.77%638.7萬-12.70%4,160.4萬-24.61%1.54億-7.78%5,355.6萬-46.97%2,818.3萬-54.78%2,434.9萬
投資活動現金流量
物業、廠房及設備交易淨額 -50.03%-1,076萬4.15%-3,228.5萬-25.28%-1,121.8萬30.18%-805.5萬-22.43%-717.2萬20.36%-584萬-15.62%-3,368.2萬-32.40%-895.4萬-61.63%-1,153.7萬24.69%-585.8萬
無形資產交易淨額 71.57%-11.2萬46.77%-128.4萬58.81%-43萬86.19%-11.3萬-290.10%-39.4萬22.72%-34.7萬48.04%-241.2萬-100.77%-104.4萬-137.79%-81.8萬-134.88%-10.1萬
投資活動現金淨額 -43.70%-1,087.2萬7.00%-3,356.9萬-16.50%-1,164.8萬33.89%-816.8萬-26.97%-756.6萬20.50%-618.7萬-6.87%-3,609.4萬-37.28%-999.8萬-65.13%-1,235.5萬23.81%-595.9萬
融資活動現金流量
債務發行/償還的淨額 54.31%-502萬20.95%-4,928.4萬66.58%-1,069.4萬8.46%338.3萬14.56%-1,098.8萬-50.34%-3,098.5萬16.43%-6,234.9萬46.22%-3,199.8萬129.33%311.9萬-148.07%-1,286萬
租賃融資增減 13.64%-47.5萬13.63%-219.2萬6.69%-54.4萬15.63%-54萬14.86%-55萬16.59%-55.8萬3.83%-253.8萬13.50%-58.3萬4.33%-64萬0.92%-64.6萬
已支付現金股息 ----22.50%-1,399.9萬--0-109.99%-948.3萬----0.00%-451.6萬0.00%-1,806.4萬0.00%-451.6萬0.00%-451.6萬0.00%-451.6萬
非控制性權益現金股息 5.76%-13.1萬18.39%-14.2萬25.00%-3,000--06.08%-13.9萬--0-16.00%-17.4萬---4,000--00.67%-14.8萬
已付利息(籌資活動產生的現金流) 9.43%-964.8萬-0.32%-4,387.8萬6.95%-1,034.1萬8.77%-978.6萬-1.08%-1,065.2萬-15.32%-1,309.9萬5.33%-4,373.7萬2.12%-1,111.3萬14.80%-1,072.7萬5.87%-1,053.8萬
其他籌資費用淨額 -11.83%150.5萬70.05%579.7萬6.98%191.6萬-28.08%79.4萬469.00%170.7萬544.86%138萬508.75%340.9萬1,294.00%179.1萬2,728.57%110.4萬262.16%30萬
融資活動現金淨額 33.23%-1,376.9萬16.00%-1.04億57.64%-1,966.6萬-34.07%-1,563.2萬27.41%-2,062.2萬-29.26%-4,777.8萬13.36%-1.23億39.07%-4,642.3萬59.02%-1,166萬-29.83%-2,840.8萬
現金淨流量
期初現金流 -33.00%7,135.4萬-4.66%1.19億-22.69%9,410.7萬-27.95%8,469.8萬-16.52%1.06億-4.66%1.19億28.52%1.25億-18.89%1.22億-11.52%1.18億17.34%1.28億
現金變動 151.03%1,112.6萬-363.82%-2,692萬24.36%-216.7萬125.74%940.9萬-117.62%-2,180.1萬-524.63%-1,236.1萬-120.98%-580.4萬88.72%-286.5萬-75.78%416.8萬-141.50%-1,001.8萬
期末現金 -2.62%8,248萬-22.65%9,194萬-22.65%9,194萬-22.69%9,410.7萬-27.95%8,469.8萬-16.52%1.06億-4.66%1.19億-4.66%1.19億-18.89%1.22億-11.52%1.18億
自由現金流 2,211.54%2,489.5萬-34.74%7,677.8萬-59.83%1,749.9萬58.21%2,504.1萬-106.41%-117.9萬-11.18%3,541.7萬-30.72%1.18億-14.24%4,355.8萬-65.08%1,582.8萬-60.04%1,839萬
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