新加坡市場個股詳情

S7OU 亞洲付費電視信託

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延時10分鐘行情交易中 11/27 09:14 (北京)
1.41億總市值-352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
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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