日本市場個股詳情

2353 日本停車場開發

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延時20分鐘行情交易中 07/08 14:25 (東京)
672.81億總市值15.51市盈率(靜)

日本停車場開發關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2023/07/31
(FY)2022/07/31
(FY)2021/07/31
(FY)2020/07/31
(FY)2019/07/31
(FY)2018/07/31
(FY)2017/07/31
(FY)2016/07/31
(FY)2015/07/31
(FY)2014/07/31
經營活動現金流量(間接法)
經營活動產生的現金
36.92%71.84億
31.86%52.47億
1.17%39.79億
-22.47%39.34億
22.64%50.74億
2.94%41.37億
58.68%40.19億
-7.42%25.33億
-1.73%27.36億
19.46%27.84億
扣除非現金調整前淨利潤
39.32%62.26億
33.07%44.69億
28.97%33.58億
-33.94%26.04億
19.40%39.42億
12.30%33.02億
49.83%29.4億
-62.40%19.62億
108.10%52.19億
12.94%25.08億
非現金項目調整總額
-29.84%9.96億
12.63%14.19億
56.94%12.6億
-33.16%8.03億
7.46%12.01億
-0.66%11.18億
118.38%11.25億
123.28%5.15億
-1,811.91%-22.14億
10.39%1.29億
-折舊與攤銷
8.79%13.53億
8.16%12.43億
6.81%11.5億
11.63%10.76億
11.77%9.64億
14.35%8.63億
10.96%7.54億
20.62%6.8億
56.63%5.64億
10.85%3.6億
-在損益中確認的減值損失回撥
--0
9.39%4,783.5萬
-84.04%4,372.7萬
103.12%2.74億
-49.14%1.35億
19.31%2.65億
-4.89%2.22億
--2.34億
----
----
-聯營企業份額
----
----
----
----
----
----
----
----
-4,654.57%-8.81億
--1,933.3萬
-處置利潤
-91.76%1,328.3萬
132.71%1.61億
126.22%6,928.8萬
-271.43%-2.64億
497.25%1.54億
46.10%-3,880.1萬
84.27%-7,199萬
73.06%-4.58億
-1,091.63%-16.99億
14.88%-1.43億
-匯兌損益淨額
51.61%-2,045.6萬
-156.18%-4,227.7萬
-155.32%-1,650.3萬
155.56%2,983.4萬
-2,235.84%-5,370.1萬
-131.54%-229.9萬
-95.20%729萬
280.44%1.52億
-457.01%-8,424.8萬
48.29%-1,512.5萬
-以股票支付的報酬
----
----
----
----
-24.16%1.21億
38.53%1.6億
29.92%1.15億
29.17%8,871.8萬
108.17%6,868.5萬
279.91%3,299.5萬
-其他非現金項目
-4,004.21%-3.5億
-35.67%896.1萬
104.45%1,393萬
-162.07%-3.13億
7.11%-1.19億
-231.09%-1.29億
154.12%9,808萬
0.45%-1.81億
-45.46%-1.82億
-544.98%-1.25億
營運資本變動
94.14%-3,757.6萬
-0.32%-6.41億
-221.39%-6.39億
856.51%5.27億
75.37%-6,960萬
-505.44%-2.83億
-184.70%-4,666.7萬
120.46%5,509.6萬
-283.59%-2.69億
2,080.02%1.47億
-應收款(增)減
-89.60%-1.45億
75.72%-7,673.1萬
-1,081.80%-3.16億
173.43%3,219.2萬
54.25%-4,383.9萬
-276.92%-9,583.2萬
167.89%5,416.8萬
0.94%-7,979.2萬
2.23%-8,054.8萬
-276.76%-8,238.7萬
-存貨(增)減
78.64%-4,346.8萬
-689.04%-2.03億
-241.80%-2,578.9萬
615.80%1,818.7萬
82.21%-352.6萬
-154.76%-1,982.3萬
204.03%3,620.1萬
-587.91%-3,479.8萬
189.18%713.2萬
-131.31%-799.7萬
-預付費用(增)減
164.49%2,111.6萬
-142.61%-3,274.2萬
-40.35%7,683.6萬
12,704.40%1.29億
-101.89%-102.2萬
-21.19%5,418.2萬
-11.24%6,875.1萬
15.57%7,745.4萬
221.91%6,701.7萬
-735.06%-5,497.2萬
-應付款(減)增
168.29%8,586.6萬
56.99%-1.26億
-210.34%-2.92億
904.68%2.65億
74.39%-3,292.7萬
-376.27%-1.29億
237.47%4,654.7萬
91.39%-3,386萬
-175.23%-3.93億
901.84%5.23億
-應計費用(減)增
-299.21%-1.09億
-117.60%-2,722.5萬
593.51%1.55億
-51.86%2,230.3萬
604.60%4,632.7萬
70.54%-918.1萬
-181.23%-3,116.3萬
132.35%3,836.3萬
743.70%1,651.1萬
-114.40%-256.5萬
-貸款、租賃及其他損失準備金
66.05%-2,366.6萬
58.38%-6,970.4萬
-63.24%-1.67億
4.76%-1.03億
-71.94%-1.08億
76.67%-6,265萬
-534.21%-2.69億
1,077.67%6,185.1萬
1,523.31%525.2萬
-104.15%-36.9萬
-其他流動資產變動
267.39%1.77億
-53.12%-1.06億
-142.39%-6,895.8萬
122.51%1.63億
359.27%7,310.8萬
-140.27%-2,819.8萬
61.02%7,001.5萬
-67.06%4,348.2萬
18.70%1.32億
226.95%1.11億
-其他流動負債變動
----
----
----
----
----
133.40%755.5萬
-28.49%-2,262萬
24.14%-1,760.4萬
93.16%-2,320.5萬
---3.39億
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)
27.56%-4,859.6萬
5.00%-6,708萬
-14.22%-7,061.1萬
-17.19%-6,181.9萬
4.05%-5,275.2萬
4.92%-5,498.1萬
4.08%-5,782.9萬
-53.15%-6,028.9萬
-21.13%-3,936.6萬
-47.33%-3,249.9萬
已收到的利息(經營活動產生的現金流)
-36.44%754.8萬
-59.82%1,187.6萬
-65.95%2,955.9萬
19.90%8,681.1萬
6.88%7,240.4萬
38.57%6,774.5萬
-35.36%4,888.8萬
-26.28%7,563.6萬
7.75%1.03億
542.38%9,521.4萬
已支付退稅
16.83%-11.34億
-80.85%-13.64億
25.35%-7.54億
-10.17%-10.1億
23.05%-9.17億
-389.47%-11.91億
87.67%-2.43億
-134.52%-19.74億
-1.10%-8.42億
3.50%-8.33億
其他經營現金流入(流出)
-6.80%1.07億
-48.35%1.15億
604.47%2.22億
404.29%3,151.3萬
154.18%624.9萬
-197.23%-1,153.3萬
-58.32%1,186.1萬
240.95%2,845.9萬
834,800.00%834.7萬
-1,000
經營活動現金淨額
55.12%61.16億
15.75%39.43億
14.31%34.06億
-28.76%29.8億
41.95%41.83億
-22.01%29.47億
527.19%37.78億
-69.35%6.02億
-2.41%19.65億
37.92%20.14億
投資活動現金流量
物業、廠房及設備交易淨額
-40.88%-22.89億
28.55%-16.25億
-13.27%-22.74億
9.20%-20.07億
5.52%-22.11億
-25.98%-23.4億
-68.29%-18.57億
-12.84%-11.04億
-103.10%-9.78億
-89.89%-4.82億
無形資產交易淨額
6.81%-3,943.7萬
-30.39%-4,231.7萬
47.67%-3,245.3萬
41.38%-6,201.1萬
-70.50%-1.06億
56.82%-6,204萬
-162.77%-1.44億
-90.65%-5,467.4萬
-99.85%-2,867.8萬
-30.04%-1,435萬
業務交易淨額
--0
---6,948.6萬
----
--1,169.6萬
----
----
----
25.82%25.25億
--20.07億
----
投資產品交易淨額
-132.98%-1.51億
389.75%4.57億
2,273.61%9,331.3萬
-100.73%-429.3萬
1,661.57%5.89億
105.37%3,342.6萬
-152.36%-6.22億
170.13%11.88億
370.54%4.4億
111.42%9,349.6萬
向其他方提供的預付現金及貸款
----
----
-9.09%-120萬
---110萬
----
----
----
-18.57%-5,741.2萬
-211.18%-4,842.2萬
-210.29%-1,556.1萬
償還對其他方提供的預付款及貸款產生的現金收入
----
----
----
----
----
-91.74%11萬
-91.20%133.1萬
59.61%1,513.1萬
4.64%948萬
4.14%906萬
其他投資變動淨額
-17.32%-9,546.4萬
-547.00%-8,137.1萬
-97.93%1,820.4萬
3,515.35%8.81億
94.65%-2,579.7萬
5.99%-4.83億
-2,140.73%-5.13億
2.87%-2,290.8萬
-57.66%-2,358.6萬
-149.04%-1,496萬
投資活動現金淨額
-89.18%-25.74億
38.03%-13.61億
-85.78%-21.96億
32.59%-11.82億
38.49%-17.53億
9.07%-28.51億
-225.91%-31.35億
80.75%24.9億
425.02%13.78億
59.55%-4.24億
融資活動現金流量
債務發行/償還的淨額
35.86%-13.24億
-42.45%-20.64億
-123.43%-14.49億
30,812.54%61.83億
101.60%2,000.2萬
-243.00%-12.54億
-40.51%8.77億
28.92%14.74億
10,866.03%11.43億
-100.81%-1,061.9萬
普通股發行/回購的淨額
-58.55%-12.04億
38.57%-7.59億
-139.88%-12.36億
39.42%-5.15億
-377.11%-8.51億
-56.62%-1.78億
-1,737.68%-1.14億
-89.77%695萬
89.49%6,795.6萬
23.43%3,586.2萬
租賃融資增減
8.49%-7,013.3萬
44.63%-7,663.9萬
2.27%-1.38億
16.43%-1.42億
-54.96%-1.69億
-9.65%-1.09億
-64.91%-9,974.4萬
-19.15%-6,048.3萬
10.69%-5,076.2萬
6.36%-5,683.5萬
已支付現金股息
-3.79%-16.04億
-3.84%-15.46億
-5.20%-14.88億
-4.84%-14.15億
-6.74%-13.5億
-7.09%-12.64億
-6.40%-11.81億
-22.70%-11.1億
-8.25%-9.04億
-25.00%-8.35億
非控制性權益現金股息
-6.91%-5,441.4萬
-292.08%-5,089.6萬
-150.79%-1,298.1萬
-245.07%-517.6萬
-24.90%-150萬
46.62%-120.1萬
-395.59%-225萬
-0.89%-45.4萬
0.00%-45萬
---45萬
其他籌資費用淨額
167,800.00%167.7萬
-100.00%-1,000
5,297,300.00%1.06億
-100.00%-2,000
-100.01%-1,000
164.68%2,000萬
-110.43%-3,092萬
-100.99%-1,469.4萬
1,052.69%14.78億
12,818,200.00%1.28億
融資活動現金淨額
5.37%-42.54億
-6.58%-44.96億
-202.73%-42.18億
274.66%41.06億
15.64%-23.51億
-406.21%-27.87億
-286.24%-5.51億
-82.94%2.96億
334.44%17.33億
-220.89%-7.39億
現金淨流量
期初現金流
-13.44%116.29億
-18.15%134.35億
54.67%164.14億
0.70%106.12億
-20.42%105.39億
1.46%132.44億
32.81%130.53億
109.26%98.28億
22.42%46.97億
36.03%38.37億
現金變動
62.76%-7.13億
36.37%-19.14億
-150.95%-30.08億
7,417.67%59.04億
102.92%7,853.8萬
-3,000.57%-26.91億
-97.26%9,276.8萬
-33.26%33.88億
496.63%50.76億
-16.90%8.51億
匯率變動影響
-24.41%8,155.9萬
275.61%1.08億
128.11%2,872.4萬
-1,842.17%-1.02億
62.19%-526.2萬
-114.22%-1,391.7萬
159.98%9,783.7萬
-394.54%-1.63億
491.40%5,537.9萬
220.83%936.4萬
現金變動之外的其他現金調整
----
----
----
----
50.00%-1,000
-100.00%-2,000
---1,000
----
--2,000
----
期末現金
-5.43%109.98億
-13.44%116.29億
-18.15%134.35億
54.67%164.14億
0.70%106.12億
-20.42%105.39億
1.46%132.44億
32.81%130.53億
109.26%98.28億
22.42%46.97億
自由現金流
-14.34%18.95億
102.96%22.13億
180.29%10.9億
-79.04%3.89億
247.92%18.56億
-66.50%5.33億
382.92%15.92億
-158.76%-5.63億
-35.71%9.58億
26.06%14.9億
貨幣單位
日元
日元
日元
日元
日元
日元
日元
日元
日元
日元
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)2023/07/31(FY)2022/07/31(FY)2021/07/31(FY)2020/07/31(FY)2019/07/31(FY)2018/07/31(FY)2017/07/31(FY)2016/07/31(FY)2015/07/31(FY)2014/07/31
經營活動現金流量(間接法)
經營活動產生的現金 36.92%71.84億31.86%52.47億1.17%39.79億-22.47%39.34億22.64%50.74億2.94%41.37億58.68%40.19億-7.42%25.33億-1.73%27.36億19.46%27.84億
扣除非現金調整前淨利潤 39.32%62.26億33.07%44.69億28.97%33.58億-33.94%26.04億19.40%39.42億12.30%33.02億49.83%29.4億-62.40%19.62億108.10%52.19億12.94%25.08億
非現金項目調整總額 -29.84%9.96億12.63%14.19億56.94%12.6億-33.16%8.03億7.46%12.01億-0.66%11.18億118.38%11.25億123.28%5.15億-1,811.91%-22.14億10.39%1.29億
-折舊與攤銷 8.79%13.53億8.16%12.43億6.81%11.5億11.63%10.76億11.77%9.64億14.35%8.63億10.96%7.54億20.62%6.8億56.63%5.64億10.85%3.6億
-在損益中確認的減值損失回撥 --09.39%4,783.5萬-84.04%4,372.7萬103.12%2.74億-49.14%1.35億19.31%2.65億-4.89%2.22億--2.34億--------
-聯營企業份額 ---------------------------------4,654.57%-8.81億--1,933.3萬
-處置利潤 -91.76%1,328.3萬132.71%1.61億126.22%6,928.8萬-271.43%-2.64億497.25%1.54億46.10%-3,880.1萬84.27%-7,199萬73.06%-4.58億-1,091.63%-16.99億14.88%-1.43億
-匯兌損益淨額 51.61%-2,045.6萬-156.18%-4,227.7萬-155.32%-1,650.3萬155.56%2,983.4萬-2,235.84%-5,370.1萬-131.54%-229.9萬-95.20%729萬280.44%1.52億-457.01%-8,424.8萬48.29%-1,512.5萬
-以股票支付的報酬 -----------------24.16%1.21億38.53%1.6億29.92%1.15億29.17%8,871.8萬108.17%6,868.5萬279.91%3,299.5萬
-其他非現金項目 -4,004.21%-3.5億-35.67%896.1萬104.45%1,393萬-162.07%-3.13億7.11%-1.19億-231.09%-1.29億154.12%9,808萬0.45%-1.81億-45.46%-1.82億-544.98%-1.25億
營運資本變動 94.14%-3,757.6萬-0.32%-6.41億-221.39%-6.39億856.51%5.27億75.37%-6,960萬-505.44%-2.83億-184.70%-4,666.7萬120.46%5,509.6萬-283.59%-2.69億2,080.02%1.47億
-應收款(增)減 -89.60%-1.45億75.72%-7,673.1萬-1,081.80%-3.16億173.43%3,219.2萬54.25%-4,383.9萬-276.92%-9,583.2萬167.89%5,416.8萬0.94%-7,979.2萬2.23%-8,054.8萬-276.76%-8,238.7萬
-存貨(增)減 78.64%-4,346.8萬-689.04%-2.03億-241.80%-2,578.9萬615.80%1,818.7萬82.21%-352.6萬-154.76%-1,982.3萬204.03%3,620.1萬-587.91%-3,479.8萬189.18%713.2萬-131.31%-799.7萬
-預付費用(增)減 164.49%2,111.6萬-142.61%-3,274.2萬-40.35%7,683.6萬12,704.40%1.29億-101.89%-102.2萬-21.19%5,418.2萬-11.24%6,875.1萬15.57%7,745.4萬221.91%6,701.7萬-735.06%-5,497.2萬
-應付款(減)增 168.29%8,586.6萬56.99%-1.26億-210.34%-2.92億904.68%2.65億74.39%-3,292.7萬-376.27%-1.29億237.47%4,654.7萬91.39%-3,386萬-175.23%-3.93億901.84%5.23億
-應計費用(減)增 -299.21%-1.09億-117.60%-2,722.5萬593.51%1.55億-51.86%2,230.3萬604.60%4,632.7萬70.54%-918.1萬-181.23%-3,116.3萬132.35%3,836.3萬743.70%1,651.1萬-114.40%-256.5萬
-貸款、租賃及其他損失準備金 66.05%-2,366.6萬58.38%-6,970.4萬-63.24%-1.67億4.76%-1.03億-71.94%-1.08億76.67%-6,265萬-534.21%-2.69億1,077.67%6,185.1萬1,523.31%525.2萬-104.15%-36.9萬
-其他流動資產變動 267.39%1.77億-53.12%-1.06億-142.39%-6,895.8萬122.51%1.63億359.27%7,310.8萬-140.27%-2,819.8萬61.02%7,001.5萬-67.06%4,348.2萬18.70%1.32億226.95%1.11億
-其他流動負債變動 --------------------133.40%755.5萬-28.49%-2,262萬24.14%-1,760.4萬93.16%-2,320.5萬---3.39億
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) 27.56%-4,859.6萬5.00%-6,708萬-14.22%-7,061.1萬-17.19%-6,181.9萬4.05%-5,275.2萬4.92%-5,498.1萬4.08%-5,782.9萬-53.15%-6,028.9萬-21.13%-3,936.6萬-47.33%-3,249.9萬
已收到的利息(經營活動產生的現金流) -36.44%754.8萬-59.82%1,187.6萬-65.95%2,955.9萬19.90%8,681.1萬6.88%7,240.4萬38.57%6,774.5萬-35.36%4,888.8萬-26.28%7,563.6萬7.75%1.03億542.38%9,521.4萬
已支付退稅 16.83%-11.34億-80.85%-13.64億25.35%-7.54億-10.17%-10.1億23.05%-9.17億-389.47%-11.91億87.67%-2.43億-134.52%-19.74億-1.10%-8.42億3.50%-8.33億
其他經營現金流入(流出) -6.80%1.07億-48.35%1.15億604.47%2.22億404.29%3,151.3萬154.18%624.9萬-197.23%-1,153.3萬-58.32%1,186.1萬240.95%2,845.9萬834,800.00%834.7萬-1,000
經營活動現金淨額 55.12%61.16億15.75%39.43億14.31%34.06億-28.76%29.8億41.95%41.83億-22.01%29.47億527.19%37.78億-69.35%6.02億-2.41%19.65億37.92%20.14億
投資活動現金流量
物業、廠房及設備交易淨額 -40.88%-22.89億28.55%-16.25億-13.27%-22.74億9.20%-20.07億5.52%-22.11億-25.98%-23.4億-68.29%-18.57億-12.84%-11.04億-103.10%-9.78億-89.89%-4.82億
無形資產交易淨額 6.81%-3,943.7萬-30.39%-4,231.7萬47.67%-3,245.3萬41.38%-6,201.1萬-70.50%-1.06億56.82%-6,204萬-162.77%-1.44億-90.65%-5,467.4萬-99.85%-2,867.8萬-30.04%-1,435萬
業務交易淨額 --0---6,948.6萬------1,169.6萬------------25.82%25.25億--20.07億----
投資產品交易淨額 -132.98%-1.51億389.75%4.57億2,273.61%9,331.3萬-100.73%-429.3萬1,661.57%5.89億105.37%3,342.6萬-152.36%-6.22億170.13%11.88億370.54%4.4億111.42%9,349.6萬
向其他方提供的預付現金及貸款 ---------9.09%-120萬---110萬-------------18.57%-5,741.2萬-211.18%-4,842.2萬-210.29%-1,556.1萬
償還對其他方提供的預付款及貸款產生的現金收入 ---------------------91.74%11萬-91.20%133.1萬59.61%1,513.1萬4.64%948萬4.14%906萬
其他投資變動淨額 -17.32%-9,546.4萬-547.00%-8,137.1萬-97.93%1,820.4萬3,515.35%8.81億94.65%-2,579.7萬5.99%-4.83億-2,140.73%-5.13億2.87%-2,290.8萬-57.66%-2,358.6萬-149.04%-1,496萬
投資活動現金淨額 -89.18%-25.74億38.03%-13.61億-85.78%-21.96億32.59%-11.82億38.49%-17.53億9.07%-28.51億-225.91%-31.35億80.75%24.9億425.02%13.78億59.55%-4.24億
融資活動現金流量
債務發行/償還的淨額 35.86%-13.24億-42.45%-20.64億-123.43%-14.49億30,812.54%61.83億101.60%2,000.2萬-243.00%-12.54億-40.51%8.77億28.92%14.74億10,866.03%11.43億-100.81%-1,061.9萬
普通股發行/回購的淨額 -58.55%-12.04億38.57%-7.59億-139.88%-12.36億39.42%-5.15億-377.11%-8.51億-56.62%-1.78億-1,737.68%-1.14億-89.77%695萬89.49%6,795.6萬23.43%3,586.2萬
租賃融資增減 8.49%-7,013.3萬44.63%-7,663.9萬2.27%-1.38億16.43%-1.42億-54.96%-1.69億-9.65%-1.09億-64.91%-9,974.4萬-19.15%-6,048.3萬10.69%-5,076.2萬6.36%-5,683.5萬
已支付現金股息 -3.79%-16.04億-3.84%-15.46億-5.20%-14.88億-4.84%-14.15億-6.74%-13.5億-7.09%-12.64億-6.40%-11.81億-22.70%-11.1億-8.25%-9.04億-25.00%-8.35億
非控制性權益現金股息 -6.91%-5,441.4萬-292.08%-5,089.6萬-150.79%-1,298.1萬-245.07%-517.6萬-24.90%-150萬46.62%-120.1萬-395.59%-225萬-0.89%-45.4萬0.00%-45萬---45萬
其他籌資費用淨額 167,800.00%167.7萬-100.00%-1,0005,297,300.00%1.06億-100.00%-2,000-100.01%-1,000164.68%2,000萬-110.43%-3,092萬-100.99%-1,469.4萬1,052.69%14.78億12,818,200.00%1.28億
融資活動現金淨額 5.37%-42.54億-6.58%-44.96億-202.73%-42.18億274.66%41.06億15.64%-23.51億-406.21%-27.87億-286.24%-5.51億-82.94%2.96億334.44%17.33億-220.89%-7.39億
現金淨流量
期初現金流 -13.44%116.29億-18.15%134.35億54.67%164.14億0.70%106.12億-20.42%105.39億1.46%132.44億32.81%130.53億109.26%98.28億22.42%46.97億36.03%38.37億
現金變動 62.76%-7.13億36.37%-19.14億-150.95%-30.08億7,417.67%59.04億102.92%7,853.8萬-3,000.57%-26.91億-97.26%9,276.8萬-33.26%33.88億496.63%50.76億-16.90%8.51億
匯率變動影響 -24.41%8,155.9萬275.61%1.08億128.11%2,872.4萬-1,842.17%-1.02億62.19%-526.2萬-114.22%-1,391.7萬159.98%9,783.7萬-394.54%-1.63億491.40%5,537.9萬220.83%936.4萬
現金變動之外的其他現金調整 ----------------50.00%-1,000-100.00%-2,000---1,000------2,000----
期末現金 -5.43%109.98億-13.44%116.29億-18.15%134.35億54.67%164.14億0.70%106.12億-20.42%105.39億1.46%132.44億32.81%130.53億109.26%98.28億22.42%46.97億
自由現金流 -14.34%18.95億102.96%22.13億180.29%10.9億-79.04%3.89億247.92%18.56億-66.50%5.33億382.92%15.92億-158.76%-5.63億-35.71%9.58億26.06%14.9億
貨幣單位 日元日元日元日元日元日元日元日元日元日元
會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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