新加坡市場個股詳情

智闊控股 (40W)

添加自選
  • 0.046
  • +0.001+2.22%
延時10分鐘行情未開盤 04/24 17:04 (北京)
1888.62萬總市值15.33市盈率TTM

40W 智闊控股

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(FY)2024/12/31
(FY)2023/12/31
(FY)2022/12/31
(FY)2021/12/31
(FY)2020/12/31
(FY)2019/12/31
(Q4)2019/12/31
(Q3)2019/09/30
(Q2)2019/06/30
經營活動現金流量(間接法)
經營活動產生的現金
98.46%-3.4萬
-330.55%-221.1萬
-76.71%95.9萬
41.86%411.79萬
892.56%290.27萬
-112.05%-36.62萬
29.28%303.88萬
645.99%406.39萬
-19.26%56.51萬
-126.59%-51.38萬
扣除非現金調整前淨利潤
134.22%176.5萬
16.40%-515.8萬
-2,044.72%-617萬
-115.92%-28.77萬
191.75%180.67萬
29.36%-196.91萬
-199.37%-278.76萬
-568.25%-341.1萬
-64.33%14.59萬
-86.80%15.18萬
非現金項目調整總額
-180.19%-320.5萬
0.45%399.7萬
248.36%397.9萬
-32.55%114.22萬
-58.61%169.34萬
-24.38%409.13萬
94.68%541.03萬
236.78%292.17萬
11.14%68.13萬
23.05%86.62萬
-折舊與攤銷
-5.25%131.7萬
-10.26%139萬
-21.25%154.9萬
-41.07%196.69萬
10.73%333.79萬
-21.55%301.45萬
124.01%384.25萬
101.19%96.51萬
132.41%105.81萬
125.07%90.49萬
-在損益中確認的減值損失回撥
-193.08%-96.8萬
-63.76%104萬
7,572.81%287萬
670.16%3.74萬
-93.80%4,856.782
82.26%7.83萬
-75.72%4.3萬
-97.10%4,099.0552
30.44%5,598.1752
6.11%2.88萬
-資產準備金與勾銷
49.87%222.1萬
675.92%148.2萬
171.86%19.1萬
-121.22%-26.58萬
-29.67%125.27萬
2,046.88%178.11萬
-88.50%8.3萬
-82.96%12.74萬
-53.06%7,903.3062
-122.04%-7.99萬
-聯營企業份額
72.06%-14萬
-496.43%-50.1萬
87.88%-8.4萬
9.61%-69.31萬
25.32%-76.67萬
-53.85%-102.67萬
-32.39%-66.73萬
111.27%5.26萬
-676.63%-25.13萬
-6,929.55%-19.08萬
-處置利潤
-4,412.58%-681.4萬
-855.00%-15.1萬
-95.72%2萬
124.12%46.71萬
-32,941.78%-193.66萬
-99.60%5,896.6378
3,209.76%145.82萬
3,449.09%145.82萬
--0
--0
-匯兌損益淨額
70.84%95.5萬
181.01%55.9萬
-47.62%-69萬
-522.10%-46.74萬
868.24%11.07萬
84.36%-1.44萬
53.21%-9.21萬
23.79%-9.68萬
10.61%-5.4萬
-75.95%-6.45萬
-以股票支付的報酬
3.70%2.8萬
-3.57%2.7萬
-5.08%2.8萬
62.69%2.95萬
-64.06%1.81萬
-85.51%5.04萬
-51.66%34.82萬
-82.90%5.32萬
7.26%9.88萬
-57.48%9.75萬
-其他非現金項目
29.80%19.6萬
58.95%15.1萬
40.72%9.5萬
120.60%6.75萬
-262.11%-32.77萬
-48.80%20.21萬
287.35%39.48萬
237.55%35.79萬
-233.80%-18.38萬
44.55%17.02萬
營運資本變動
233.90%140.6萬
-133.33%-105萬
-3.47%315萬
646.27%326.33萬
75.99%-59.74萬
-697.99%-248.84萬
112.87%41.61萬
533.12%455.32萬
18.65%-26.21萬
-2,054.68%-153.19萬
-應收款(增)減
199.58%166.1萬
-164.45%-166.8萬
83.81%258.8萬
479.46%140.8萬
37.83%-37.11萬
-232.76%-59.69萬
94.12%-17.94萬
741.55%526.44萬
-783.73%-107.95萬
-133.11%-40.61萬
-預付費用(增)減
-6.82%12.3萬
-57.28%13.2萬
174.88%30.9萬
-36.02%-41.27萬
-281.12%-30.34萬
-159.65%-7.96萬
-22.98%13.35萬
-11.79%7.45萬
57.08%-3.66萬
225.97%16.04萬
-應付款(減)增
-177.78%-37.8萬
92.09%48.6萬
-88.84%25.3萬
2,843.14%226.8萬
104.25%7.71萬
-492.16%-181.19萬
228.80%46.2萬
-149.32%-78.57萬
843.25%85.39萬
-7.42%-128.61萬
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)
已收到的利息(經營活動產生的現金流)
已支付退稅
-84.03%-43.8萬
20.93%-23.8萬
56.95%-30.1萬
-21.85%-69.91萬
-46.07%-57.37萬
49.29%-39.28萬
24.98%-77.45萬
-27.20%-53.05萬
-70.45%-37.87萬
245.22%26.9萬
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
80.73%-47.2萬
-472.19%-244.9萬
-80.75%65.8萬
46.79%341.87萬
406.84%232.9萬
-133.52%-75.9萬
71.78%226.43萬
2,666.83%353.34萬
-60.98%18.64萬
-114.01%-24.48萬
投資活動現金流量
物業、廠房及設備交易淨額
-77.78%-3.2萬
89.09%-1.8萬
61.49%-16.5萬
-273.83%-42.85萬
-151.72%-11.46萬
-4.41%-4.55萬
85.60%-4.36萬
99.62%-803.2339
-327.50%-1.98萬
66.14%-1.08萬
無形資產交易淨額
--0
0.00%-1,000
94.61%-1,000
-2.31%-1.86萬
57.42%-1.81萬
-42.72%-4.26萬
92.42%-2.98萬
92.09%-1.17萬
99.34%-1,317.2177
62.16%-1.67萬
業務交易淨額
6,651.54%877.7萬
156.52%13萬
-108.47%-23萬
28.44%271.47萬
4,609.61%211.37萬
-98.92%4.49萬
247.41%413.67萬
36,310.78%413.67萬
--0
--0
投資產品交易淨額
-35.50%32.7萬
-59.54%50.7萬
129.81%125.3萬
-1,053.01%-420.27萬
1,412.56%44.1萬
-52.20%2.92萬
--6.1萬
-84.24%16.87萬
100.09%987.9133
---1,636.2792
向其他方提供的預付現金及貸款
----
46.38%-3.7萬
85.42%-6.9萬
-163.32%-47.32萬
35.69%-17.97萬
67.49%-27.94萬
63.65%-85.95萬
79.93%-16.23萬
84.82%-8.96萬
57.92%-23.5萬
償還對其他方提供的預付款及貸款產生的現金收入
--13.7萬
----
----
----
----
----
--34.56萬
--30.38萬
--2.73萬
----
已收到的股息(投資活動產生的現金流)
-79.48%4.7萬
--22.9萬
--0
-15.76%123.59萬
199.36%146.71萬
5,878.07%49.01萬
-16.89%8,197.8964
20,628.87%8,197.8964
--0
--0
已收到的利息(投資活動產生的現金流)
-13.65%48.7萬
-26.08%56.4萬
-4.02%76.3萬
2,931.00%79.49萬
53.96%2.62萬
-88.90%1.7萬
62.06%15.35萬
-1,437.46%-40.11萬
1,075.71%34.54萬
19.48%3.57萬
其他投資變動淨額
----
---1,000
----
----
----
----
----
----
----
----
投資活動現金淨額
609.10%974.3萬
-11.41%137.4萬
510.98%155.1萬
-110.10%-37.74萬
1,648.92%373.55萬
-94.34%21.36萬
165.45%377.2萬
6,926.47%404.14萬
105.41%26.31萬
40.15%-22.84萬
融資活動現金流量
債務發行/償還的淨額
113.00%13萬
46.29%-100萬
49.75%-186.2萬
-182.88%-370.58萬
-319.48%-131萬
115.33%59.69萬
-275.87%-389.33萬
-684.77%-273.88萬
-110.59%-40.47萬
56.84%-64.31萬
普通股發行/回購的淨額
--0
-24.56%203.7萬
15.68%270萬
--233.4萬
--0
----
--296.11萬
---39.65萬
--0
--24.28萬
租賃融資增減
-8.44%-122.1萬
-25.25%-112.6萬
19.67%-89.9萬
47.25%-111.91萬
-46.88%-212.14萬
33.11%-144.43萬
-11,421.65%-215.93萬
-47,110.45%-214.62萬
186.45%4,280.9575
-189.38%-1.28萬
非控制性權益現金股息
0.00%-19.6萬
20.00%-19.6萬
11.08%-24.5萬
16.08%-27.55萬
---32.83萬
--0
-1.22%-58.04萬
5.87%2,457.7636
--0
--0
已付利息(籌資活動產生的現金流)
4.48%-68.3萬
16.67%-71.5萬
0.51%-85.8萬
-51.95%-86.24萬
17.69%-56.76萬
43.77%-68.96萬
-74.46%-122.64萬
-129.97%-63.5萬
3.02%-16.17萬
-39.16%-20.58萬
其他籌資費用淨額
---40.9萬
----
---67萬
----
----
----
----
----
----
----
融資活動現金淨額
-137.90%-237.9萬
45.47%-100萬
49.46%-183.4萬
16.14%-362.89萬
-181.54%-432.74萬
68.62%-153.71萬
-633.21%-489.84萬
-842.72%-591.4萬
-115.41%-56.21萬
72.71%-61.88萬
現金淨流量
期初現金流
-70.13%86.8萬
11.21%290.6萬
-12.95%261.3萬
99.63%300.18萬
-58.08%150.37萬
46.72%358.71萬
-59.45%244.49萬
-37.06%193.33萬
-48.52%203.48萬
-36.58%320.65萬
現金變動
432.14%689.2萬
-653.33%-207.5萬
163.83%37.5萬
-133.82%-58.75萬
183.41%173.71萬
-283.02%-208.25萬
132.27%113.79萬
397.19%166.08萬
84.65%-11.26萬
-21.01%-109.21萬
匯率變動影響
-72.97%1萬
145.12%3.7萬
-142.73%-8.2萬
529.45%19.19萬
-367.44%-4.47萬
112.29%1.67萬
114.96%7,869.9805
118.55%6,882.0673
107.62%1.12萬
-0.38%-9.23萬
期末現金
795.16%777萬
-70.13%86.8萬
11.50%290.6萬
-18.46%260.62萬
110.08%319.61萬
-57.63%152.13萬
46.47%359.07萬
46.47%359.07萬
-37.06%193.33萬
-50.21%202.21萬
自由現金流
79.75%-50.4萬
-645.83%-248.9萬
-84.26%45.6萬
31.93%289.75萬
359.25%219.62萬
-138.67%-84.72萬
252.92%219.08萬
1,598.73%352.09萬
-39.52%16.53萬
-116.30%-27.23萬
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
(FY)2025/12/31(FY)2024/12/31(FY)2023/12/31(FY)2022/12/31(FY)2021/12/31(FY)2020/12/31(FY)2019/12/31(Q4)2019/12/31(Q3)2019/09/30(Q2)2019/06/30
經營活動現金流量(間接法)
經營活動產生的現金 98.46%-3.4萬-330.55%-221.1萬-76.71%95.9萬41.86%411.79萬892.56%290.27萬-112.05%-36.62萬29.28%303.88萬645.99%406.39萬-19.26%56.51萬-126.59%-51.38萬
扣除非現金調整前淨利潤 134.22%176.5萬16.40%-515.8萬-2,044.72%-617萬-115.92%-28.77萬191.75%180.67萬29.36%-196.91萬-199.37%-278.76萬-568.25%-341.1萬-64.33%14.59萬-86.80%15.18萬
非現金項目調整總額 -180.19%-320.5萬0.45%399.7萬248.36%397.9萬-32.55%114.22萬-58.61%169.34萬-24.38%409.13萬94.68%541.03萬236.78%292.17萬11.14%68.13萬23.05%86.62萬
-折舊與攤銷 -5.25%131.7萬-10.26%139萬-21.25%154.9萬-41.07%196.69萬10.73%333.79萬-21.55%301.45萬124.01%384.25萬101.19%96.51萬132.41%105.81萬125.07%90.49萬
-在損益中確認的減值損失回撥 -193.08%-96.8萬-63.76%104萬7,572.81%287萬670.16%3.74萬-93.80%4,856.78282.26%7.83萬-75.72%4.3萬-97.10%4,099.055230.44%5,598.17526.11%2.88萬
-資產準備金與勾銷 49.87%222.1萬675.92%148.2萬171.86%19.1萬-121.22%-26.58萬-29.67%125.27萬2,046.88%178.11萬-88.50%8.3萬-82.96%12.74萬-53.06%7,903.3062-122.04%-7.99萬
-聯營企業份額 72.06%-14萬-496.43%-50.1萬87.88%-8.4萬9.61%-69.31萬25.32%-76.67萬-53.85%-102.67萬-32.39%-66.73萬111.27%5.26萬-676.63%-25.13萬-6,929.55%-19.08萬
-處置利潤 -4,412.58%-681.4萬-855.00%-15.1萬-95.72%2萬124.12%46.71萬-32,941.78%-193.66萬-99.60%5,896.63783,209.76%145.82萬3,449.09%145.82萬--0--0
-匯兌損益淨額 70.84%95.5萬181.01%55.9萬-47.62%-69萬-522.10%-46.74萬868.24%11.07萬84.36%-1.44萬53.21%-9.21萬23.79%-9.68萬10.61%-5.4萬-75.95%-6.45萬
-以股票支付的報酬 3.70%2.8萬-3.57%2.7萬-5.08%2.8萬62.69%2.95萬-64.06%1.81萬-85.51%5.04萬-51.66%34.82萬-82.90%5.32萬7.26%9.88萬-57.48%9.75萬
-其他非現金項目 29.80%19.6萬58.95%15.1萬40.72%9.5萬120.60%6.75萬-262.11%-32.77萬-48.80%20.21萬287.35%39.48萬237.55%35.79萬-233.80%-18.38萬44.55%17.02萬
營運資本變動 233.90%140.6萬-133.33%-105萬-3.47%315萬646.27%326.33萬75.99%-59.74萬-697.99%-248.84萬112.87%41.61萬533.12%455.32萬18.65%-26.21萬-2,054.68%-153.19萬
-應收款(增)減 199.58%166.1萬-164.45%-166.8萬83.81%258.8萬479.46%140.8萬37.83%-37.11萬-232.76%-59.69萬94.12%-17.94萬741.55%526.44萬-783.73%-107.95萬-133.11%-40.61萬
-預付費用(增)減 -6.82%12.3萬-57.28%13.2萬174.88%30.9萬-36.02%-41.27萬-281.12%-30.34萬-159.65%-7.96萬-22.98%13.35萬-11.79%7.45萬57.08%-3.66萬225.97%16.04萬
-應付款(減)增 -177.78%-37.8萬92.09%48.6萬-88.84%25.3萬2,843.14%226.8萬104.25%7.71萬-492.16%-181.19萬228.80%46.2萬-149.32%-78.57萬843.25%85.39萬-7.42%-128.61萬
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)
已收到的利息(經營活動產生的現金流)
已支付退稅 -84.03%-43.8萬20.93%-23.8萬56.95%-30.1萬-21.85%-69.91萬-46.07%-57.37萬49.29%-39.28萬24.98%-77.45萬-27.20%-53.05萬-70.45%-37.87萬245.22%26.9萬
其他經營現金流入(流出) 0000000000
經營活動現金淨額 80.73%-47.2萬-472.19%-244.9萬-80.75%65.8萬46.79%341.87萬406.84%232.9萬-133.52%-75.9萬71.78%226.43萬2,666.83%353.34萬-60.98%18.64萬-114.01%-24.48萬
投資活動現金流量
物業、廠房及設備交易淨額 -77.78%-3.2萬89.09%-1.8萬61.49%-16.5萬-273.83%-42.85萬-151.72%-11.46萬-4.41%-4.55萬85.60%-4.36萬99.62%-803.2339-327.50%-1.98萬66.14%-1.08萬
無形資產交易淨額 --00.00%-1,00094.61%-1,000-2.31%-1.86萬57.42%-1.81萬-42.72%-4.26萬92.42%-2.98萬92.09%-1.17萬99.34%-1,317.217762.16%-1.67萬
業務交易淨額 6,651.54%877.7萬156.52%13萬-108.47%-23萬28.44%271.47萬4,609.61%211.37萬-98.92%4.49萬247.41%413.67萬36,310.78%413.67萬--0--0
投資產品交易淨額 -35.50%32.7萬-59.54%50.7萬129.81%125.3萬-1,053.01%-420.27萬1,412.56%44.1萬-52.20%2.92萬--6.1萬-84.24%16.87萬100.09%987.9133---1,636.2792
向其他方提供的預付現金及貸款 ----46.38%-3.7萬85.42%-6.9萬-163.32%-47.32萬35.69%-17.97萬67.49%-27.94萬63.65%-85.95萬79.93%-16.23萬84.82%-8.96萬57.92%-23.5萬
償還對其他方提供的預付款及貸款產生的現金收入 --13.7萬----------------------34.56萬--30.38萬--2.73萬----
已收到的股息(投資活動產生的現金流) -79.48%4.7萬--22.9萬--0-15.76%123.59萬199.36%146.71萬5,878.07%49.01萬-16.89%8,197.896420,628.87%8,197.8964--0--0
已收到的利息(投資活動產生的現金流) -13.65%48.7萬-26.08%56.4萬-4.02%76.3萬2,931.00%79.49萬53.96%2.62萬-88.90%1.7萬62.06%15.35萬-1,437.46%-40.11萬1,075.71%34.54萬19.48%3.57萬
其他投資變動淨額 -------1,000--------------------------------
投資活動現金淨額 609.10%974.3萬-11.41%137.4萬510.98%155.1萬-110.10%-37.74萬1,648.92%373.55萬-94.34%21.36萬165.45%377.2萬6,926.47%404.14萬105.41%26.31萬40.15%-22.84萬
融資活動現金流量
債務發行/償還的淨額 113.00%13萬46.29%-100萬49.75%-186.2萬-182.88%-370.58萬-319.48%-131萬115.33%59.69萬-275.87%-389.33萬-684.77%-273.88萬-110.59%-40.47萬56.84%-64.31萬
普通股發行/回購的淨額 --0-24.56%203.7萬15.68%270萬--233.4萬--0------296.11萬---39.65萬--0--24.28萬
租賃融資增減 -8.44%-122.1萬-25.25%-112.6萬19.67%-89.9萬47.25%-111.91萬-46.88%-212.14萬33.11%-144.43萬-11,421.65%-215.93萬-47,110.45%-214.62萬186.45%4,280.9575-189.38%-1.28萬
非控制性權益現金股息 0.00%-19.6萬20.00%-19.6萬11.08%-24.5萬16.08%-27.55萬---32.83萬--0-1.22%-58.04萬5.87%2,457.7636--0--0
已付利息(籌資活動產生的現金流) 4.48%-68.3萬16.67%-71.5萬0.51%-85.8萬-51.95%-86.24萬17.69%-56.76萬43.77%-68.96萬-74.46%-122.64萬-129.97%-63.5萬3.02%-16.17萬-39.16%-20.58萬
其他籌資費用淨額 ---40.9萬-------67萬----------------------------
融資活動現金淨額 -137.90%-237.9萬45.47%-100萬49.46%-183.4萬16.14%-362.89萬-181.54%-432.74萬68.62%-153.71萬-633.21%-489.84萬-842.72%-591.4萬-115.41%-56.21萬72.71%-61.88萬
現金淨流量
期初現金流 -70.13%86.8萬11.21%290.6萬-12.95%261.3萬99.63%300.18萬-58.08%150.37萬46.72%358.71萬-59.45%244.49萬-37.06%193.33萬-48.52%203.48萬-36.58%320.65萬
現金變動 432.14%689.2萬-653.33%-207.5萬163.83%37.5萬-133.82%-58.75萬183.41%173.71萬-283.02%-208.25萬132.27%113.79萬397.19%166.08萬84.65%-11.26萬-21.01%-109.21萬
匯率變動影響 -72.97%1萬145.12%3.7萬-142.73%-8.2萬529.45%19.19萬-367.44%-4.47萬112.29%1.67萬114.96%7,869.9805118.55%6,882.0673107.62%1.12萬-0.38%-9.23萬
期末現金 795.16%777萬-70.13%86.8萬11.50%290.6萬-18.46%260.62萬110.08%319.61萬-57.63%152.13萬46.47%359.07萬46.47%359.07萬-37.06%193.33萬-50.21%202.21萬
自由現金流 79.75%-50.4萬-645.83%-248.9萬-84.26%45.6萬31.93%289.75萬359.25%219.62萬-138.67%-84.72萬252.92%219.08萬1,598.73%352.09萬-39.52%16.53萬-116.30%-27.23萬
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