新加坡市場個股詳情

41O 賢能

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延時10分鐘行情未開盤 03/05 17:06 (北京)
1.92億總市值4.00市盈率TTM

賢能關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/09/30
(FY)2023/09/30
(FY)2022/09/30
(FY)2021/09/30
(FY)2020/09/30
(FY)2019/09/30
(Q4)2019/09/30
(Q3)2019/06/30
(Q2)2019/03/31
(Q1)2018/12/31
經營活動現金流量(間接法)
經營活動產生的現金
-45.15%3,195.7萬
25.94%5,826.5萬
-25.08%4,626.3萬
27.45%6,175.1萬
172.71%4,845.2萬
58.73%1,776.7萬
-24.45%592.7萬
3,187.20%693.6萬
16.23%339.4萬
595.85%151萬
扣除非現金調整前淨利潤
19.02%4,787.3萬
-15.35%4,022.1萬
38.69%4,751.4萬
16.84%3,425.8萬
228.48%2,932萬
43.83%892.6萬
92.54%332.9萬
44.98%226.9萬
-47.95%219.4萬
187.03%113.4萬
非現金項目調整總額
146.64%1,157萬
3,324.09%469.1萬
-99.48%13.7萬
-17.32%2,614.2萬
633.77%3,161.8萬
-33.32%430.9萬
-4.29%111.5萬
19.24%165.5萬
-78.68%16.1萬
-56.69%137.8萬
-折舊與攤銷
-2.82%1,953.4萬
-1.93%2,010萬
8.70%2,049.5萬
-9.95%1,885.4萬
213.77%2,093.8萬
13.49%667.3萬
36.02%203.9萬
10.79%162.2萬
7.09%152.5萬
-0.40%148.7萬
-在損益中確認的減值損失回撥
-84.59%36.7萬
-75.03%238.2萬
3,715.60%953.9萬
-89.87%25萬
875.49%246.8萬
-67.10%25.3萬
-92.43%5.8萬
750.00%1.7萬
-75.86%7,000
--17.1萬
-資產準備金與勾銷
----
----
----
----
-81.12%27萬
--143萬
----
----
----
----
-聯營企業份額
-204.12%-893.5萬
82.16%-293.8萬
-349.15%-1,646.6萬
-560.54%-366.6萬
87.74%-55.5萬
-123.33%-452.7萬
-89.22%-222.9萬
-116.98%-34.5萬
-105.88%-154萬
-513.00%-41.3萬
-處置利潤
52.81%-1,234萬
-9.97%-2,615萬
-451.86%-2,377.9萬
36.09%675.8萬
982.06%496.6萬
-47.38%-56.3萬
-5,233.33%-48萬
107.14%1,000
---8.4萬
--0
-遞延所得稅
-12.78%354.8萬
-26.01%406.8萬
--549.8萬
----
----
----
----
----
----
----
-其他非現金項目
29.98%939.6萬
49.05%722.9萬
22.91%485萬
11.75%394.6萬
238.54%353.1萬
-53.06%104.3萬
241.38%29.7萬
278.95%36萬
406.00%25.3萬
-93.17%13.3萬
營運資本變動
-305.84%-2,748.6萬
1,062.03%1,335.3萬
-202.74%-138.8萬
110.82%135.1萬
-375.51%-1,248.6萬
407.25%453.2萬
-70.05%148.3萬
209.85%301.2萬
150.68%103.9萬
39.71%-100.2萬
-應收款(增)減
-224.37%-1,048.6萬
1,272.60%843.1萬
-105.97%-71.9萬
143.58%1,203.6萬
-91,956.67%-2,761.7萬
99.41%-3萬
-82.81%52.6萬
122.25%70.9萬
73.75%-72.7萬
75.85%-53.8萬
-存貨(增)減
-349.06%-1,309萬
-6,236.96%-291.5萬
-206.67%-4.6萬
79.17%-1.5萬
-267.44%-7.2萬
430.77%4.3萬
103.23%1,000
2,375.00%9.1萬
-166.67%-8,000
-264.00%-4.1萬
-應付款(減)增
-149.89%-391萬
1,357.95%783.7萬
94.16%-62.3萬
-170.18%-1,067萬
236.42%1,520.3萬
24.32%451.9萬
-50.26%95.6萬
392.65%221.2萬
145.37%177.4萬
-178.19%-42.3萬
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)
-289.05%-53.3萬
-71.25%-13.7萬
-158.06%-8萬
-158.33%-3.1萬
-300.00%-1.2萬
66.67%-3,000
0
-1,000
0
33.33%-2,000
已收到的利息(經營活動產生的現金流)
已支付退稅
25.67%-301.5萬
18.14%-405.6萬
-3.01%-495.5萬
-4,108.33%-481萬
119.11%12萬
27.31%-62.8萬
1.96%-5萬
-24.64%-69.3萬
9.03%-69.5萬
59.76%81萬
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
-47.46%2,840.9萬
31.15%5,407.2萬
-27.56%4,122.8萬
17.20%5,691萬
183.38%4,856萬
66.05%1,713.6萬
-24.57%587.7萬
1,909.28%624.2萬
25.36%269.9萬
221.50%231.8萬
投資活動現金流量
物業、廠房及設備交易淨額
73.93%-477.9萬
-130.46%-1,833.1萬
59.73%-795.4萬
11.08%-1,975.1萬
-13.97%-2,221.2萬
-204.85%-1,948.9萬
-36.40%-544.5萬
-577.64%-672.9萬
-208.19%-282.3萬
-813.01%-449.2萬
業務交易淨額
-100.13%-5萬
14,367.87%3,952.2萬
47.74%-27.7萬
13.11%-53萬
-1,705.26%-61萬
290.00%3.8萬
--3.8萬
--0
-6.57%-37.3萬
621.44%469.3萬
投資物業交易淨額
-95.53%-1.17億
-23.83%-5,983.5萬
-13.98%-4,832.2萬
-201,790.48%-4,239.7萬
99.90%-2.1萬
---2,033.6萬
---63.1萬
---87.2萬
---1,883.3萬
----
投資產品交易淨額
--0
47.36%-26.9萬
-344.35%-51.1萬
-43.75%-11.5萬
77.40%-8萬
-1,041.94%-35.4萬
-464.52%-17.5萬
---13.7萬
--0
---4.2萬
向其他方提供的預付現金及貸款
-79.08%-630.2萬
22.64%-351.9萬
-11.99%-454.9萬
-39.16%-406.2萬
---291.9萬
----
----
----
----
----
償還對其他方提供的預付款及貸款產生的現金收入
-46.43%292萬
--545.1萬
----
--71.7萬
----
676.52%994.5萬
---97.5萬
1,489.47%660萬
----
----
已收到的股息(投資活動產生的現金流)
62.96%286萬
42.68%175.5萬
102.30%123萬
-9.12%60.8萬
51.70%66.9萬
341.00%44.1萬
--34.3萬
--0
--0
--9.8萬
已收到的利息(投資活動產生的現金流)
-15.43%120萬
56.62%141.9萬
-25.06%90.6萬
-37.00%120.9萬
318.08%191.9萬
309.82%45.9萬
654.90%38.5萬
-25.58%3.2萬
133.33%2.8萬
133.33%1.4萬
其他投資變動淨額
4.05%2,132.9萬
-11.36%2,049.8萬
14.55%2,312.6萬
58.51%2,018.8萬
239.83%1,273.6萬
-166.47%-910.8萬
---11.1萬
---51萬
---421.5萬
---427.2萬
投資活動現金淨額
-649.99%-9,981.6萬
63.39%-1,330.9萬
17.63%-3,635.1萬
-319.59%-4,413.3萬
72.61%-1,051.8萬
-231.64%-3,840.4萬
13.48%-657.1萬
-11.83%-161.6萬
-2,171.75%-2,621.6萬
-188.67%-400.1萬
融資活動現金流量
債務發行/償還的淨額
214.85%1.2億
-19.17%3,799萬
35.80%4,699.9萬
80.98%3,461萬
-28.46%1,912.4萬
26,633.00%2,673.3萬
1,300.33%364.9萬
-80.08%28.9萬
2,317.47%1,942.5萬
2,070.76%337萬
普通股發行/回購的淨額
----
----
141.65%504.8萬
--208.9萬
----
----
----
--0
--0
--0
租賃融資增減
1.97%-3,922.5萬
-0.46%-4,001.3萬
0.14%-3,982.9萬
-12.13%-3,988.3萬
-1,584.09%-3,556.8萬
-12.64%-211.2萬
-29.62%-54.7萬
-29.89%-57.8萬
-10.82%-50.2萬
12.61%-48.5萬
發行費用
----
----
---145.6萬
--0
----
----
----
--0
--0
--0
已支付現金股息
-16.80%-951.7萬
-14.07%-814.8萬
-1.77%-714.3萬
-128.71%-701.9萬
---306.9萬
----
----
----
----
----
非控制性權益現金股息
--0
36.43%-45.2萬
-251.98%-71.1萬
-68.33%-20.2萬
---12萬
--0
----
----
----
----
已付利息(籌資活動產生的現金流)
-29.18%-1,148.9萬
-89.23%-889.4萬
1.24%-470萬
8.94%-475.9萬
-270.64%-522.6萬
-72.58%-141萬
-90.87%-41.8萬
-102.37%-42.7萬
-80.41%-35萬
-11.40%-21.5萬
其他籌資費用淨額
-873.75%-311.6萬
-78.77%-32萬
-414.04%-17.9萬
-98.78%5.7萬
442.12%468.7萬
25.01%-137萬
-109.09%-1.4萬
-1,638.37%-132.3萬
98.42%-3.1萬
97.98%-2,000
融資活動現金淨額
383.64%5,626.6萬
-906.44%-1,983.7萬
86.95%-197.1萬
25.11%-1,510.7萬
-192.36%-2,017.2萬
208.10%2,184.1萬
437.55%267萬
-2,556.63%-203.9萬
631.14%1,854.2萬
-76.36%266.8萬
現金淨流量
期初現金流
54.83%5,858萬
2.81%3,783.4萬
-5.94%3,680.1萬
83.69%3,912.7萬
3.06%2,130萬
38.84%2,066.7萬
-9.33%1,929.3萬
-27.33%1,669.2萬
-15.01%2,166.2萬
38.84%2,066.7萬
現金變動
-172.35%-1,514.1萬
620.10%2,092.6萬
224.72%290.6萬
-113.04%-233萬
3,018.67%1,787萬
-90.17%57.3萬
432.10%197.6萬
251.55%258.7萬
-99.64%-497.5萬
-90.73%98.5萬
匯率變動影響
41.11%-10.6萬
-600.00%-18萬
800.00%3.6萬
109.30%4,000
-171.67%-4.3萬
227.66%6萬
282.35%3.1萬
-12.50%1.4萬
118.52%5,000
152.63%1萬
期末現金
-26.03%4,333.3萬
47.40%5,858萬
7.99%3,974.3萬
-5.94%3,680.1萬
83.69%3,912.7萬
3.06%2,130萬
3.06%2,130萬
-9.33%1,929.3萬
-27.33%1,669.2萬
-15.01%2,166.2萬
自由現金流
-33.26%2,352.7萬
6.39%3,525.3萬
-9.87%3,313.6萬
41.04%3,676.4萬
1,164.35%2,606.6萬
-176.08%-244.9萬
-87.96%43.2萬
63.20%-49.9萬
-116.81%-20.8萬
-766.14%-217.4萬
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
(FY)2024/09/30(FY)2023/09/30(FY)2022/09/30(FY)2021/09/30(FY)2020/09/30(FY)2019/09/30(Q4)2019/09/30(Q3)2019/06/30(Q2)2019/03/31(Q1)2018/12/31
經營活動現金流量(間接法)
經營活動產生的現金 -45.15%3,195.7萬25.94%5,826.5萬-25.08%4,626.3萬27.45%6,175.1萬172.71%4,845.2萬58.73%1,776.7萬-24.45%592.7萬3,187.20%693.6萬16.23%339.4萬595.85%151萬
扣除非現金調整前淨利潤 19.02%4,787.3萬-15.35%4,022.1萬38.69%4,751.4萬16.84%3,425.8萬228.48%2,932萬43.83%892.6萬92.54%332.9萬44.98%226.9萬-47.95%219.4萬187.03%113.4萬
非現金項目調整總額 146.64%1,157萬3,324.09%469.1萬-99.48%13.7萬-17.32%2,614.2萬633.77%3,161.8萬-33.32%430.9萬-4.29%111.5萬19.24%165.5萬-78.68%16.1萬-56.69%137.8萬
-折舊與攤銷 -2.82%1,953.4萬-1.93%2,010萬8.70%2,049.5萬-9.95%1,885.4萬213.77%2,093.8萬13.49%667.3萬36.02%203.9萬10.79%162.2萬7.09%152.5萬-0.40%148.7萬
-在損益中確認的減值損失回撥 -84.59%36.7萬-75.03%238.2萬3,715.60%953.9萬-89.87%25萬875.49%246.8萬-67.10%25.3萬-92.43%5.8萬750.00%1.7萬-75.86%7,000--17.1萬
-資產準備金與勾銷 -----------------81.12%27萬--143萬----------------
-聯營企業份額 -204.12%-893.5萬82.16%-293.8萬-349.15%-1,646.6萬-560.54%-366.6萬87.74%-55.5萬-123.33%-452.7萬-89.22%-222.9萬-116.98%-34.5萬-105.88%-154萬-513.00%-41.3萬
-處置利潤 52.81%-1,234萬-9.97%-2,615萬-451.86%-2,377.9萬36.09%675.8萬982.06%496.6萬-47.38%-56.3萬-5,233.33%-48萬107.14%1,000---8.4萬--0
-遞延所得稅 -12.78%354.8萬-26.01%406.8萬--549.8萬----------------------------
-其他非現金項目 29.98%939.6萬49.05%722.9萬22.91%485萬11.75%394.6萬238.54%353.1萬-53.06%104.3萬241.38%29.7萬278.95%36萬406.00%25.3萬-93.17%13.3萬
營運資本變動 -305.84%-2,748.6萬1,062.03%1,335.3萬-202.74%-138.8萬110.82%135.1萬-375.51%-1,248.6萬407.25%453.2萬-70.05%148.3萬209.85%301.2萬150.68%103.9萬39.71%-100.2萬
-應收款(增)減 -224.37%-1,048.6萬1,272.60%843.1萬-105.97%-71.9萬143.58%1,203.6萬-91,956.67%-2,761.7萬99.41%-3萬-82.81%52.6萬122.25%70.9萬73.75%-72.7萬75.85%-53.8萬
-存貨(增)減 -349.06%-1,309萬-6,236.96%-291.5萬-206.67%-4.6萬79.17%-1.5萬-267.44%-7.2萬430.77%4.3萬103.23%1,0002,375.00%9.1萬-166.67%-8,000-264.00%-4.1萬
-應付款(減)增 -149.89%-391萬1,357.95%783.7萬94.16%-62.3萬-170.18%-1,067萬236.42%1,520.3萬24.32%451.9萬-50.26%95.6萬392.65%221.2萬145.37%177.4萬-178.19%-42.3萬
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) -289.05%-53.3萬-71.25%-13.7萬-158.06%-8萬-158.33%-3.1萬-300.00%-1.2萬66.67%-3,0000-1,000033.33%-2,000
已收到的利息(經營活動產生的現金流)
已支付退稅 25.67%-301.5萬18.14%-405.6萬-3.01%-495.5萬-4,108.33%-481萬119.11%12萬27.31%-62.8萬1.96%-5萬-24.64%-69.3萬9.03%-69.5萬59.76%81萬
其他經營現金流入(流出) 0000000000
經營活動現金淨額 -47.46%2,840.9萬31.15%5,407.2萬-27.56%4,122.8萬17.20%5,691萬183.38%4,856萬66.05%1,713.6萬-24.57%587.7萬1,909.28%624.2萬25.36%269.9萬221.50%231.8萬
投資活動現金流量
物業、廠房及設備交易淨額 73.93%-477.9萬-130.46%-1,833.1萬59.73%-795.4萬11.08%-1,975.1萬-13.97%-2,221.2萬-204.85%-1,948.9萬-36.40%-544.5萬-577.64%-672.9萬-208.19%-282.3萬-813.01%-449.2萬
業務交易淨額 -100.13%-5萬14,367.87%3,952.2萬47.74%-27.7萬13.11%-53萬-1,705.26%-61萬290.00%3.8萬--3.8萬--0-6.57%-37.3萬621.44%469.3萬
投資物業交易淨額 -95.53%-1.17億-23.83%-5,983.5萬-13.98%-4,832.2萬-201,790.48%-4,239.7萬99.90%-2.1萬---2,033.6萬---63.1萬---87.2萬---1,883.3萬----
投資產品交易淨額 --047.36%-26.9萬-344.35%-51.1萬-43.75%-11.5萬77.40%-8萬-1,041.94%-35.4萬-464.52%-17.5萬---13.7萬--0---4.2萬
向其他方提供的預付現金及貸款 -79.08%-630.2萬22.64%-351.9萬-11.99%-454.9萬-39.16%-406.2萬---291.9萬--------------------
償還對其他方提供的預付款及貸款產生的現金收入 -46.43%292萬--545.1萬------71.7萬----676.52%994.5萬---97.5萬1,489.47%660萬--------
已收到的股息(投資活動產生的現金流) 62.96%286萬42.68%175.5萬102.30%123萬-9.12%60.8萬51.70%66.9萬341.00%44.1萬--34.3萬--0--0--9.8萬
已收到的利息(投資活動產生的現金流) -15.43%120萬56.62%141.9萬-25.06%90.6萬-37.00%120.9萬318.08%191.9萬309.82%45.9萬654.90%38.5萬-25.58%3.2萬133.33%2.8萬133.33%1.4萬
其他投資變動淨額 4.05%2,132.9萬-11.36%2,049.8萬14.55%2,312.6萬58.51%2,018.8萬239.83%1,273.6萬-166.47%-910.8萬---11.1萬---51萬---421.5萬---427.2萬
投資活動現金淨額 -649.99%-9,981.6萬63.39%-1,330.9萬17.63%-3,635.1萬-319.59%-4,413.3萬72.61%-1,051.8萬-231.64%-3,840.4萬13.48%-657.1萬-11.83%-161.6萬-2,171.75%-2,621.6萬-188.67%-400.1萬
融資活動現金流量
債務發行/償還的淨額 214.85%1.2億-19.17%3,799萬35.80%4,699.9萬80.98%3,461萬-28.46%1,912.4萬26,633.00%2,673.3萬1,300.33%364.9萬-80.08%28.9萬2,317.47%1,942.5萬2,070.76%337萬
普通股發行/回購的淨額 --------141.65%504.8萬--208.9萬--------------0--0--0
租賃融資增減 1.97%-3,922.5萬-0.46%-4,001.3萬0.14%-3,982.9萬-12.13%-3,988.3萬-1,584.09%-3,556.8萬-12.64%-211.2萬-29.62%-54.7萬-29.89%-57.8萬-10.82%-50.2萬12.61%-48.5萬
發行費用 -----------145.6萬--0--------------0--0--0
已支付現金股息 -16.80%-951.7萬-14.07%-814.8萬-1.77%-714.3萬-128.71%-701.9萬---306.9萬--------------------
非控制性權益現金股息 --036.43%-45.2萬-251.98%-71.1萬-68.33%-20.2萬---12萬--0----------------
已付利息(籌資活動產生的現金流) -29.18%-1,148.9萬-89.23%-889.4萬1.24%-470萬8.94%-475.9萬-270.64%-522.6萬-72.58%-141萬-90.87%-41.8萬-102.37%-42.7萬-80.41%-35萬-11.40%-21.5萬
其他籌資費用淨額 -873.75%-311.6萬-78.77%-32萬-414.04%-17.9萬-98.78%5.7萬442.12%468.7萬25.01%-137萬-109.09%-1.4萬-1,638.37%-132.3萬98.42%-3.1萬97.98%-2,000
融資活動現金淨額 383.64%5,626.6萬-906.44%-1,983.7萬86.95%-197.1萬25.11%-1,510.7萬-192.36%-2,017.2萬208.10%2,184.1萬437.55%267萬-2,556.63%-203.9萬631.14%1,854.2萬-76.36%266.8萬
現金淨流量
期初現金流 54.83%5,858萬2.81%3,783.4萬-5.94%3,680.1萬83.69%3,912.7萬3.06%2,130萬38.84%2,066.7萬-9.33%1,929.3萬-27.33%1,669.2萬-15.01%2,166.2萬38.84%2,066.7萬
現金變動 -172.35%-1,514.1萬620.10%2,092.6萬224.72%290.6萬-113.04%-233萬3,018.67%1,787萬-90.17%57.3萬432.10%197.6萬251.55%258.7萬-99.64%-497.5萬-90.73%98.5萬
匯率變動影響 41.11%-10.6萬-600.00%-18萬800.00%3.6萬109.30%4,000-171.67%-4.3萬227.66%6萬282.35%3.1萬-12.50%1.4萬118.52%5,000152.63%1萬
期末現金 -26.03%4,333.3萬47.40%5,858萬7.99%3,974.3萬-5.94%3,680.1萬83.69%3,912.7萬3.06%2,130萬3.06%2,130萬-9.33%1,929.3萬-27.33%1,669.2萬-15.01%2,166.2萬
自由現金流 -33.26%2,352.7萬6.39%3,525.3萬-9.87%3,313.6萬41.04%3,676.4萬1,164.35%2,606.6萬-176.08%-244.9萬-87.96%43.2萬63.20%-49.9萬-116.81%-20.8萬-766.14%-217.4萬
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