(FY)2023/12/31 | (FY)2022/12/31 | (FY)2021/12/31 | (FY)2020/12/31 | (FY)2019/12/31 | (FY)2018/12/31 | (FY)2017/12/31 | (FY)2016/12/31 | (FY)2015/12/31 | (FY)2014/12/31 | |
---|---|---|---|---|---|---|---|---|---|---|
經營活動現金流量(間接法) | ||||||||||
經營活動產生的現金 | 307.01%1,805.5萬 | -281.41%-872.2萬 | 65.85%480.8萬 | -52.29%289.9萬 | -64.99%607.6萬 | 712.59%1,735.7萬 | -79.78%213.6萬 | 723.55%1,056.3萬 | -202.29%-169.4萬 | 162.19%165.6萬 |
扣除非現金調整前淨利潤 | -151.03%-464.9萬 | 29.50%911萬 | 1,102.56%703.5萬 | -34.12%58.5萬 | 658.49%88.8萬 | -108.59%-15.9萬 | 181.68%185萬 | -18.96%-226.5萬 | -116.57%-190.4萬 | 1,662.88%1,149.4萬 |
非現金項目調整總額 | 221.82%896.9萬 | -2.18%278.7萬 | -17.97%284.9萬 | 204.38%347.3萬 | -24.09%114.1萬 | 245.52%150.3萬 | -79.22%43.5萬 | -4.43%209.3萬 | 126.45%219萬 | -670.25%-828萬 |
-折舊與攤銷 | 22.78%183.8萬 | 12.98%149.7萬 | 2.71%132.5萬 | 13.66%129萬 | 38.75%113.5萬 | -12.89%81.8萬 | -25.18%93.9萬 | 3.72%125.5萬 | 41.03%121萬 | 25.99%85.8萬 |
-在損益中確認的減值損失回撥 | -98.79%3,000 | 3,187.50%24.7萬 | -100.46%-8,000 | 357.27%175.2萬 | ---68.1萬 | ---- | --40萬 | --0 | ---- | ---- |
-資產準備金與勾銷 | 276.78%610萬 | 64.53%161.9萬 | --98.4萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-處置利潤 | 126.67%4,000 | -66.67%-1.5萬 | 96.74%-9,000 | -922.22%-27.6萬 | 35.71%-2.7萬 | 97.60%-4.2萬 | -3,030.36%-175.3萬 | 12.50%-5.6萬 | 99.36%-6.4萬 | -38,392.31%-1,000.8萬 |
-匯兌損益淨額 | 90.02%-12.2萬 | -643.11%-122.2萬 | 19.68%22.5萬 | 380.60%18.8萬 | 4.29%-6.7萬 | -62.79%-7萬 | 14.00%-4.3萬 | -192.59%-5萬 | 14.89%5.4萬 | -76.14%4.7萬 |
-其他非現金項目 | 73.37%114.6萬 | 99.10%66.1萬 | -36.03%33.2萬 | -33.55%51.9萬 | -2.01%78.1萬 | -10.65%79.7萬 | -5.51%89.2萬 | -4.65%94.4萬 | 20.29%99萬 | 37.17%82.3萬 |
營運資本變動 | 166.61%1,373.5萬 | -306.21%-2,061.9萬 | -337.96%-507.6萬 | -128.64%-115.9萬 | -74.73%404.7萬 | 10,846.98%1,601.3萬 | -101.39%-14.9萬 | 642.17%1,073.5萬 | -27.09%-198萬 | 67.32%-155.8萬 |
-應收款(增)減 | 81.24%-46.7萬 | 37.56%-249萬 | -123.17%-398.8萬 | -250.80%-178.7萬 | -94.87%118.5萬 | 3,746.37%2,311.8萬 | -210.65%-63.4萬 | -75.88%57.3萬 | 181.37%237.6萬 | 40.29%-292萬 |
-存貨(增)減 | 173.76%2,048.5萬 | -344.42%-2,777.2萬 | -1,304.05%-624.9萬 | -89.37%51.9萬 | 181.61%488.2萬 | -166.34%-598.2萬 | -128.63%-224.6萬 | 662.29%784.4萬 | 48.69%-139.5萬 | 43.76%-271.9萬 |
-預付費用(增)減 | -82.35%12.6萬 | 192.25%71.4萬 | ---77.4萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-應付款(減)增 | -171.08%-640.9萬 | 51.90%901.7萬 | 1,017.89%593.6萬 | 126.76%53.1萬 | -75.27%-198.4萬 | -140.70%-113.2萬 | 21.07%278.1萬 | 176.34%229.7萬 | -329.17%-300.9萬 | -82.97%131.3萬 |
-其他流動資產變動 | --0 | -8,700.00%-8.8萬 | 99.76%-1,000 | -1,072.22%-42.2萬 | -500.00%-3.6萬 | 118.00%9,000 | -338.10%-5萬 | -56.25%2.1萬 | -98.27%4.8萬 | 200.58%276.8萬 |
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 | -80.80%-180.8萬 | -196.74%-100萬 | -155.30%-33.7萬 | -91.30%-13.2萬 | 64.43%-6.9萬 | 11.01%-19.4萬 | -603.23%-21.8萬 | 81.55%-3.1萬 | -13.51%-16.8萬 | -300.00%-14.8萬 |
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 | 267.12%1,624.7萬 | -317.45%-972.2萬 | 61.58%447.1萬 | -53.94%276.7萬 | -65.00%600.7萬 | 794.84%1,716.3萬 | -81.79%191.8萬 | 665.63%1,053.2萬 | -223.47%-186.2萬 | 155.85%150.8萬 |
投資活動現金流量 | ||||||||||
資本支出 | ---- | ---- | ---- | ---- | ---- | -1,343.47%-906.5萬 | ---62.8萬 | ---- | ---- | ---- |
物業、廠房及設備交易淨額 | -10.28%-71.9萬 | -98.78%-65.2萬 | -163.81%-32.8萬 | 159.70%51.4萬 | -848.70%-86.1萬 | -27.22%11.5萬 | 187.29%15.8萬 | 61.32%-18.1萬 | 88.54%-46.8萬 | -450.40%-408.4萬 |
業務交易淨額 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---101.4萬 | ---- |
已收到的利息(投資活動產生的現金流) | 116.67%1.3萬 | 100.00%6,000 | -80.00%3,000 | 275.00%1.5萬 | -63.64%4,000 | 120.00%1.1萬 | 150.00%5,000 | -60.00%2,000 | 0.00%5,000 | 150.00%5,000 |
投資活動現金淨額 | -9.29%-70.6萬 | -98.77%-64.6萬 | -161.44%-32.5萬 | 161.73%52.9萬 | 90.41%-85.7萬 | -1,822.37%-893.9萬 | -159.78%-46.5萬 | 87.88%-17.9萬 | 63.79%-147.7萬 | -451.22%-407.9萬 |
融資活動現金流量 | ||||||||||
債務發行/償還的淨額 | -209.30%-1,072萬 | 564.39%980.8萬 | -502.29%-211.2萬 | 109.13%52.5萬 | 28.49%-575.1萬 | -205.68%-804.2萬 | 180.54%761萬 | -151.17%-944.9萬 | -146.62%-376.2萬 | 168.97%806.9萬 |
租賃融資增減 | -40.75%-89.8萬 | -45.00%-63.8萬 | -6.02%-44萬 | -66.67%-41.5萬 | ---24.9萬 | --0 | ---- | ---- | ---- | ---- |
已支付現金股息 | 0.00%-32.4萬 | ---32.4萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---108萬 | ---- |
已付利息(籌資活動產生的現金流) | -69.87%-106萬 | -105.94%-62.4萬 | 38.04%-30.3萬 | 36.66%-48.9萬 | 4.46%-77.2萬 | 9.92%-80.8萬 | 5.18%-89.7萬 | 4.92%-94.6萬 | -20.17%-99.5萬 | -37.54%-82.8萬 |
其他籌資費用淨額 | ---- | ---- | ---- | ---- | ---- | ---- | -233.03%-505.5萬 | 216.67%380萬 | --120萬 | ---- |
融資活動現金淨額 | -258.14%-1,300.2萬 | 387.99%822.2萬 | -653.30%-285.5萬 | 94.40%-37.9萬 | 23.48%-677.2萬 | -633.78%-885萬 | 125.14%165.8萬 | -42.23%-659.5萬 | -164.04%-463.7萬 | 1,014.27%724.1萬 |
現金淨流量 | ||||||||||
期初現金流 | -29.42%514.8萬 | 21.51%729.4萬 | 94.52%600.3萬 | -34.45%308.6萬 | -11.74%470.8萬 | 139.95%533.4萬 | 244.82%222.3萬 | -123.83%-153.5萬 | 263.69%644.1萬 | -70.50%177.1萬 |
現金變動 | 218.31%253.9萬 | -266.23%-214.6萬 | -55.74%129.1萬 | 279.84%291.7萬 | -159.11%-162.2萬 | -120.12%-62.6萬 | -17.22%311.1萬 | 147.12%375.8萬 | -270.79%-797.6萬 | 210.35%467萬 |
期末現金 | 49.32%768.7萬 | -29.42%514.8萬 | 21.51%729.4萬 | 94.52%600.3萬 | -34.45%308.6萬 | -11.74%470.8萬 | 139.95%533.4萬 | 244.82%222.3萬 | -123.83%-153.5萬 | 263.69%644.1萬 |
自由現金流 | 248.60%1,544.8萬 | -352.15%-1,039.6萬 | 60.99%412.3萬 | -48.67%256.1萬 | -38.39%498.9萬 | 527.75%809.8萬 | -87.47%129萬 | 525.29%1,029.2萬 | 88.92%-242萬 | -522.67%-2,183.7萬 |
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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暫無數據