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INSPEC (6656)

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延時20分鐘行情未開盤 04/24 15:30 (東京)
25.20億總市值-17.69市盈率(靜)

INSPEC (6656) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/04/30
(FY)2024/04/30
(FY)2023/04/30
(FY)2022/04/30
(FY)2021/04/30
(FY)2020/04/30
(FY)2019/04/30
(FY)2018/04/30
(FY)2017/04/30
(FY)2016/04/30
經營活動現金流量(間接法)
經營活動產生的現金
233.14%5.23億
125.70%1.57億
-102.10%-6.11億
-127.96%-3.02億
-220.67%-1.33億
-77.97%1.1億
229.70%4.99億
-199.05%-3.84億
103.85%3.88億
299.76%1.9億
扣除非現金調整前淨利潤
61.06%-1.3億
-500.34%-3.34億
-36.96%8,342.7萬
111.10%1.32億
-1,303.21%-11.93億
-64.27%9,913.3萬
148.83%2.77億
-507.15%-5.68億
496.56%1.4億
-137.69%-3,518.8萬
非現金項目調整總額
33.86%4.18億
95.63%3.12億
494.72%1.6億
-103.71%-4,042.8萬
126,742.42%10.88億
-99.68%85.8萬
-45.43%2.64億
203.17%4.85億
86.07%1.6億
21.28%8,591萬
-折舊與攤銷
-35.46%1.27億
67.90%1.96億
36.30%1.17億
31.66%8,569.2萬
-16.46%6,508.4萬
-8.85%7,790.9萬
-61.48%8,547.4萬
108.02%2.22億
19.51%1.07億
265.12%8,926.2萬
-在損益中確認的減值損失回撥
--0
--6,711.1萬
--0
----
----
----
----
--2.75億
----
----
-資產準備金與勾銷
----
----
----
----
----
----
----
----
----
-152.32%-530.8萬
-聯營企業份額
----
----
----
----
----
----
--2,032.7萬
----
----
----
-處置利潤
6,801.26%2.47億
--358.1萬
--0
----
504,012.57%8.82億
-104.47%-17.5萬
-27.11%391.8萬
1,260.91%537.5萬
---46.3萬
--0
-以股票支付的報酬
-44.79%1,510.8萬
65.68%2,736.3萬
-27.90%1,651.6萬
-9.50%2,290.8萬
-48.08%2,531.2萬
55.71%4,875.4萬
25.11%3,131.1萬
14.82%2,502.7萬
311.09%2,179.6萬
-59.71%530.2萬
-其他非現金項目
61.31%2,909萬
-31.34%1,803.4萬
117.62%2,626.5萬
-228.40%-1.49億
192.39%1.16億
-201.80%-1.26億
389.65%1.23億
-233.80%-4,260.6萬
1,051.67%3,184.3萬
-114.57%-334.6萬
營運資本變動
31.49%2.35億
120.94%1.79億
-116.62%-8.54億
-1,302.92%-3.94億
-384.76%-2,809.2萬
122.81%986.5萬
85.63%-4,324.5萬
-439.14%-3.01億
-36.47%8,873.9萬
153.82%1.4億
-應收款(增)減
-129.64%-1.26億
157.36%4.25億
-208.11%-7.42億
-141.51%-2.41億
-160.60%-9,966萬
7.46%1.64億
201.25%1.53億
-375.42%-1.51億
-56.70%5,488.1萬
153.88%1.27億
-存貨(增)減
253.98%3.72億
-1,315.22%-2.41億
80.28%-1,706萬
-134.12%-8,650.4萬
-115.60%-3,694.9萬
148.37%2.37億
-72.22%-4.9億
-505.68%-2.84億
308.26%7,009.8萬
-790.21%-3,365.9萬
-預付費用(增)減
----
----
----
----
----
----
----
-299.32%-794.5萬
144.70%398.6萬
-229.93%-891.7萬
-應付款(減)增
168.03%4,144.7萬
16.75%-6,092.7萬
-88.26%-7,318.7萬
-123.12%-3,887.6萬
179.06%1.68億
-750.71%-2.13億
-71.05%3,267.9萬
4,090.39%1.13億
-90.74%269.4萬
199.70%2,909.1萬
-貸款、租賃及其他損失準備金
-113.60%-58.8萬
-85.50%432.4萬
152.64%2,982.7萬
-205.85%-5,666.1萬
1,798.29%5,353萬
93.59%-315.2萬
-328.51%-4,914.2萬
438.18%2,150.5萬
---635.9萬
----
-其他流動資產變動
-200.00%-5,146.1萬
199.50%5,146.1萬
-280.68%-5,172萬
125.30%2,862.5萬
35.61%-1.13億
-156.68%-1.76億
3,713.61%3.1億
122.23%812.7萬
-238.37%-3,656.1萬
1,367.89%2,642.2萬
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)
-16.09%-3,547.8萬
-25.11%-3,056.2萬
-79.05%-2,442.9萬
34.35%-1,364.4萬
-64.64%-2,078.2萬
8.20%-1,262.3萬
5.19%-1,375萬
49.19%-1,450.2萬
5.69%-2,854.3萬
-115.29%-3,026.5萬
已收到的利息(經營活動產生的現金流)
3,483.33%21.5萬
50.00%6,000
-99.43%4,000
5,461.54%69.7萬
-152.00%-1.3萬
733.33%2.5萬
-86.36%3,000
-95.45%2.2萬
1,366.67%48.4萬
-94.56%3.3萬
已支付退稅
86.78%-312.6萬
-907.33%-2,364.2萬
-127.08%-234.7萬
179.76%866.7萬
86.02%-1,086.7萬
-3,880.29%-7,773.5萬
95.61%-195.3萬
-21.28%-4,444.6萬
-624.11%-3,664.7萬
-159.67%-506.1萬
其他經營現金流入(流出)
2,123.87%5,944.4萬
-94.48%267.3萬
-63.00%4,838.8萬
1,145.04%1.31億
-86.68%1,050.5萬
145.04%7,885.7萬
426.95%3,218.1萬
-73.51%610.7萬
218.54%2,305.6萬
10.74%723.8萬
經營活動現金淨額
415.89%5.44億
117.90%1.05億
-235.34%-5.89億
-14.29%-1.76億
-256.25%-1.54億
-80.90%9,837.7萬
217.80%5.15億
-226.21%-4.37億
113.43%3.46億
255.83%1.62億
投資活動現金流量
物業、廠房及設備交易淨額
20.10%-6,658.6萬
28.79%-8,333.6萬
59.32%-1.17億
-147.84%-2.88億
75.66%-1.16億
-598.76%-4.77億
26.64%-6,824.9萬
-13.51%-9,303.1萬
-22.21%-8,195.7萬
-427.16%-6,706.5萬
無形資產交易淨額
99.10%-16.6萬
-12.04%-1,853萬
-35.81%-1,653.8萬
60.02%-1,217.7萬
-292.02%-3,045.6萬
-57.78%-776.9萬
-48.72%-492.4萬
15.30%-331.1萬
51.47%-390.9萬
-452.02%-805.4萬
業務交易淨額
----
----
----
----
--52.2萬
----
----
----
---3,934.4萬
----
投資產品交易淨額
-100.01%-2,000
179.99%2,399.7萬
0.00%-3,000.1萬
0.01%-3,000.2萬
94.00%-3,000.4萬
-2,664.23%-5億
--1,949.9萬
----
----
----
償還對其他方提供的預付款及貸款產生的現金收入
----
----
----
----
----
----
----
----
----
-40.46%-7,850萬
其他投資變動淨額
---1,000
----
-100.28%-2,000
-41.19%71.4萬
104.16%121.4萬
-41.00%-2,918.3萬
33.32%-2,069.7萬
-92.28%-3,104.1萬
-776.91%-1,614.4萬
-1,095.45%-184.1萬
投資活動現金淨額
14.27%-6,675.5萬
52.39%-7,786.9萬
50.30%-1.64億
-88.29%-3.29億
82.76%-1.75億
-1,263.23%-10.14億
41.62%-7,437.1萬
9.88%-1.27億
9.07%-1.41億
68.43%-1.55億
融資活動現金流量
債務發行/償還的淨額
-548.79%-6.54億
-66.49%1.46億
7.60%4.35億
1,654.45%4.04億
-104.74%-2,601萬
1,336.87%5.49億
-108.77%-4,437萬
713.18%5.06億
21.99%-8,247.6萬
-120.47%-1.06億
普通股發行/回購的淨額
-24.04%671.7萬
-96.26%884.3萬
197,081.67%2.37億
-99.45%12萬
-96.23%2,166.9萬
17,723.96%5.75億
-99.42%322.6萬
453.65%5.59億
-36.63%1.01億
--1.59億
租賃融資增減
3.73%-983.3萬
-3.24%-1,021.4萬
-15.88%-989.3萬
-38.90%-853.7萬
50.71%-614.6萬
-16.06%-1,246.9萬
-46.08%-1,074.4萬
-127.01%-735.5萬
-38.28%-324萬
---234.3萬
發行費用
-591.08%-1,812萬
86.62%-262.2萬
-327.65%-1,959.5萬
77.10%-458.2萬
---2,001.1萬
----
----
----
----
----
已支付現金股息
99.88%-1.4萬
-6.54%-1,200.1萬
-102,300.00%-1,126.4萬
99.90%-1.1萬
---1,114.8萬
----
----
----
----
----
其他籌資費用淨額
50.00%-1,000
-100.00%-2,000
99.82%-1,000
-111.34%-57.1萬
626.78%503.6萬
-10.01%-95.6萬
99.77%-86.9萬
-273.05%-3.77億
21,760,100.00%2.18億
---1,000
融資活動現金淨額
-620.48%-6.75億
-79.43%1.3億
61.47%6.31億
1,167.28%3.91億
-103.30%-3,661萬
2,204.70%11.1億
-107.75%-5,275.7萬
192.29%6.8億
355.21%2.33億
-90.10%5,113.4萬
現金淨流量
期初現金流
36.02%5.95億
-21.77%4.37億
-16.99%5.59億
-35.06%6.73億
11.25%10.37億
5.45%9.32億
13.92%8.84億
127.54%7.76億
18.54%3.41億
-21.78%2.88億
現金變動
-226.00%-1.98億
229.24%1.57億
-6.74%-1.22億
68.76%-1.14億
-287.33%-3.65億
-49.77%1.95億
235.35%3.88億
-73.58%1.16億
654.78%4.38億
172.46%5,801.6萬
匯率變動影響
-97.75%2,000
-19.82%8.9萬
132.94%11.1萬
-120.22%-33.7萬
397.15%166.7萬
-367.50%-56.1萬
98.45%-12萬
-151.44%-774.7萬
34.38%-308.1萬
-469,600.00%-469.5萬
現金變動之外的其他現金調整
0.00%1,000
--1,000
----
---1,000
----
----
-33,975,800.00%-3.4億
0.00%-1,000
---1,000
----
期末現金
-33.34%3.96億
36.02%5.95億
-21.77%4.37億
-16.99%5.59億
-40.22%6.73億
20.86%11.26億
5.45%9.32億
13.92%8.84億
127.54%7.76億
18.54%3.41億
自由現金流
13,430.42%4.77億
100.49%352.7萬
-51.98%-7.23億
-58.38%-4.76億
22.31%-3億
-189.26%-3.86億
181.14%4.33億
-304.76%-5.34億
198.79%2.61億
173.69%8,722.3萬
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)2025/04/30(FY)2024/04/30(FY)2023/04/30(FY)2022/04/30(FY)2021/04/30(FY)2020/04/30(FY)2019/04/30(FY)2018/04/30(FY)2017/04/30(FY)2016/04/30
經營活動現金流量(間接法)
經營活動產生的現金 233.14%5.23億125.70%1.57億-102.10%-6.11億-127.96%-3.02億-220.67%-1.33億-77.97%1.1億229.70%4.99億-199.05%-3.84億103.85%3.88億299.76%1.9億
扣除非現金調整前淨利潤 61.06%-1.3億-500.34%-3.34億-36.96%8,342.7萬111.10%1.32億-1,303.21%-11.93億-64.27%9,913.3萬148.83%2.77億-507.15%-5.68億496.56%1.4億-137.69%-3,518.8萬
非現金項目調整總額 33.86%4.18億95.63%3.12億494.72%1.6億-103.71%-4,042.8萬126,742.42%10.88億-99.68%85.8萬-45.43%2.64億203.17%4.85億86.07%1.6億21.28%8,591萬
-折舊與攤銷 -35.46%1.27億67.90%1.96億36.30%1.17億31.66%8,569.2萬-16.46%6,508.4萬-8.85%7,790.9萬-61.48%8,547.4萬108.02%2.22億19.51%1.07億265.12%8,926.2萬
-在損益中確認的減值損失回撥 --0--6,711.1萬--0------------------2.75億--------
-資產準備金與勾銷 -------------------------------------152.32%-530.8萬
-聯營企業份額 --------------------------2,032.7萬------------
-處置利潤 6,801.26%2.47億--358.1萬--0----504,012.57%8.82億-104.47%-17.5萬-27.11%391.8萬1,260.91%537.5萬---46.3萬--0
-以股票支付的報酬 -44.79%1,510.8萬65.68%2,736.3萬-27.90%1,651.6萬-9.50%2,290.8萬-48.08%2,531.2萬55.71%4,875.4萬25.11%3,131.1萬14.82%2,502.7萬311.09%2,179.6萬-59.71%530.2萬
-其他非現金項目 61.31%2,909萬-31.34%1,803.4萬117.62%2,626.5萬-228.40%-1.49億192.39%1.16億-201.80%-1.26億389.65%1.23億-233.80%-4,260.6萬1,051.67%3,184.3萬-114.57%-334.6萬
營運資本變動 31.49%2.35億120.94%1.79億-116.62%-8.54億-1,302.92%-3.94億-384.76%-2,809.2萬122.81%986.5萬85.63%-4,324.5萬-439.14%-3.01億-36.47%8,873.9萬153.82%1.4億
-應收款(增)減 -129.64%-1.26億157.36%4.25億-208.11%-7.42億-141.51%-2.41億-160.60%-9,966萬7.46%1.64億201.25%1.53億-375.42%-1.51億-56.70%5,488.1萬153.88%1.27億
-存貨(增)減 253.98%3.72億-1,315.22%-2.41億80.28%-1,706萬-134.12%-8,650.4萬-115.60%-3,694.9萬148.37%2.37億-72.22%-4.9億-505.68%-2.84億308.26%7,009.8萬-790.21%-3,365.9萬
-預付費用(增)減 -----------------------------299.32%-794.5萬144.70%398.6萬-229.93%-891.7萬
-應付款(減)增 168.03%4,144.7萬16.75%-6,092.7萬-88.26%-7,318.7萬-123.12%-3,887.6萬179.06%1.68億-750.71%-2.13億-71.05%3,267.9萬4,090.39%1.13億-90.74%269.4萬199.70%2,909.1萬
-貸款、租賃及其他損失準備金 -113.60%-58.8萬-85.50%432.4萬152.64%2,982.7萬-205.85%-5,666.1萬1,798.29%5,353萬93.59%-315.2萬-328.51%-4,914.2萬438.18%2,150.5萬---635.9萬----
-其他流動資產變動 -200.00%-5,146.1萬199.50%5,146.1萬-280.68%-5,172萬125.30%2,862.5萬35.61%-1.13億-156.68%-1.76億3,713.61%3.1億122.23%812.7萬-238.37%-3,656.1萬1,367.89%2,642.2萬
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) -16.09%-3,547.8萬-25.11%-3,056.2萬-79.05%-2,442.9萬34.35%-1,364.4萬-64.64%-2,078.2萬8.20%-1,262.3萬5.19%-1,375萬49.19%-1,450.2萬5.69%-2,854.3萬-115.29%-3,026.5萬
已收到的利息(經營活動產生的現金流) 3,483.33%21.5萬50.00%6,000-99.43%4,0005,461.54%69.7萬-152.00%-1.3萬733.33%2.5萬-86.36%3,000-95.45%2.2萬1,366.67%48.4萬-94.56%3.3萬
已支付退稅 86.78%-312.6萬-907.33%-2,364.2萬-127.08%-234.7萬179.76%866.7萬86.02%-1,086.7萬-3,880.29%-7,773.5萬95.61%-195.3萬-21.28%-4,444.6萬-624.11%-3,664.7萬-159.67%-506.1萬
其他經營現金流入(流出) 2,123.87%5,944.4萬-94.48%267.3萬-63.00%4,838.8萬1,145.04%1.31億-86.68%1,050.5萬145.04%7,885.7萬426.95%3,218.1萬-73.51%610.7萬218.54%2,305.6萬10.74%723.8萬
經營活動現金淨額 415.89%5.44億117.90%1.05億-235.34%-5.89億-14.29%-1.76億-256.25%-1.54億-80.90%9,837.7萬217.80%5.15億-226.21%-4.37億113.43%3.46億255.83%1.62億
投資活動現金流量
物業、廠房及設備交易淨額 20.10%-6,658.6萬28.79%-8,333.6萬59.32%-1.17億-147.84%-2.88億75.66%-1.16億-598.76%-4.77億26.64%-6,824.9萬-13.51%-9,303.1萬-22.21%-8,195.7萬-427.16%-6,706.5萬
無形資產交易淨額 99.10%-16.6萬-12.04%-1,853萬-35.81%-1,653.8萬60.02%-1,217.7萬-292.02%-3,045.6萬-57.78%-776.9萬-48.72%-492.4萬15.30%-331.1萬51.47%-390.9萬-452.02%-805.4萬
業務交易淨額 ------------------52.2萬---------------3,934.4萬----
投資產品交易淨額 -100.01%-2,000179.99%2,399.7萬0.00%-3,000.1萬0.01%-3,000.2萬94.00%-3,000.4萬-2,664.23%-5億--1,949.9萬------------
償還對其他方提供的預付款及貸款產生的現金收入 -------------------------------------40.46%-7,850萬
其他投資變動淨額 ---1,000-----100.28%-2,000-41.19%71.4萬104.16%121.4萬-41.00%-2,918.3萬33.32%-2,069.7萬-92.28%-3,104.1萬-776.91%-1,614.4萬-1,095.45%-184.1萬
投資活動現金淨額 14.27%-6,675.5萬52.39%-7,786.9萬50.30%-1.64億-88.29%-3.29億82.76%-1.75億-1,263.23%-10.14億41.62%-7,437.1萬9.88%-1.27億9.07%-1.41億68.43%-1.55億
融資活動現金流量
債務發行/償還的淨額 -548.79%-6.54億-66.49%1.46億7.60%4.35億1,654.45%4.04億-104.74%-2,601萬1,336.87%5.49億-108.77%-4,437萬713.18%5.06億21.99%-8,247.6萬-120.47%-1.06億
普通股發行/回購的淨額 -24.04%671.7萬-96.26%884.3萬197,081.67%2.37億-99.45%12萬-96.23%2,166.9萬17,723.96%5.75億-99.42%322.6萬453.65%5.59億-36.63%1.01億--1.59億
租賃融資增減 3.73%-983.3萬-3.24%-1,021.4萬-15.88%-989.3萬-38.90%-853.7萬50.71%-614.6萬-16.06%-1,246.9萬-46.08%-1,074.4萬-127.01%-735.5萬-38.28%-324萬---234.3萬
發行費用 -591.08%-1,812萬86.62%-262.2萬-327.65%-1,959.5萬77.10%-458.2萬---2,001.1萬--------------------
已支付現金股息 99.88%-1.4萬-6.54%-1,200.1萬-102,300.00%-1,126.4萬99.90%-1.1萬---1,114.8萬--------------------
其他籌資費用淨額 50.00%-1,000-100.00%-2,00099.82%-1,000-111.34%-57.1萬626.78%503.6萬-10.01%-95.6萬99.77%-86.9萬-273.05%-3.77億21,760,100.00%2.18億---1,000
融資活動現金淨額 -620.48%-6.75億-79.43%1.3億61.47%6.31億1,167.28%3.91億-103.30%-3,661萬2,204.70%11.1億-107.75%-5,275.7萬192.29%6.8億355.21%2.33億-90.10%5,113.4萬
現金淨流量
期初現金流 36.02%5.95億-21.77%4.37億-16.99%5.59億-35.06%6.73億11.25%10.37億5.45%9.32億13.92%8.84億127.54%7.76億18.54%3.41億-21.78%2.88億
現金變動 -226.00%-1.98億229.24%1.57億-6.74%-1.22億68.76%-1.14億-287.33%-3.65億-49.77%1.95億235.35%3.88億-73.58%1.16億654.78%4.38億172.46%5,801.6萬
匯率變動影響 -97.75%2,000-19.82%8.9萬132.94%11.1萬-120.22%-33.7萬397.15%166.7萬-367.50%-56.1萬98.45%-12萬-151.44%-774.7萬34.38%-308.1萬-469,600.00%-469.5萬
現金變動之外的其他現金調整 0.00%1,000--1,000-------1,000---------33,975,800.00%-3.4億0.00%-1,000---1,000----
期末現金 -33.34%3.96億36.02%5.95億-21.77%4.37億-16.99%5.59億-40.22%6.73億20.86%11.26億5.45%9.32億13.92%8.84億127.54%7.76億18.54%3.41億
自由現金流 13,430.42%4.77億100.49%352.7萬-51.98%-7.23億-58.38%-4.76億22.31%-3億-189.26%-3.86億181.14%4.33億-304.76%-5.34億198.79%2.61億173.69%8,722.3萬
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會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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