馬來西亞市場個股詳情

7231 WELLCAL

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  • 1.550
  • +0.020+1.31%
延時15分鐘行情午間休市 01/09 12:09 (北京)
7.72億總市值16.49市盈率TTM

WELLCAL關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
(Q2)2024/03/31
(Q1)2023/12/31
(FY)2023/09/30
(Q4)2023/09/30
(Q3)2023/06/30
(Q2)2023/03/31
(Q1)2022/12/31
經營活動現金流量(間接法)
經營活動產生的現金
8.11%7,656.3萬
-19.36%1,712.3萬
38.81%2,445.3萬
-26.42%1,240.8萬
49.50%2,257.9萬
53.19%7,081.7萬
62.57%2,123.4萬
25.43%1,761.6萬
86.01%1,686.4萬
50.19%1,510.3萬
扣除非現金調整前淨利潤
-13.70%6,422.3萬
-48.50%1,193.6萬
-19.43%1,817.5萬
-9.48%1,532.3萬
59.85%1,878.9萬
66.04%7,441.9萬
119.45%2,317.8萬
62.74%2,255.9萬
50.02%1,692.8萬
28.98%1,175.4萬
非現金項目調整總額
158.89%790.9萬
647.46%618.9萬
157.86%81.3萬
-154.94%-33.9萬
-58.67%124.6萬
-43.44%305.5萬
-69.78%82.8萬
-2,608.93%-140.5萬
-49.01%61.7萬
116.13%301.5萬
-折舊與攤銷
3.89%512.5萬
7.38%132.4萬
5.82%131萬
2.27%126.2萬
0.08%122.9萬
-1.90%493.3萬
0.13%123.3萬
0.57%123.8萬
-3.29%123.4萬
-4.81%122.8萬
-處置利潤
80.25%-1.6萬
--0
--0
90.12%-8,000
---8,000
70.51%-8.1萬
--0
--0
-1,250.00%-8.1萬
--0
-匯兌損益淨額
1,469.68%515萬
1,609.55%537.4萬
104.81%10萬
-1,291.43%-97.4萬
-69.45%65萬
85.88%-37.6萬
73.50%-35.6萬
-65.45%-207.8萬
57.58%-7萬
1,986.27%212.8萬
-其他非現金項目
-65.38%-235萬
-938.78%-50.9萬
-5.66%-59.7萬
-32.83%-61.9萬
-83.28%-62.5萬
-773.50%-142.1萬
-165.05%-4.9萬
-743.28%-56.5萬
-813.73%-46.6萬
-184.17%-34.1萬
營運資本變動
166.56%443.1萬
63.85%-100.2萬
254.47%546.5萬
-278.27%-257.6萬
661.68%254.4萬
-66.65%-665.7萬
-1,051.89%-277.2萬
-2,907.94%-353.8萬
80.13%-68.1萬
173.89%33.4萬
-應收款(增)減
265.31%1,165.3萬
100.55%6.9萬
115.00%67.9萬
-116.43%-45.7萬
58.84%1,136.2萬
-411.60%-704.9萬
-107.47%-1,245.6萬
-676.82%-452.8萬
6.63%278.2萬
480.60%715.3萬
-存貨(增)減
-108.07%-29.1萬
-120.81%-184.6萬
-37.77%182.9萬
217.68%322.1萬
-182.47%-349.5萬
140.42%360.4萬
-51.46%-83.6萬
183.61%293.9萬
-45.66%-273.7萬
242.69%423.8萬
-應付款(減)增
-115.78%-693.1萬
-92.63%77.5萬
251.72%295.7萬
-635.54%-534萬
51.86%-532.3萬
-150.99%-321.2萬
66.58%1,052萬
-168.24%-194.9萬
82.54%-72.6萬
-959.80%-1,105.7萬
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)
65.38%235萬
938.78%50.9萬
5.66%59.7萬
32.83%61.9萬
83.28%62.5萬
329.08%142.1萬
-47.41%4.9萬
743.28%56.5萬
813.73%46.6萬
184.17%34.1萬
已支付退稅
-36.98%-2,109.7萬
27.79%-391.4萬
-82.40%-885.9萬
-52.59%-391.4萬
-72.33%-441萬
-29.98%-1,540.1萬
-59.33%-542萬
-46.25%-485.7萬
0.04%-256.5萬
0.04%-255.9萬
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
1.72%5,781.6萬
-13.52%1,371.8萬
21.52%1,619.1萬
-38.28%911.3萬
45.86%1,879.4萬
64.55%5,683.7萬
65.51%1,586.3萬
23.48%1,332.4萬
125.39%1,476.5萬
69.18%1,288.5萬
投資活動現金流量
物業、廠房及設備交易淨額
-248.60%-1,403.1萬
-535.11%-669.2萬
-44.48%-238.4萬
6.44%-364.4萬
-7,183.33%-131.1萬
-788.13%-402.5萬
16,821.03%153.8萬
-9,605.88%-165萬
-1,238.49%-389.5萬
86.76%-1.8萬
無形資產交易淨額
--0
----
----
----
----
---35.2萬
----
----
----
----
投資物業交易淨額
--0
----
----
----
----
-1,355.73%-82.4萬
----
----
----
----
已收到的股息(投資活動產生的現金流)
-74.19%8,000
--0
--0
--0
--8,000
-63.12%3.1萬
--0
--0
--3.1萬
--0
投資活動現金淨額
-171.24%-1,402.3萬
-1,948.62%-669.2萬
-44.48%-238.4萬
5.69%-364.4萬
-7,138.89%-130.3萬
-1,114.33%-517萬
1,998.55%36.2萬
-9,605.88%-165萬
-1,227.84%-386.4萬
86.67%-1.8萬
融資活動現金流量
已支付現金股息
-10.00%-4,381.9萬
9.09%-995.9萬
-11.11%-995.9萬
-42.85%-995.8萬
-7.69%-1,394.3萬
-11.11%-3,983.6萬
-37.50%-1,095.5萬
-28.58%-896.3萬
0.00%-697.1萬
7.14%-1,294.7萬
融資活動現金淨額
-10.00%-4,381.9萬
9.09%-995.9萬
-11.11%-995.9萬
-42.85%-995.8萬
-7.69%-1,394.3萬
-11.11%-3,983.6萬
-37.50%-1,095.5萬
-28.58%-896.3萬
0.00%-697.1萬
7.14%-1,294.7萬
現金淨流量
期初現金流
18.53%7,440.5萬
11.80%7,753.6萬
14.29%7,378.8萬
27.64%7,730.3萬
18.53%7,440.5萬
3.60%6,277.2萬
16.49%6,935.3萬
18.51%6,456.4萬
10.06%6,056.4萬
1.92%6,277.2萬
現金變動
-100.22%-2.6萬
-155.65%-293.3萬
41.94%384.8萬
-214.22%-448.9萬
4,535.00%354.8萬
781.17%1,183.1萬
222.50%527萬
-28.70%271.1萬
652.74%393萬
98.76%-8萬
匯率變動影響
-2,501.01%-515萬
-2,365.14%-537.4萬
-104.81%-10萬
1,291.43%97.4萬
69.45%-65萬
-107.19%-19.8萬
-115.19%-21.8萬
65.45%207.8萬
-57.58%7萬
-1,986.27%-212.8萬
期末現金
-6.96%6,922.9萬
-6.96%6,922.9萬
11.80%7,753.6萬
14.29%7,378.8萬
27.64%7,730.3萬
20.45%7,440.5萬
20.45%7,440.5萬
16.49%6,935.3萬
18.51%6,456.4萬
10.06%6,056.4萬
自由現金流
-16.47%4,377.7萬
-58.79%702.6萬
18.27%1,380.7萬
-49.53%546.1萬
35.87%1,748.3萬
53.87%5,241萬
78.06%1,704.9萬
8.36%1,167.4萬
73.01%1,082萬
72.48%1,286.7萬
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)2024/09/30(Q4)2024/09/30(Q3)2024/06/30(Q2)2024/03/31(Q1)2023/12/31(FY)2023/09/30(Q4)2023/09/30(Q3)2023/06/30(Q2)2023/03/31(Q1)2022/12/31
經營活動現金流量(間接法)
經營活動產生的現金 8.11%7,656.3萬-19.36%1,712.3萬38.81%2,445.3萬-26.42%1,240.8萬49.50%2,257.9萬53.19%7,081.7萬62.57%2,123.4萬25.43%1,761.6萬86.01%1,686.4萬50.19%1,510.3萬
扣除非現金調整前淨利潤 -13.70%6,422.3萬-48.50%1,193.6萬-19.43%1,817.5萬-9.48%1,532.3萬59.85%1,878.9萬66.04%7,441.9萬119.45%2,317.8萬62.74%2,255.9萬50.02%1,692.8萬28.98%1,175.4萬
非現金項目調整總額 158.89%790.9萬647.46%618.9萬157.86%81.3萬-154.94%-33.9萬-58.67%124.6萬-43.44%305.5萬-69.78%82.8萬-2,608.93%-140.5萬-49.01%61.7萬116.13%301.5萬
-折舊與攤銷 3.89%512.5萬7.38%132.4萬5.82%131萬2.27%126.2萬0.08%122.9萬-1.90%493.3萬0.13%123.3萬0.57%123.8萬-3.29%123.4萬-4.81%122.8萬
-處置利潤 80.25%-1.6萬--0--090.12%-8,000---8,00070.51%-8.1萬--0--0-1,250.00%-8.1萬--0
-匯兌損益淨額 1,469.68%515萬1,609.55%537.4萬104.81%10萬-1,291.43%-97.4萬-69.45%65萬85.88%-37.6萬73.50%-35.6萬-65.45%-207.8萬57.58%-7萬1,986.27%212.8萬
-其他非現金項目 -65.38%-235萬-938.78%-50.9萬-5.66%-59.7萬-32.83%-61.9萬-83.28%-62.5萬-773.50%-142.1萬-165.05%-4.9萬-743.28%-56.5萬-813.73%-46.6萬-184.17%-34.1萬
營運資本變動 166.56%443.1萬63.85%-100.2萬254.47%546.5萬-278.27%-257.6萬661.68%254.4萬-66.65%-665.7萬-1,051.89%-277.2萬-2,907.94%-353.8萬80.13%-68.1萬173.89%33.4萬
-應收款(增)減 265.31%1,165.3萬100.55%6.9萬115.00%67.9萬-116.43%-45.7萬58.84%1,136.2萬-411.60%-704.9萬-107.47%-1,245.6萬-676.82%-452.8萬6.63%278.2萬480.60%715.3萬
-存貨(增)減 -108.07%-29.1萬-120.81%-184.6萬-37.77%182.9萬217.68%322.1萬-182.47%-349.5萬140.42%360.4萬-51.46%-83.6萬183.61%293.9萬-45.66%-273.7萬242.69%423.8萬
-應付款(減)增 -115.78%-693.1萬-92.63%77.5萬251.72%295.7萬-635.54%-534萬51.86%-532.3萬-150.99%-321.2萬66.58%1,052萬-168.24%-194.9萬82.54%-72.6萬-959.80%-1,105.7萬
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) 65.38%235萬938.78%50.9萬5.66%59.7萬32.83%61.9萬83.28%62.5萬329.08%142.1萬-47.41%4.9萬743.28%56.5萬813.73%46.6萬184.17%34.1萬
已支付退稅 -36.98%-2,109.7萬27.79%-391.4萬-82.40%-885.9萬-52.59%-391.4萬-72.33%-441萬-29.98%-1,540.1萬-59.33%-542萬-46.25%-485.7萬0.04%-256.5萬0.04%-255.9萬
其他經營現金流入(流出) 0000000000
經營活動現金淨額 1.72%5,781.6萬-13.52%1,371.8萬21.52%1,619.1萬-38.28%911.3萬45.86%1,879.4萬64.55%5,683.7萬65.51%1,586.3萬23.48%1,332.4萬125.39%1,476.5萬69.18%1,288.5萬
投資活動現金流量
物業、廠房及設備交易淨額 -248.60%-1,403.1萬-535.11%-669.2萬-44.48%-238.4萬6.44%-364.4萬-7,183.33%-131.1萬-788.13%-402.5萬16,821.03%153.8萬-9,605.88%-165萬-1,238.49%-389.5萬86.76%-1.8萬
無形資產交易淨額 --0-------------------35.2萬----------------
投資物業交易淨額 --0-----------------1,355.73%-82.4萬----------------
已收到的股息(投資活動產生的現金流) -74.19%8,000--0--0--0--8,000-63.12%3.1萬--0--0--3.1萬--0
投資活動現金淨額 -171.24%-1,402.3萬-1,948.62%-669.2萬-44.48%-238.4萬5.69%-364.4萬-7,138.89%-130.3萬-1,114.33%-517萬1,998.55%36.2萬-9,605.88%-165萬-1,227.84%-386.4萬86.67%-1.8萬
融資活動現金流量
已支付現金股息 -10.00%-4,381.9萬9.09%-995.9萬-11.11%-995.9萬-42.85%-995.8萬-7.69%-1,394.3萬-11.11%-3,983.6萬-37.50%-1,095.5萬-28.58%-896.3萬0.00%-697.1萬7.14%-1,294.7萬
融資活動現金淨額 -10.00%-4,381.9萬9.09%-995.9萬-11.11%-995.9萬-42.85%-995.8萬-7.69%-1,394.3萬-11.11%-3,983.6萬-37.50%-1,095.5萬-28.58%-896.3萬0.00%-697.1萬7.14%-1,294.7萬
現金淨流量
期初現金流 18.53%7,440.5萬11.80%7,753.6萬14.29%7,378.8萬27.64%7,730.3萬18.53%7,440.5萬3.60%6,277.2萬16.49%6,935.3萬18.51%6,456.4萬10.06%6,056.4萬1.92%6,277.2萬
現金變動 -100.22%-2.6萬-155.65%-293.3萬41.94%384.8萬-214.22%-448.9萬4,535.00%354.8萬781.17%1,183.1萬222.50%527萬-28.70%271.1萬652.74%393萬98.76%-8萬
匯率變動影響 -2,501.01%-515萬-2,365.14%-537.4萬-104.81%-10萬1,291.43%97.4萬69.45%-65萬-107.19%-19.8萬-115.19%-21.8萬65.45%207.8萬-57.58%7萬-1,986.27%-212.8萬
期末現金 -6.96%6,922.9萬-6.96%6,922.9萬11.80%7,753.6萬14.29%7,378.8萬27.64%7,730.3萬20.45%7,440.5萬20.45%7,440.5萬16.49%6,935.3萬18.51%6,456.4萬10.06%6,056.4萬
自由現金流 -16.47%4,377.7萬-58.79%702.6萬18.27%1,380.7萬-49.53%546.1萬35.87%1,748.3萬53.87%5,241萬78.06%1,704.9萬8.36%1,167.4萬73.01%1,082萬72.48%1,286.7萬
會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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