澳洲市場個股詳情

KCN Kingsgate Consolidated Ltd

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  • 1.645
  • +0.065+4.11%
延時20分鐘行情交易中 07/12 14:39 (悉尼)
4.24億總市值82.25市盈率(靜)

Kingsgate Consolidated Ltd關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2023/06/30
(Q4)2023/06/30
(FY)2022/06/30
(Q4)2022/06/30
(FY)2021/06/30
(Q4)2021/06/30
(FY)2020/06/30
(Q4)2020/06/30
(FY)2019/06/30
(Q4)2019/06/30
資產
流動資產
現金及現金等價物和短期投資
71.04%1,304.7萬
71.04%1,304.7萬
-25.14%762.8萬
-25.14%762.8萬
-34.60%1,019萬
-34.60%1,019萬
-63.03%1,558.2萬
-63.03%1,558.2萬
275.03%4,215萬
275.03%4,215萬
-現金和現金等價物
28.91%957萬
28.91%957萬
-25.64%742.4萬
-25.64%742.4萬
-35.87%998.4萬
-35.87%998.4萬
-63.01%1,556.9萬
-63.01%1,556.9萬
274.46%4,208.5萬
274.46%4,208.5萬
-應收賬款
--728萬
--728萬
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----
----
----
----
----
----
----
-應收票據
122.60%90.6萬
122.60%90.6萬
68.18%40.7萬
68.18%40.7萬
-21.43%24.2萬
-21.43%24.2萬
732.43%30.8萬
732.43%30.8萬
-49.32%3.7萬
-49.32%3.7萬
-其他應收款
43.23%1,133.4萬
43.23%1,133.4萬
216.27%791.3萬
216.27%791.3萬
-23.18%250.2萬
-23.18%250.2萬
-20.11%325.7萬
-20.11%325.7萬
-7.26%407.7萬
-7.26%407.7萬
流動資產合計
632.14%5,833.7萬
632.14%5,833.7萬
-31.18%796.8萬
-31.18%796.8萬
-28.68%1,157.8萬
-28.68%1,157.8萬
-63.07%1,623.5萬
-63.07%1,623.5萬
216.68%4,396.4萬
216.68%4,396.4萬
非流動資產
-累計折舊
-11.11%-8,533萬
-11.11%-8,533萬
3.86%-7,680.1萬
3.86%-7,680.1萬
30.43%-7,988.3萬
30.43%-7,988.3萬
-3.12%-1.15億
-3.12%-1.15億
-46.17%-1.11億
-46.17%-1.11億
-長期股權投資
3.40%1,128.6萬
3.40%1,128.6萬
-1.36%1,091.5萬
-1.36%1,091.5萬
-12.33%1,106.6萬
-12.33%1,106.6萬
1.86%1,262.3萬
1.86%1,262.3萬
10.35%1,239.2萬
10.35%1,239.2萬
-商譽
--71.1萬
--71.1萬
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----
----
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監管資產
3,693.09%933.1萬
3,693.09%933.1萬
-75.95%24.6萬
-75.95%24.6萬
247.96%102.3萬
247.96%102.3萬
-80.91%29.4萬
-80.91%29.4萬
127.14%154萬
127.14%154萬
負債
流動負債
短期借款與資本租賃負債
42.05%1,275.6萬
42.05%1,275.6萬
10,719.28%898萬
10,719.28%898萬
-3.49%8.3萬
-3.49%8.3萬
-85.45%8.6萬
-85.45%8.6萬
-96.14%59.1萬
-96.14%59.1萬
-短期借款
42.37%1,275.6萬
42.37%1,275.6萬
--896萬
--896萬
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----
----
----
----
----
-短期資本租賃負債
----
----
-75.90%2萬
-75.90%2萬
-3.49%8.3萬
-3.49%8.3萬
-85.45%8.6萬
-85.45%8.6萬
27.10%59.1萬
27.10%59.1萬
-應付帳款
482.90%555.5萬
482.90%555.5萬
68.67%95.3萬
68.67%95.3萬
-61.54%56.5萬
-61.54%56.5萬
-37.86%146.9萬
-37.86%146.9萬
4.28%236.4萬
4.28%236.4萬
-應付稅費
33.10%4,459.4萬
33.10%4,459.4萬
1.57%3,350.3萬
1.57%3,350.3萬
-3.64%3,298.6萬
-3.64%3,298.6萬
2.27%3,423.2萬
2.27%3,423.2萬
11.11%3,347.1萬
11.11%3,347.1萬
-其他應付款
338.83%3,887.6萬
338.83%3,887.6萬
8.93%885.9萬
8.93%885.9萬
-8.40%813.3萬
-8.40%813.3萬
2.03%887.9萬
2.03%887.9萬
-42.46%870.2萬
-42.46%870.2萬
現行撥備
--156.2萬
--156.2萬
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----
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流動負債總額
76.75%3,208.1萬
76.75%3,208.1萬
434.01%1,815.1萬
434.01%1,815.1萬
-32.05%339.9萬
-32.05%339.9萬
-30.70%500.2萬
-30.70%500.2萬
-67.66%721.8萬
-67.66%721.8萬
非流動負債
-長期借款
----
----
----
----
-80.58%2萬
-80.58%2萬
--10.3萬
--10.3萬
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----
長期應計費用
3.77%2,655.6萬
3.77%2,655.6萬
8.34%2,559萬
8.34%2,559萬
-8.91%2,361.9萬
-8.91%2,361.9萬
-0.52%2,592.9萬
-0.52%2,592.9萬
-41.31%2,606.4萬
-41.31%2,606.4萬
長期撥備
3.40%1,128.6萬
3.40%1,128.6萬
-1.19%1,091.5萬
-1.19%1,091.5萬
-11.77%1,104.6萬
-11.77%1,104.6萬
1.03%1,252萬
1.03%1,252萬
13.62%1,239.2萬
13.62%1,239.2萬
員工福利
122.60%90.6萬
122.60%90.6萬
68.18%40.7萬
68.18%40.7萬
-21.43%24.2萬
-21.43%24.2萬
732.43%30.8萬
732.43%30.8萬
-49.32%3.7萬
-49.32%3.7萬
可轉換優先證券
186.56%87.4萬
186.56%87.4萬
22.49%30.5萬
22.49%30.5萬
31.05%24.9萬
31.05%24.9萬
2.15%19萬
2.15%19萬
-48.04%18.6萬
-48.04%18.6萬
非流動負債總額
48.44%7,667.5萬
48.44%7,667.5萬
41.97%5,165.4萬
41.97%5,165.4萬
-7.26%3,638.5萬
-7.26%3,638.5萬
-3.58%3,923.4萬
-3.58%3,923.4萬
-22.41%4,068.9萬
-22.41%4,068.9萬
所有者權益
股本
7.67%7.27億
7.67%7.27億
-0.06%6.75億
-0.06%6.75億
0.00%6.76億
0.00%6.76億
-0.27%6.76億
-0.27%6.76億
0.00%6.78億
0.00%6.78億
-普通股股本
7.67%7.27億
7.67%7.27億
-0.06%6.75億
-0.06%6.75億
0.00%6.76億
0.00%6.76億
-0.27%6.76億
-0.27%6.76億
0.00%6.78億
0.00%6.78億
不影響留存收益的損益
2.34%6,043.1萬
2.34%6,043.1萬
-5.36%5,904.9萬
-5.36%5,904.9萬
8.46%6,239萬
8.46%6,239萬
-0.24%5,752.3萬
-0.24%5,752.3萬
6.90%5,766.2萬
6.90%5,766.2萬
其他股本權益
--52.5萬
--52.5萬
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總權益
189.59%1.27億
189.59%1.27億
-2.07%4,376萬
-2.07%4,376萬
-13.31%4,468.7萬
-13.31%4,468.7萬
-34.94%5,154.6萬
-34.94%5,154.6萬
0.43%7,922.6萬
0.43%7,922.6萬
(FY)2023/06/30(Q4)2023/06/30(FY)2022/06/30(Q4)2022/06/30(FY)2021/06/30(Q4)2021/06/30(FY)2020/06/30(Q4)2020/06/30(FY)2019/06/30(Q4)2019/06/30
資產
流動資產
現金及現金等價物和短期投資 71.04%1,304.7萬71.04%1,304.7萬-25.14%762.8萬-25.14%762.8萬-34.60%1,019萬-34.60%1,019萬-63.03%1,558.2萬-63.03%1,558.2萬275.03%4,215萬275.03%4,215萬
-現金和現金等價物 28.91%957萬28.91%957萬-25.64%742.4萬-25.64%742.4萬-35.87%998.4萬-35.87%998.4萬-63.01%1,556.9萬-63.01%1,556.9萬274.46%4,208.5萬274.46%4,208.5萬
-應收賬款 --728萬--728萬--------------------------------
-應收票據 122.60%90.6萬122.60%90.6萬68.18%40.7萬68.18%40.7萬-21.43%24.2萬-21.43%24.2萬732.43%30.8萬732.43%30.8萬-49.32%3.7萬-49.32%3.7萬
-其他應收款 43.23%1,133.4萬43.23%1,133.4萬216.27%791.3萬216.27%791.3萬-23.18%250.2萬-23.18%250.2萬-20.11%325.7萬-20.11%325.7萬-7.26%407.7萬-7.26%407.7萬
流動資產合計 632.14%5,833.7萬632.14%5,833.7萬-31.18%796.8萬-31.18%796.8萬-28.68%1,157.8萬-28.68%1,157.8萬-63.07%1,623.5萬-63.07%1,623.5萬216.68%4,396.4萬216.68%4,396.4萬
非流動資產
-累計折舊 -11.11%-8,533萬-11.11%-8,533萬3.86%-7,680.1萬3.86%-7,680.1萬30.43%-7,988.3萬30.43%-7,988.3萬-3.12%-1.15億-3.12%-1.15億-46.17%-1.11億-46.17%-1.11億
-長期股權投資 3.40%1,128.6萬3.40%1,128.6萬-1.36%1,091.5萬-1.36%1,091.5萬-12.33%1,106.6萬-12.33%1,106.6萬1.86%1,262.3萬1.86%1,262.3萬10.35%1,239.2萬10.35%1,239.2萬
-商譽 --71.1萬--71.1萬--------------------------------
監管資產 3,693.09%933.1萬3,693.09%933.1萬-75.95%24.6萬-75.95%24.6萬247.96%102.3萬247.96%102.3萬-80.91%29.4萬-80.91%29.4萬127.14%154萬127.14%154萬
負債
流動負債
短期借款與資本租賃負債 42.05%1,275.6萬42.05%1,275.6萬10,719.28%898萬10,719.28%898萬-3.49%8.3萬-3.49%8.3萬-85.45%8.6萬-85.45%8.6萬-96.14%59.1萬-96.14%59.1萬
-短期借款 42.37%1,275.6萬42.37%1,275.6萬--896萬--896萬------------------------
-短期資本租賃負債 ---------75.90%2萬-75.90%2萬-3.49%8.3萬-3.49%8.3萬-85.45%8.6萬-85.45%8.6萬27.10%59.1萬27.10%59.1萬
-應付帳款 482.90%555.5萬482.90%555.5萬68.67%95.3萬68.67%95.3萬-61.54%56.5萬-61.54%56.5萬-37.86%146.9萬-37.86%146.9萬4.28%236.4萬4.28%236.4萬
-應付稅費 33.10%4,459.4萬33.10%4,459.4萬1.57%3,350.3萬1.57%3,350.3萬-3.64%3,298.6萬-3.64%3,298.6萬2.27%3,423.2萬2.27%3,423.2萬11.11%3,347.1萬11.11%3,347.1萬
-其他應付款 338.83%3,887.6萬338.83%3,887.6萬8.93%885.9萬8.93%885.9萬-8.40%813.3萬-8.40%813.3萬2.03%887.9萬2.03%887.9萬-42.46%870.2萬-42.46%870.2萬
現行撥備 --156.2萬--156.2萬--------------------------------
流動負債總額 76.75%3,208.1萬76.75%3,208.1萬434.01%1,815.1萬434.01%1,815.1萬-32.05%339.9萬-32.05%339.9萬-30.70%500.2萬-30.70%500.2萬-67.66%721.8萬-67.66%721.8萬
非流動負債
-長期借款 -----------------80.58%2萬-80.58%2萬--10.3萬--10.3萬--------
長期應計費用 3.77%2,655.6萬3.77%2,655.6萬8.34%2,559萬8.34%2,559萬-8.91%2,361.9萬-8.91%2,361.9萬-0.52%2,592.9萬-0.52%2,592.9萬-41.31%2,606.4萬-41.31%2,606.4萬
長期撥備 3.40%1,128.6萬3.40%1,128.6萬-1.19%1,091.5萬-1.19%1,091.5萬-11.77%1,104.6萬-11.77%1,104.6萬1.03%1,252萬1.03%1,252萬13.62%1,239.2萬13.62%1,239.2萬
員工福利 122.60%90.6萬122.60%90.6萬68.18%40.7萬68.18%40.7萬-21.43%24.2萬-21.43%24.2萬732.43%30.8萬732.43%30.8萬-49.32%3.7萬-49.32%3.7萬
可轉換優先證券 186.56%87.4萬186.56%87.4萬22.49%30.5萬22.49%30.5萬31.05%24.9萬31.05%24.9萬2.15%19萬2.15%19萬-48.04%18.6萬-48.04%18.6萬
非流動負債總額 48.44%7,667.5萬48.44%7,667.5萬41.97%5,165.4萬41.97%5,165.4萬-7.26%3,638.5萬-7.26%3,638.5萬-3.58%3,923.4萬-3.58%3,923.4萬-22.41%4,068.9萬-22.41%4,068.9萬
所有者權益
股本 7.67%7.27億7.67%7.27億-0.06%6.75億-0.06%6.75億0.00%6.76億0.00%6.76億-0.27%6.76億-0.27%6.76億0.00%6.78億0.00%6.78億
-普通股股本 7.67%7.27億7.67%7.27億-0.06%6.75億-0.06%6.75億0.00%6.76億0.00%6.76億-0.27%6.76億-0.27%6.76億0.00%6.78億0.00%6.78億
不影響留存收益的損益 2.34%6,043.1萬2.34%6,043.1萬-5.36%5,904.9萬-5.36%5,904.9萬8.46%6,239萬8.46%6,239萬-0.24%5,752.3萬-0.24%5,752.3萬6.90%5,766.2萬6.90%5,766.2萬
其他股本權益 --52.5萬--52.5萬--------------------------------
總權益 189.59%1.27億189.59%1.27億-2.07%4,376萬-2.07%4,376萬-13.31%4,468.7萬-13.31%4,468.7萬-34.94%5,154.6萬-34.94%5,154.6萬0.43%7,922.6萬0.43%7,922.6萬

分析

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目標價預測

暫無數據

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