新加坡市場個股詳情

TDED Delta TH SDR 1to1

添加自選
  • 5.980
  • +0.050+0.84%
延時10分鐘行情休市中 12/20 11:01 (北京)
745.93億總市值86.67市盈率TTM

Delta TH SDR 1to1關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
經營活動現金流量(間接法)
持續經營活動現金淨額
106.75%116.43億
2,214.33%75.98億
-15.32%49.79億
-2.08%133.13億
193.87%14.74億
21.87%56.31億
-93.33%3.28億
65.61%58.79億
3,956.74%135.96億
130.84%5.01億
持續經營淨收入
8.13%60.5億
35.79%67.18億
18.35%44.2億
23.30%194.96億
15.82%52.18億
34.01%55.95億
14.74%49.48億
32.49%37.35億
132.49%158.11億
111.11%45.05億
持續經營損益
60.01%3,378.9萬
60.37%-1.09億
-13.87%-2.27億
-84.98%5,278.99萬
4,684.33%5.05億
-91.86%2,111.7萬
-340.42%-2.74億
-508.98%-1.99億
230.84%3.52億
-95.69%1,056.18萬
折舊攤銷及損耗
47.11%17.79億
49.22%16.26億
52.26%14.76億
44.46%46.08億
49.74%13.39億
45.82%12.09億
45.59%10.9億
35.14%9.7億
27.18%31.9億
30.93%8.94億
資產減值支出
-137.43%-2.74億
-139.78%-2.78億
-18.22%4.03億
226.98%26.81億
114.61%7.57億
215.76%7.32億
430.45%6.99億
375.67%4.93億
-8.75%8.2億
16.21%3.53億
資產準備金與勾銷
-171.38%-1.11億
-19.29%2.01億
78.80%2.35億
94.93%6.85億
23.30%1.48億
47.67%1.55億
204.22%2.49億
200.25%1.32億
121.32%3.51億
267.42%1.2億
其他非現金項目
-155.97%-5,569.6萬
264.72%1.07億
-242.82%-1.58億
-93.78%-3.95億
-106.25%-3.57億
-86.84%-2,175.9萬
-91.14%2,922.3萬
86.84%-4,595.3萬
-159.44%-2.04億
-3,776.10%-1.73億
營運資金變化
352.79%44.45億
97.41%-1.56億
-224.32%-10.9億
-92.22%-128.16億
-13.53%-58.91億
-89.02%-17.58億
-646.73%-60.45億
236.08%8.77億
35.62%-66.68億
-4.96%-51.89億
-應收款項(增)減
112.77%2.59億
14.44%-32.5億
-84.80%4.84億
44.00%-51.4億
52.43%-24.97億
-11.29%-20.26億
-83.36%-37.99億
8,491.04%31.82億
-49.36%-91.79億
-73.23%-52.49億
-存貨(增)減
137.48%9.09億
125.90%13.44億
108.54%2.55億
-66.12%-103.67億
113.66%2.3億
21.52%-24.26億
-288.81%-51.88億
-2,186.39%-29.84億
22.26%-62.41億
-130.47%-16.85億
-應付款項及應計費用(減)增
20.33%31.08億
-33.15%21.62億
-475.00%-10.36億
-80.12%18.09億
-365.14%-42.84億
-37.09%25.83億
17.11%32.34億
-55.16%2.76億
121.39%90.99億
213.79%16.16億
-其他流動資產變動
149.37%8,159.6萬
-876.49%-4.3億
-147.89%-3.04億
234.48%7.06億
159.95%1.81億
-39.66%-1.65億
168.95%5,540.6萬
2,638.77%6.35億
-20.42%-5.25億
-697.47%-3.01億
-其他流動負債變動
-53.29%1.59億
227.98%2.45億
-109.78%-4.88億
-1.28%1.75億
-28.85%2.59億
2,179.21%3.41億
-198.36%-1.91億
-70.05%-2.33億
-37.31%1.78億
44.91%3.64億
-其他營運資本變動
-10.49%-7,181.7萬
----
----
----
----
-202.02%-6,499.8萬
----
----
----
----
已付利息(經營活動產生的現金流)
62.61%-1,310.9萬
15.65%-2,029.2萬
-41.61%-3,521.8萬
-627.50%-1.03億
-626.16%-1,902.48萬
-1,071.14%-3,506.4萬
-351.08%-2,405.6萬
-674.01%-2,486.9萬
-140.33%-1,415.99萬
-2,522.25%-261.99萬
已收到的利息(經營活動產生的現金流)
1.18%4,685.7萬
18.78%5,492萬
108.29%4,017.8萬
174.67%1.76億
217.33%6,404.93萬
261.53%4,631.2萬
744.36%4,623.7萬
-24.55%1,928.9萬
-10.74%6,403.55萬
1,033.23%2,018.35萬
已支付退稅
17.30%-2.58億
-40.01%-5.46億
-13.35%-8,671.4萬
-911.53%-10.7億
-685.41%-2.91億
-545.85%-3.12億
-2,667.31%-3.9億
-115.55%-7,650.1萬
44.18%-1.06億
52.58%-3,707.23萬
非持續經營活動現金淨額
經營活動現金淨額
106.75%116.43億
2,214.33%75.98億
-15.32%49.79億
-2.08%133.13億
193.87%14.74億
21.87%56.31億
-93.33%3.28億
65.61%58.79億
3,956.74%135.96億
130.84%5.01億
投資活動現金流量
持續投資活動現金淨額
11.94%-30.22億
-5.19%-32.19億
-96.17%-43.88億
-50.94%-120.03億
-50.89%-32.75億
-53.30%-34.31億
-108.63%-30.6億
-7.69%-22.37億
-27.35%-79.53億
-302.54%-21.71億
固定資產交易淨額
9.50%-20.66億
8.03%-27億
-119.26%-46.89億
-45.38%-114.21億
-15.75%-40.63億
-160.94%-22.83億
-116.38%-29.35億
-1.19%-21.39億
-22.47%-78.56億
-550.36%-35.11億
無形資產交易淨額
30.81%-317.7萬
-159.68%-2,569.8萬
-49.17%-1,228.4萬
23.61%-3,798.85萬
-707.77%-1,526.55萬
82.99%-459.2萬
30.28%-989.6萬
25.55%-823.5萬
-2.67%-4,973.23萬
155.82%251.17萬
業務交易淨額
---100萬
--0
--0
--0
--0
--0
--0
--0
--0
--0
投資物業交易淨額
----
----
----
--0
--0
----
----
----
95.12%-2.2萬
99.99%-14
其他投資活動淨額
19.44%-9.21億
-329.81%-4.93億
448.59%3.14億
-1,051.59%-5.45億
-39.94%8.03億
14.44%-11.43億
-19.68%-1.15億
-289.46%-8,997.4萬
-445.18%-4,731.52萬
24,784.01%13.37億
非持續投資活動現金淨額
投資活動現金淨額
11.94%-30.22億
-5.19%-32.19億
-96.17%-43.88億
-50.94%-120.03億
-50.89%-32.75億
-53.30%-34.31億
-108.63%-30.6億
-7.69%-22.37億
-27.35%-79.53億
-302.54%-21.71億
融資活動現金流量
持續融資活動現金淨額
48.96%-5.41億
-84.32%-59.58億
-39.10%-13億
-44.77%-35.02億
111.81%17.24億
-1,740.60%-10.59億
-66.34%-32.33億
31.00%-9.34億
-8.34%-24.19億
-47.99%8.14億
債務發行/償還的淨額
48.96%-5.41億
-119.65%-3.45億
-39.10%-13億
598.37%14.88億
111.81%17.24億
-1,740.60%-10.59億
891.86%17.57億
31.00%-9.34億
-115.85%-2.98億
-47.99%8.14億
已支付現金股息
--0
----
----
-135.29%-49.9億
-278.13%-456
--0
----
----
48.48%-21.21億
178.53%256
非持續融資活動現金淨額
融資活動現金淨額
48.96%-5.41億
-84.32%-59.58億
-39.10%-13億
-44.77%-35.02億
111.81%17.24億
-1,740.60%-10.59億
-66.34%-32.33億
31.00%-9.34億
-8.34%-24.19億
-47.99%8.14億
現金淨流量
期初現金流
-14.53%61.46億
-36.90%80.02億
-24.90%76.17億
54.33%101.42億
-23.51%86.53億
-11.83%71.91億
91.03%126.82億
54.33%101.42億
-52.66%65.72億
53.66%113.12億
當期現金流變化
608.16%80.81億
73.52%-15.79億
-126.16%-7.09億
-168.00%-21.93億
90.91%-7,777.3萬
-53.37%11.41億
-494.05%-59.64億
2,173.67%27.08億
139.60%32.24億
-42.45%-8.55億
利率變動影響
-611.76%-16.41億
-158.42%-2.77億
747.03%10.93億
-195.97%-3.32億
-203.97%-9.58億
-54.82%3.21億
13,976.81%4.74億
-224.19%-1.69億
-58.38%3.46億
-65.71%-3.15億
期末現金流
45.45%125.85億
-14.53%61.46億
-36.90%80.02億
-24.90%76.17億
-24.90%76.17億
-23.51%86.53億
-11.83%71.91億
91.03%126.82億
54.33%101.42億
54.33%101.42億
自由現金流
190.33%95.75億
284.46%48.47億
-94.22%2.16億
-69.56%17.23億
10.90%-26.8億
-11.14%32.98億
-174.37%-26.28億
162.59%37.32億
191.91%56.59億
-38.17%-30.08億
貨幣單位
THB
THB
THB
THB
THB
THB
THB
THB
THB
THB
(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31
經營活動現金流量(間接法)
持續經營活動現金淨額 106.75%116.43億2,214.33%75.98億-15.32%49.79億-2.08%133.13億193.87%14.74億21.87%56.31億-93.33%3.28億65.61%58.79億3,956.74%135.96億130.84%5.01億
持續經營淨收入 8.13%60.5億35.79%67.18億18.35%44.2億23.30%194.96億15.82%52.18億34.01%55.95億14.74%49.48億32.49%37.35億132.49%158.11億111.11%45.05億
持續經營損益 60.01%3,378.9萬60.37%-1.09億-13.87%-2.27億-84.98%5,278.99萬4,684.33%5.05億-91.86%2,111.7萬-340.42%-2.74億-508.98%-1.99億230.84%3.52億-95.69%1,056.18萬
折舊攤銷及損耗 47.11%17.79億49.22%16.26億52.26%14.76億44.46%46.08億49.74%13.39億45.82%12.09億45.59%10.9億35.14%9.7億27.18%31.9億30.93%8.94億
資產減值支出 -137.43%-2.74億-139.78%-2.78億-18.22%4.03億226.98%26.81億114.61%7.57億215.76%7.32億430.45%6.99億375.67%4.93億-8.75%8.2億16.21%3.53億
資產準備金與勾銷 -171.38%-1.11億-19.29%2.01億78.80%2.35億94.93%6.85億23.30%1.48億47.67%1.55億204.22%2.49億200.25%1.32億121.32%3.51億267.42%1.2億
其他非現金項目 -155.97%-5,569.6萬264.72%1.07億-242.82%-1.58億-93.78%-3.95億-106.25%-3.57億-86.84%-2,175.9萬-91.14%2,922.3萬86.84%-4,595.3萬-159.44%-2.04億-3,776.10%-1.73億
營運資金變化 352.79%44.45億97.41%-1.56億-224.32%-10.9億-92.22%-128.16億-13.53%-58.91億-89.02%-17.58億-646.73%-60.45億236.08%8.77億35.62%-66.68億-4.96%-51.89億
-應收款項(增)減 112.77%2.59億14.44%-32.5億-84.80%4.84億44.00%-51.4億52.43%-24.97億-11.29%-20.26億-83.36%-37.99億8,491.04%31.82億-49.36%-91.79億-73.23%-52.49億
-存貨(增)減 137.48%9.09億125.90%13.44億108.54%2.55億-66.12%-103.67億113.66%2.3億21.52%-24.26億-288.81%-51.88億-2,186.39%-29.84億22.26%-62.41億-130.47%-16.85億
-應付款項及應計費用(減)增 20.33%31.08億-33.15%21.62億-475.00%-10.36億-80.12%18.09億-365.14%-42.84億-37.09%25.83億17.11%32.34億-55.16%2.76億121.39%90.99億213.79%16.16億
-其他流動資產變動 149.37%8,159.6萬-876.49%-4.3億-147.89%-3.04億234.48%7.06億159.95%1.81億-39.66%-1.65億168.95%5,540.6萬2,638.77%6.35億-20.42%-5.25億-697.47%-3.01億
-其他流動負債變動 -53.29%1.59億227.98%2.45億-109.78%-4.88億-1.28%1.75億-28.85%2.59億2,179.21%3.41億-198.36%-1.91億-70.05%-2.33億-37.31%1.78億44.91%3.64億
-其他營運資本變動 -10.49%-7,181.7萬-----------------202.02%-6,499.8萬----------------
已付利息(經營活動產生的現金流) 62.61%-1,310.9萬15.65%-2,029.2萬-41.61%-3,521.8萬-627.50%-1.03億-626.16%-1,902.48萬-1,071.14%-3,506.4萬-351.08%-2,405.6萬-674.01%-2,486.9萬-140.33%-1,415.99萬-2,522.25%-261.99萬
已收到的利息(經營活動產生的現金流) 1.18%4,685.7萬18.78%5,492萬108.29%4,017.8萬174.67%1.76億217.33%6,404.93萬261.53%4,631.2萬744.36%4,623.7萬-24.55%1,928.9萬-10.74%6,403.55萬1,033.23%2,018.35萬
已支付退稅 17.30%-2.58億-40.01%-5.46億-13.35%-8,671.4萬-911.53%-10.7億-685.41%-2.91億-545.85%-3.12億-2,667.31%-3.9億-115.55%-7,650.1萬44.18%-1.06億52.58%-3,707.23萬
非持續經營活動現金淨額
經營活動現金淨額 106.75%116.43億2,214.33%75.98億-15.32%49.79億-2.08%133.13億193.87%14.74億21.87%56.31億-93.33%3.28億65.61%58.79億3,956.74%135.96億130.84%5.01億
投資活動現金流量
持續投資活動現金淨額 11.94%-30.22億-5.19%-32.19億-96.17%-43.88億-50.94%-120.03億-50.89%-32.75億-53.30%-34.31億-108.63%-30.6億-7.69%-22.37億-27.35%-79.53億-302.54%-21.71億
固定資產交易淨額 9.50%-20.66億8.03%-27億-119.26%-46.89億-45.38%-114.21億-15.75%-40.63億-160.94%-22.83億-116.38%-29.35億-1.19%-21.39億-22.47%-78.56億-550.36%-35.11億
無形資產交易淨額 30.81%-317.7萬-159.68%-2,569.8萬-49.17%-1,228.4萬23.61%-3,798.85萬-707.77%-1,526.55萬82.99%-459.2萬30.28%-989.6萬25.55%-823.5萬-2.67%-4,973.23萬155.82%251.17萬
業務交易淨額 ---100萬--0--0--0--0--0--0--0--0--0
投資物業交易淨額 --------------0--0------------95.12%-2.2萬99.99%-14
其他投資活動淨額 19.44%-9.21億-329.81%-4.93億448.59%3.14億-1,051.59%-5.45億-39.94%8.03億14.44%-11.43億-19.68%-1.15億-289.46%-8,997.4萬-445.18%-4,731.52萬24,784.01%13.37億
非持續投資活動現金淨額
投資活動現金淨額 11.94%-30.22億-5.19%-32.19億-96.17%-43.88億-50.94%-120.03億-50.89%-32.75億-53.30%-34.31億-108.63%-30.6億-7.69%-22.37億-27.35%-79.53億-302.54%-21.71億
融資活動現金流量
持續融資活動現金淨額 48.96%-5.41億-84.32%-59.58億-39.10%-13億-44.77%-35.02億111.81%17.24億-1,740.60%-10.59億-66.34%-32.33億31.00%-9.34億-8.34%-24.19億-47.99%8.14億
債務發行/償還的淨額 48.96%-5.41億-119.65%-3.45億-39.10%-13億598.37%14.88億111.81%17.24億-1,740.60%-10.59億891.86%17.57億31.00%-9.34億-115.85%-2.98億-47.99%8.14億
已支付現金股息 --0---------135.29%-49.9億-278.13%-456--0--------48.48%-21.21億178.53%256
非持續融資活動現金淨額
融資活動現金淨額 48.96%-5.41億-84.32%-59.58億-39.10%-13億-44.77%-35.02億111.81%17.24億-1,740.60%-10.59億-66.34%-32.33億31.00%-9.34億-8.34%-24.19億-47.99%8.14億
現金淨流量
期初現金流 -14.53%61.46億-36.90%80.02億-24.90%76.17億54.33%101.42億-23.51%86.53億-11.83%71.91億91.03%126.82億54.33%101.42億-52.66%65.72億53.66%113.12億
當期現金流變化 608.16%80.81億73.52%-15.79億-126.16%-7.09億-168.00%-21.93億90.91%-7,777.3萬-53.37%11.41億-494.05%-59.64億2,173.67%27.08億139.60%32.24億-42.45%-8.55億
利率變動影響 -611.76%-16.41億-158.42%-2.77億747.03%10.93億-195.97%-3.32億-203.97%-9.58億-54.82%3.21億13,976.81%4.74億-224.19%-1.69億-58.38%3.46億-65.71%-3.15億
期末現金流 45.45%125.85億-14.53%61.46億-36.90%80.02億-24.90%76.17億-24.90%76.17億-23.51%86.53億-11.83%71.91億91.03%126.82億54.33%101.42億54.33%101.42億
自由現金流 190.33%95.75億284.46%48.47億-94.22%2.16億-69.56%17.23億10.90%-26.8億-11.14%32.98億-174.37%-26.28億162.59%37.32億191.91%56.59億-38.17%-30.08億
貨幣單位 THBTHBTHBTHBTHBTHBTHBTHBTHBTHB