新加坡市場個股詳情

WG2W ASL M W240723^

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延時10分鐘行情已收盤 07/16 16:59 (北京)
0總市值0.00市盈率TTM

ASL M W240723^關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2024/03/31
(Q2)2023/12/31
(Q1)2023/09/30
(FY)2023/06/30
(Q4)2023/06/30
(Q3)2023/03/31
(Q2)2022/12/31
(Q1)2022/09/30
(FY)2022/06/30
(Q4)2022/06/30
經營活動現金流量(間接法)
經營活動產生的現金
-94.86%187.7萬
9.26%2,014.3萬
-29.29%1,085.5萬
49.48%8,355.6萬
186.23%1,328.1萬
54.44%3,648.7萬
26.31%1,843.6萬
17.78%1,535.2萬
22.97%5,589.6萬
-64.39%464萬
扣除非現金調整前淨利潤
-60.34%590萬
104.60%54.8萬
159.16%471.5萬
122.06%701.7萬
214.36%1,203萬
337.14%1,487.6萬
-73.57%-1,191.9萬
2.22%-797萬
21.67%-3,181萬
-3.87%-1,051.9萬
非現金項目調整總額
240.20%1,495.2萬
-15.62%1,633.2萬
-4.79%2,077.9萬
-13.31%5,774.7萬
-16.49%1,217.3萬
-75.49%439.5萬
21.60%1,935.5萬
19.96%2,182.4萬
-18.62%6,661.5萬
-27.30%1,457.7萬
-折舊與攤銷
-5.02%1,183.7萬
-6.91%1,162.6萬
18.35%1,498.8萬
6.34%5,043.2萬
10.50%1,281.6萬
0.00%1,246.3萬
5.24%1,248.9萬
10.14%1,266.4萬
-19.58%4,742.6萬
-19.22%1,159.8萬
-在損益中確認的減值損失回撥
90.76%-143.9萬
-367.33%-216萬
-97.04%8.3萬
-495,525.00%-1,982.5萬
-355.70%-787萬
-7,340.47%-1,556.7萬
190.65%80.8萬
127.97%280.4萬
-100.10%-4,000
-224.96%-172.7萬
-資產準備金與勾銷
--1,000
33.33%4,000
--2,000
157.14%4,000
--1,000
--0
200.00%3,000
--0
22.22%-7,000
--0
-聯營企業份額
-1.11%53.5萬
-130.21%-78.5萬
-264.50%-84.2萬
-1,702.74%-234萬
-313.01%-230.9萬
-39.15%54.1萬
79.05%-34.1萬
-16.08%-23.1萬
-91.78%14.6萬
91.18%108.4萬
-處置利潤
-3,378.57%-229.5萬
192.96%62.1萬
-356.07%-27.4萬
125.31%109.4萬
163.78%158.5萬
105.37%7萬
-75.79%-66.8萬
169.48%10.7萬
32.05%-432.2萬
-53.58%-248.5萬
-養老金及員工福利費用
0.00%8,000
-22.22%7,000
-22.22%7,000
-160.91%-6.7萬
-208.14%-9.3萬
14.29%8,000
0.00%9,000
12.50%9,000
650.00%11萬
1,333.33%8.6萬
-其他非現金項目
-8.36%630.5萬
-0.51%701.9萬
5.32%681.5萬
22.28%2,844.9萬
33.58%804.3萬
21.60%688萬
22.19%705.5萬
11.32%647.1萬
-0.49%2,326.6萬
12.44%602.1萬
營運資本變動
-210.22%-1,897.5萬
-70.34%326.3萬
-1,077.24%-1,463.9萬
-10.90%1,879.2萬
-1,976.63%-1,092.2萬
43.81%1,721.6萬
98.34%1,100萬
-49.93%149.8萬
401.21%2,109.1萬
-81.26%58.2萬
-應收款(增)減
-12.51%-222.2萬
31.69%1,108.8萬
-100.95%-1,452.7萬
-12.38%-192.4萬
14.73%-114萬
-118.09%-197.5萬
173.42%842萬
-4,207.39%-722.9萬
-50.70%-171.2萬
-146.62%-133.7萬
-存貨(增)減
-102.94%-67.3萬
795.27%302.6萬
67.52%-64.9萬
451.51%1,473.9萬
-766.40%-652.4萬
1,052.35%2,292.3萬
-70.94%33.8萬
9.02%-199.8萬
-50.56%-419.3萬
30.28%-75.3萬
-預付費用(增)減
-13,271.43%-374.4萬
-127.65%-40.7萬
-24.59%-247.8萬
345.38%53萬
57.16%107.5萬
-119.31%-2.8萬
412.53%147.2萬
-732.22%-198.9萬
141.18%11.9萬
11.40%68.4萬
-應付款(減)增
-379.44%-251.5萬
-237.32%-890.4萬
11.35%899.5萬
-14.92%2,073.1萬
83.21%526.9萬
-86.31%90萬
-24.45%648.4萬
27.51%807.8萬
225.48%2,436.6萬
165.05%287.6萬
-其他流動資產變動
-112.86%-980萬
73.43%-151.8萬
-228.54%-595.8萬
-686.08%-1,528.5萬
-1,007.50%-960.2萬
-42.32%-460.4萬
-173.60%-571.4萬
539.75%463.5萬
-90.66%260.8萬
-116.84%-86.7萬
-其他流動負債變動
---2.1萬
---2.2萬
-2,300.00%-2.2萬
101.03%1,000
--0
--0
--0
103.33%1,000
0.00%-9.7萬
8.70%-2.1萬
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)
-95.56%2,000
-97.84%4,000
-80.56%7,000
35.62%31.6萬
5萬
4.5萬
1,421.43%18.5萬
-85.43%3.6萬
-38.68%23.3萬
0
已支付退稅
-193.06%-84.4萬
-2,713.04%-64.7萬
-60,100.00%-60.2萬
30.34%-50.5萬
-9,750.00%-19.3萬
-0.70%-28.8萬
94.78%-2.3萬
-1,000
-11,983.33%-72.5萬
101.15%2,000
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
-97.14%103.5萬
4.85%1,950萬
-33.32%1,026萬
50.47%8,336.7萬
183.02%1,313.8萬
55.29%3,624.4萬
31.52%1,859.8萬
15.86%1,538.7萬
20.90%5,540.4萬
-64.09%464.2萬
投資活動現金流量
物業、廠房及設備交易淨額
28,252.63%534.9萬
416.38%1,618.6萬
-134.22%-501.7萬
82.78%-217.8萬
1,397.46%509.9萬
99.48%-1.9萬
-58.00%-511.6萬
60.08%-214.2萬
---1,264.5萬
-104.70%-39.3萬
已收到的利息(投資活動產生的現金流)
28.57%1.8萬
183.33%1.7萬
85.71%1.3萬
17.39%2.7萬
--0
160.87%1.4萬
-82.86%6,000
16.67%7,000
-39.47%2.3萬
25.00%5,000
其他投資變動淨額
-142.97%-15.9萬
76.53%-6.5萬
-232.32%-13.1萬
-183.84%-41萬
-286.38%-60.2萬
37,100.00%37萬
---27.7萬
-40.72%9.9萬
133.02%48.9萬
105.18%32.3萬
投資活動現金淨額
1,326.85%520.8萬
399.57%1,613.8萬
-152.21%-513.5萬
78.89%-256.1萬
7,018.46%449.7萬
109.94%36.5萬
-68.19%-538.7萬
60.79%-203.6萬
-740.82%-1,213.3萬
-103.05%-6.5萬
融資活動現金流量
債務發行/償還的淨額
90.36%-348.6萬
-224.11%-3,078.7萬
20.81%-787萬
-79.65%-6,258.8萬
24.19%-697.4萬
-223.85%-3,617.7萬
-25.88%-949.9萬
-43.57%-993.8萬
10.12%-3,483.8萬
-7.93%-919.9萬
普通股發行/回購的淨額
----
----
----
20,300.00%142.8萬
--142.8萬
----
----
----
-90.67%7,000
--0
租賃融資增減
31.25%-44萬
80.59%-8.5萬
-24.13%-57.1萬
20.96%-163.3萬
-213.10%-9.5萬
-43.50%-64萬
60.15%-43.8萬
23.97%-46萬
-30.76%-206.6萬
114.58%8.4萬
已付利息(籌資活動產生的現金流)
14.11%-312.9萬
11.48%-354.1萬
3.36%-333.4萬
-34.99%-1,511.4萬
-38.23%-402.1萬
-41.59%-364.3萬
-40.30%-400萬
-20.50%-345萬
11.56%-1,119.6萬
13.71%-290.9萬
其他籌資費用淨額
-66.38%186.3萬
65.43%-92.9萬
-27.71%261.1萬
225.65%279.7萬
-283.27%-366.9萬
226.62%554.1萬
-224.63%-268.7萬
279.88%361.2萬
-143.59%-222.6萬
168.77%200.2萬
融資活動現金淨額
85.15%-518.6萬
-112.60%-3,534.2萬
10.47%-916.4萬
-49.27%-7,511萬
-33.02%-1,333.1萬
-88.08%-3,491.9萬
-77.99%-1,662.4萬
17.39%-1,023.6萬
-5.23%-5,031.9萬
34.52%-1,002.2萬
現金淨流量
期初現金流
30.32%892.7萬
-17.83%885.4萬
73.34%1,289.3萬
-47.34%743.8萬
-32.49%849.3萬
-40.47%685萬
8.38%1,077.5萬
-47.34%743.8萬
-19.97%1,412.5萬
-12.45%1,258萬
現金變動
-37.46%105.7萬
108.67%29.6萬
-229.66%-403.9萬
180.82%569.6萬
179.04%430.4萬
53.36%169萬
-313.58%-341.3萬
172.39%311.5萬
-105.24%-704.8萬
-2,060.71%-544.5萬
匯率變動影響
268.09%7.9萬
56.45%-22.3萬
--0
-166.76%-24.1萬
-68.32%9.6萬
-62.07%-4.7萬
-1,451.52%-51.2萬
85.00%22.2萬
496.70%36.1萬
3,687.50%30.3萬
期末現金
18.49%1,006.3萬
30.32%892.7萬
-17.83%885.4萬
73.34%1,289.3萬
73.34%1,289.3萬
-32.49%849.3萬
-40.47%685萬
8.38%1,077.5萬
-47.34%743.8萬
-47.34%743.8萬
自由現金流
-101.70%-60.5萬
-35.20%779.4萬
-60.96%496.9萬
80.95%6,726.8萬
418.13%697.4萬
94.74%3,553.8萬
21.71%1,202.7萬
65.35%1,272.9萬
-18.88%3,717.5萬
-95.28%134.6萬
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
(Q3)2024/03/31(Q2)2023/12/31(Q1)2023/09/30(FY)2023/06/30(Q4)2023/06/30(Q3)2023/03/31(Q2)2022/12/31(Q1)2022/09/30(FY)2022/06/30(Q4)2022/06/30
經營活動現金流量(間接法)
經營活動產生的現金 -94.86%187.7萬9.26%2,014.3萬-29.29%1,085.5萬49.48%8,355.6萬186.23%1,328.1萬54.44%3,648.7萬26.31%1,843.6萬17.78%1,535.2萬22.97%5,589.6萬-64.39%464萬
扣除非現金調整前淨利潤 -60.34%590萬104.60%54.8萬159.16%471.5萬122.06%701.7萬214.36%1,203萬337.14%1,487.6萬-73.57%-1,191.9萬2.22%-797萬21.67%-3,181萬-3.87%-1,051.9萬
非現金項目調整總額 240.20%1,495.2萬-15.62%1,633.2萬-4.79%2,077.9萬-13.31%5,774.7萬-16.49%1,217.3萬-75.49%439.5萬21.60%1,935.5萬19.96%2,182.4萬-18.62%6,661.5萬-27.30%1,457.7萬
-折舊與攤銷 -5.02%1,183.7萬-6.91%1,162.6萬18.35%1,498.8萬6.34%5,043.2萬10.50%1,281.6萬0.00%1,246.3萬5.24%1,248.9萬10.14%1,266.4萬-19.58%4,742.6萬-19.22%1,159.8萬
-在損益中確認的減值損失回撥 90.76%-143.9萬-367.33%-216萬-97.04%8.3萬-495,525.00%-1,982.5萬-355.70%-787萬-7,340.47%-1,556.7萬190.65%80.8萬127.97%280.4萬-100.10%-4,000-224.96%-172.7萬
-資產準備金與勾銷 --1,00033.33%4,000--2,000157.14%4,000--1,000--0200.00%3,000--022.22%-7,000--0
-聯營企業份額 -1.11%53.5萬-130.21%-78.5萬-264.50%-84.2萬-1,702.74%-234萬-313.01%-230.9萬-39.15%54.1萬79.05%-34.1萬-16.08%-23.1萬-91.78%14.6萬91.18%108.4萬
-處置利潤 -3,378.57%-229.5萬192.96%62.1萬-356.07%-27.4萬125.31%109.4萬163.78%158.5萬105.37%7萬-75.79%-66.8萬169.48%10.7萬32.05%-432.2萬-53.58%-248.5萬
-養老金及員工福利費用 0.00%8,000-22.22%7,000-22.22%7,000-160.91%-6.7萬-208.14%-9.3萬14.29%8,0000.00%9,00012.50%9,000650.00%11萬1,333.33%8.6萬
-其他非現金項目 -8.36%630.5萬-0.51%701.9萬5.32%681.5萬22.28%2,844.9萬33.58%804.3萬21.60%688萬22.19%705.5萬11.32%647.1萬-0.49%2,326.6萬12.44%602.1萬
營運資本變動 -210.22%-1,897.5萬-70.34%326.3萬-1,077.24%-1,463.9萬-10.90%1,879.2萬-1,976.63%-1,092.2萬43.81%1,721.6萬98.34%1,100萬-49.93%149.8萬401.21%2,109.1萬-81.26%58.2萬
-應收款(增)減 -12.51%-222.2萬31.69%1,108.8萬-100.95%-1,452.7萬-12.38%-192.4萬14.73%-114萬-118.09%-197.5萬173.42%842萬-4,207.39%-722.9萬-50.70%-171.2萬-146.62%-133.7萬
-存貨(增)減 -102.94%-67.3萬795.27%302.6萬67.52%-64.9萬451.51%1,473.9萬-766.40%-652.4萬1,052.35%2,292.3萬-70.94%33.8萬9.02%-199.8萬-50.56%-419.3萬30.28%-75.3萬
-預付費用(增)減 -13,271.43%-374.4萬-127.65%-40.7萬-24.59%-247.8萬345.38%53萬57.16%107.5萬-119.31%-2.8萬412.53%147.2萬-732.22%-198.9萬141.18%11.9萬11.40%68.4萬
-應付款(減)增 -379.44%-251.5萬-237.32%-890.4萬11.35%899.5萬-14.92%2,073.1萬83.21%526.9萬-86.31%90萬-24.45%648.4萬27.51%807.8萬225.48%2,436.6萬165.05%287.6萬
-其他流動資產變動 -112.86%-980萬73.43%-151.8萬-228.54%-595.8萬-686.08%-1,528.5萬-1,007.50%-960.2萬-42.32%-460.4萬-173.60%-571.4萬539.75%463.5萬-90.66%260.8萬-116.84%-86.7萬
-其他流動負債變動 ---2.1萬---2.2萬-2,300.00%-2.2萬101.03%1,000--0--0--0103.33%1,0000.00%-9.7萬8.70%-2.1萬
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) -95.56%2,000-97.84%4,000-80.56%7,00035.62%31.6萬5萬4.5萬1,421.43%18.5萬-85.43%3.6萬-38.68%23.3萬0
已支付退稅 -193.06%-84.4萬-2,713.04%-64.7萬-60,100.00%-60.2萬30.34%-50.5萬-9,750.00%-19.3萬-0.70%-28.8萬94.78%-2.3萬-1,000-11,983.33%-72.5萬101.15%2,000
其他經營現金流入(流出) 0000000000
經營活動現金淨額 -97.14%103.5萬4.85%1,950萬-33.32%1,026萬50.47%8,336.7萬183.02%1,313.8萬55.29%3,624.4萬31.52%1,859.8萬15.86%1,538.7萬20.90%5,540.4萬-64.09%464.2萬
投資活動現金流量
物業、廠房及設備交易淨額 28,252.63%534.9萬416.38%1,618.6萬-134.22%-501.7萬82.78%-217.8萬1,397.46%509.9萬99.48%-1.9萬-58.00%-511.6萬60.08%-214.2萬---1,264.5萬-104.70%-39.3萬
已收到的利息(投資活動產生的現金流) 28.57%1.8萬183.33%1.7萬85.71%1.3萬17.39%2.7萬--0160.87%1.4萬-82.86%6,00016.67%7,000-39.47%2.3萬25.00%5,000
其他投資變動淨額 -142.97%-15.9萬76.53%-6.5萬-232.32%-13.1萬-183.84%-41萬-286.38%-60.2萬37,100.00%37萬---27.7萬-40.72%9.9萬133.02%48.9萬105.18%32.3萬
投資活動現金淨額 1,326.85%520.8萬399.57%1,613.8萬-152.21%-513.5萬78.89%-256.1萬7,018.46%449.7萬109.94%36.5萬-68.19%-538.7萬60.79%-203.6萬-740.82%-1,213.3萬-103.05%-6.5萬
融資活動現金流量
債務發行/償還的淨額 90.36%-348.6萬-224.11%-3,078.7萬20.81%-787萬-79.65%-6,258.8萬24.19%-697.4萬-223.85%-3,617.7萬-25.88%-949.9萬-43.57%-993.8萬10.12%-3,483.8萬-7.93%-919.9萬
普通股發行/回購的淨額 ------------20,300.00%142.8萬--142.8萬-------------90.67%7,000--0
租賃融資增減 31.25%-44萬80.59%-8.5萬-24.13%-57.1萬20.96%-163.3萬-213.10%-9.5萬-43.50%-64萬60.15%-43.8萬23.97%-46萬-30.76%-206.6萬114.58%8.4萬
已付利息(籌資活動產生的現金流) 14.11%-312.9萬11.48%-354.1萬3.36%-333.4萬-34.99%-1,511.4萬-38.23%-402.1萬-41.59%-364.3萬-40.30%-400萬-20.50%-345萬11.56%-1,119.6萬13.71%-290.9萬
其他籌資費用淨額 -66.38%186.3萬65.43%-92.9萬-27.71%261.1萬225.65%279.7萬-283.27%-366.9萬226.62%554.1萬-224.63%-268.7萬279.88%361.2萬-143.59%-222.6萬168.77%200.2萬
融資活動現金淨額 85.15%-518.6萬-112.60%-3,534.2萬10.47%-916.4萬-49.27%-7,511萬-33.02%-1,333.1萬-88.08%-3,491.9萬-77.99%-1,662.4萬17.39%-1,023.6萬-5.23%-5,031.9萬34.52%-1,002.2萬
現金淨流量
期初現金流 30.32%892.7萬-17.83%885.4萬73.34%1,289.3萬-47.34%743.8萬-32.49%849.3萬-40.47%685萬8.38%1,077.5萬-47.34%743.8萬-19.97%1,412.5萬-12.45%1,258萬
現金變動 -37.46%105.7萬108.67%29.6萬-229.66%-403.9萬180.82%569.6萬179.04%430.4萬53.36%169萬-313.58%-341.3萬172.39%311.5萬-105.24%-704.8萬-2,060.71%-544.5萬
匯率變動影響 268.09%7.9萬56.45%-22.3萬--0-166.76%-24.1萬-68.32%9.6萬-62.07%-4.7萬-1,451.52%-51.2萬85.00%22.2萬496.70%36.1萬3,687.50%30.3萬
期末現金 18.49%1,006.3萬30.32%892.7萬-17.83%885.4萬73.34%1,289.3萬73.34%1,289.3萬-32.49%849.3萬-40.47%685萬8.38%1,077.5萬-47.34%743.8萬-47.34%743.8萬
自由現金流 -101.70%-60.5萬-35.20%779.4萬-60.96%496.9萬80.95%6,726.8萬418.13%697.4萬94.74%3,553.8萬21.71%1,202.7萬65.35%1,272.9萬-18.88%3,717.5萬-95.28%134.6萬
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