(FY)2024/06/30 | (FY)2023/06/30 | (FY)2022/06/30 | (FY)2021/06/30 | (Q2)2020/12/31 | (FY)2020/06/30 | (Q2)2019/12/31 | (Q1)2019/09/30 | (FY)2019/06/30 | (Q4)2019/06/30 | |
---|---|---|---|---|---|---|---|---|---|---|
经营活动现金流量(间接法) | ||||||||||
经营活动产生的现金 | 33.41%1.7亿 | -60.15%1.27亿 | 29.45%3.2亿 | -8.33%2.47亿 | -40.54%5,149.09万 | -26.88%2.69亿 | 44.05%8,659.64万 | -77.17%2,443.53万 | 117.35%3.68亿 | 116.32%6,459.84万 |
扣除非现金调整前净利润 | -31.34%1.58亿 | -0.99%2.3亿 | 24.16%2.32亿 | -7.29%1.87亿 | -26.18%5,611.51万 | -29.26%2.01亿 | -5.66%7,601.28万 | -15.84%5,676.17万 | 93.44%2.85亿 | 116.32%7,576.47万 |
非现金项目调整总额 | -3.54%4,846.16万 | 27.89%5,023.92万 | -50.40%3,928.43万 | 37.45%7,920.73万 | 52.89%1,420.34万 | 172.21%5,762.81万 | 63.91%929.01万 | 54.92%1,676.15万 | -60.39%2,117.01万 | -125.43%-710.83万 |
-折旧与摊销 | 6.43%4,193.44万 | 7.33%3,940.04万 | -1.58%3,670.95万 | 7.69%3,729.91万 | 9.30%957.33万 | 44.48%3,463.71万 | 62.33%875.86万 | 55.98%851.29万 | 12.59%2,397.41万 | 16.37%656.71万 |
-在损益中确认的减值损失回拨 | 13,816.44%84.52万 | -100.80%-6,162 | 1,745.44%77.04万 | -98.67%4.17万 | -16.24%8,657 | -81.83%313.75万 | -93.21%1.03万 | 4,051.00%24.4万 | 807.11%1,726.3万 | 451.14%1,742.79万 |
-资产准备金与勾销 | 316.41%416.86万 | 3,538.98%100.11万 | 55.09%-2.91万 | -100.94%-6.48万 | -374.09%-446.18万 | 154.47%692.86万 | 15.00%-94.11万 | -71.65%43.64万 | -2,518.53%-1,272.08万 | -799.61%-1,300.93万 |
-联营企业份额 | 28.34%122.47万 | --95.43万 | --0 | 100.04%565 | --0 | -181.14%-139.3万 | -147.82%-42.4万 | -360.32%-96.91万 | -89.19%171.67万 | -97.30%37.5万 |
-处置利润 | -213.46%-21.33万 | 112.55%18.79万 | -106.26%-149.78万 | 265.74%2,393.17万 | 18.99%-4.15万 | 22.96%-1,443.89万 | 99.43%-5.12万 | -508.91%-88.68万 | -448.32%-1,874.32万 | -379.15%-944.84万 |
-汇兑损益净额 | -23.90%245.92万 | 176.98%323.16万 | -324.91%-419.81万 | 236.54%186.66万 | 398.19%209.27万 | 31.56%-136.7万 | -124.69%-70.18万 | 161.94%186.3万 | -125.51%-199.73万 | -295.83%-88.83万 |
-以股票支付的报酬 | -61.24%255.61万 | 9.51%659.53万 | 61.91%602.23万 | --371.95万 | --369.72万 | ---- | --0 | --0 | -35.49%82.01万 | -147.54%-21.44万 |
-养老金及员工福利费用 | 51.75%370.85万 | 32.34%244.38万 | 94.92%184.66万 | -17.41%94.74万 | 8.11%31.75万 | -29.81%114.71万 | -4.37%29.37万 | 21.02%36.66万 | 84.31%163.42万 | 288.13%71.96万 |
-其他非现金项目 | -130.37%-822.18万 | -951.22%-356.9万 | -102.96%-33.95万 | -60.43%1,146.55万 | 28.64%301.72万 | 214.17%2,897.68万 | -59.57%234.55万 | 23.12%719.45万 | 709.22%922.32万 | -1,687.81%-863.75万 |
营运资本变动 | 76.28%-3,616.61万 | -414.88%-1.52亿 | 353.78%4,841.52万 | -286.09%-1,907.74万 | -1,555.54%-1,882.76万 | -83.58%1,025.17万 | 104.95%129.35万 | -270.59%-4,908.78万 | 300.21%6,243.21万 | 87.75%-405.8万 |
-应收款(增)减 | 116.66%940.39万 | -565.28%-5,643.93万 | 446.29%1,213.02万 | 29.42%-350.29万 | 89.57%-239.01万 | -128.97%-496.28万 | 41.00%-2,291.63万 | -132.44%-1,083.43万 | 73.96%1,713.2万 | 91.48%2,639.61万 |
-存货(增)减 | -2,319.29%-46.88万 | -86.91%2.11万 | -63.51%16.13万 | 514.02%44.22万 | 100.40%787 | -105.17%-10.68万 | ---19.48万 | --24.19万 | --206.6万 | --16.43万 |
-应付款(减)增 | -128.04%-2,226.78万 | -124.41%-976.5万 | 743.26%4,001.17万 | -191.57%-622.01万 | 112.12%132.09万 | 113.86%679.29万 | -510.76%-1,090.26万 | 219.73%285.24万 | -1,040.34%-4,902.52万 | -182.34%-3,828.89万 |
-其他流动资产变动 | 73.53%-2,283.34万 | -2,118.74%-8,626.63万 | 60.31%-388.81万 | -214.87%-979.66万 | -150.30%-1,775.93万 | -90.76%852.84万 | 250.90%3,530.72万 | -649.12%-4,134.79万 | 351.16%9,225.94万 | 123.01%767.05万 |
已付股息(经营活动产生的现金流) | ||||||||||
已收到的股息(经营活动产生的现金流) | ||||||||||
已付利息(经营活动产生的现金流) | -5.66%-854.46万 | -638.54%-808.68万 | 49.63%-109.5万 | 40.60%-217.37万 | 31.78%-70.37万 | -148.27%-365.94万 | -188.69%-103.15万 | -271.56%-88.98万 | -10.31%-147.4万 | -315.02%-21.83万 |
已收到的利息(经营活动产生的现金流) | ||||||||||
已支付退税 | -9.03%-5,031.14万 | 5.49%-4,614.25万 | -3.35%-4,882.25万 | 13.53%-4,724.11万 | -2.51%-1,496.98万 | -35.85%-5,463.52万 | -73.93%-1,460.27万 | -71.30%-819.94万 | -101.14%-4,021.65万 | -221.60%-1,351.98万 |
其他经营现金流入(流出) | -603.47%-355.13万 | -177.00%-50.48万 | 219.71%65.56万 | 55.64%-54.77万 | -131.67%-4.16万 | 15.15%-123.48万 | 128.80%13.12万 | 75.27%-10.82万 | 54.88%-145.53万 | 80.52%-65.2万 |
经营活动现金净额 | 48.03%1.07亿 | -73.13%7,261.73万 | 37.27%2.7亿 | -6.14%1.97亿 | -49.68%3,577.59万 | -35.49%2.1亿 | 39.65%7,109.35万 | -85.00%1,523.79万 | 124.41%3.25亿 | 125.56%5,020.82万 |
投资活动现金流量 | ||||||||||
物业、厂房及设备交易净额 | 25.23%-354.43万 | -134.13%-474万 | -59.26%-202.45万 | 78.29%-127.12万 | 86.81%-27.62万 | -152.49%-585.61万 | -113.58%-209.45万 | -42.13%-236.33万 | 483.38%1,115.58万 | -128.35%-114万 |
无形资产交易净额 | 43.19%-4,558.2万 | -60.21%-8,024.24万 | -24.78%-5,008.63万 | -28.83%-4,014.1万 | 26.98%-555.31万 | -7.09%-3,115.77万 | -0.80%-760.49万 | -51.58%-717.41万 | -38.73%-2,909.44万 | 4.76%-968.48万 |
业务交易净额 | ---820.9万 | --0 | 89.52%-601.41万 | ---5,740.02万 | --1,143 | ---- | --0 | ---- | ---5,260.47万 | --30.63万 |
投资产品交易净额 | -28.91%1,988.79万 | 199.73%2,797.64万 | -317.52%-2,805.33万 | 387.63%1,289.66万 | 122.88%3,984.38万 | 76.07%-448.37万 | 3,585.46%1,787.7万 | 146.96%93.63万 | -105.93%-1,873.73万 | -196.60%-1,370.84万 |
向其他方提供的预付现金及贷款 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 4.10%-7.91万 | 42.09%-1.26万 |
偿还对其他方提供的预付款及贷款产生的现金收入 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --13.52万 | --0 |
已收到的股息(投资活动产生的现金流) | -66.67%2.1万 | --6.3万 | --0 | 18.47%96.94万 | --0 | --81.83万 | --0 | --80.78万 | --0 | --0 |
已收到的利息(投资活动产生的现金流) | 40.98%1,580.22万 | 269.01%1,120.92万 | 53.54%303.76万 | -49.67%197.84万 | -78.91%25.47万 | 26.50%393.1万 | 80.39%120.77万 | 176.03%102.02万 | 11.46%310.75万 | 122.44%117.56万 |
其他投资变动净额 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 88.12%-38.49万 | ---- |
投资活动现金净额 | 52.72%-2,162.42万 | 44.99%-4,573.38万 | -0.21%-8,314.05万 | -125.77%-8,296.79万 | 265.15%3,427.03万 | 57.52%-3,674.82万 | 17.18%938.52万 | 15.55%-677.31万 | -129.66%-8,650.2万 | -1,123.39%-2,344.88万 |
融资活动现金流量 | ||||||||||
债务发行/偿还的净额 | -5.37%-3,854.67万 | -121.07%-3,658.29万 | 242.85%1.74亿 | -303.30%-1.22亿 | -452.28%-4,278.85万 | 55.19%5,977.71万 | 774.67%1,214.61万 | 128.80%2,612.09万 | 156.97%3,851.97万 | -149.55%-1,026.77万 |
普通股发行/回购的净额 | 97.32%-14.42万 | 96.99%-537.73万 | -774.30%-1.79亿 | 64.05%-2,042.48万 | 63.13%-382.59万 | -218.20%-5,681.53万 | ---1,037.8万 | --0 | 83.61%-1,785.52万 | --0 |
租赁融资增减 | -1.92%-842.47万 | 12.97%-826.57万 | 12.10%-949.71万 | 8.22%-1,080.43万 | 25.15%-246.64万 | -713.60%-1,177.17万 | -714.95%-329.51万 | -765.23%-333.42万 | -44.13%-144.69万 | -1.20%-27.63万 |
发行费用 | ---- | ---- | ---150.83万 | --0 | ---- | ---- | ---- | ---- | ---- | ---- |
已支付现金股息 | 9.82%-5,191.68万 | -34.06%-5,757.06万 | -66.19%-4,294.35万 | 75.35%-2,584.03万 | 68.12%-2,584.03万 | 31.23%-1.05亿 | 8.18%-8,106.02万 | ---- | 60.57%-1.52亿 | -35.81%-3,226.44万 |
融资活动现金净额 | 8.13%-9,903.23万 | -82.96%-1.08亿 | 67.01%-5,891.75万 | -57.18%-1.79亿 | 9.28%-7,492.11万 | 14.69%-1.14亿 | 8.73%-8,258.72万 | 991.11%2,278.67万 | 76.39%-1.33亿 | -24.66%-4,280.84万 |
现金净流量 | ||||||||||
期初现金流 | -9.88%4.95亿 | 34.76%5.49亿 | -14.50%4.07亿 | 16.53%4.76亿 | 4.38%4.6亿 | 39.30%4.09亿 | 11.40%4.4亿 | 39.30%4.09亿 | -32.05%2.93亿 | 38.92%4.15亿 |
现金变动 | 83.74%-1,315.92万 | -163.10%-8,091.3万 | 298.33%1.28亿 | -208.85%-6,465.94万 | -131.20%-487.5万 | -43.69%5,940.41万 | 93.32%-210.85万 | -67.32%3,125.15万 | 182.74%1.05亿 | -63.93%-1,604.89万 |
汇率变动影响 | -88.82%298.38万 | 99.81%2,668.79万 | 401.94%1,335.64万 | -154.06%-442.35万 | 1,761.76%326.38万 | -17.00%818.2万 | 94.18%-19.64万 | -97.52%15.04万 | 190.09%985.77万 | 112.97%1,021.74万 |
期末现金 | -2.06%4.85亿 | -9.88%4.95亿 | 34.76%5.49亿 | -14.50%4.07亿 | 4.56%4.58亿 | 16.53%4.76亿 | 21.56%4.38亿 | 11.40%4.4亿 | 39.30%4.09亿 | 39.30%4.09亿 |
自由现金流 | 556.22%5,836.25万 | -105.86%-1,279.26万 | 40.47%2.18亿 | -9.96%1.55亿 | -51.41%2,982.74万 | -40.72%1.72亿 | 44.14%6,138.25万 | -94.02%568.98万 | 140.98%2.91亿 | 242.59%3,937.26万 |
货币单位 | MYR | MYR | MYR | MYR | MYR | MYR | MYR | MYR | MYR | MYR |
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