新加坡市场个股详情

AIY 奕丰集团

添加自选
  • 7.440
  • +0.040+0.54%
延时10分钟行情休市中 11/29 17:04 (北京)
22.17亿总市值37.58市盈率TTM

奕丰集团关键统计数据

季报+年报
显示同比 yoy
隐藏空行 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
经营活动现金流量(间接法)
经营活动产生的现金
40.60%1.87亿
393.20%1.41亿
1,986.75%1.5亿
410.43%2.8亿
191.62%1.26亿
1,594.41%1.33亿
155.52%2,868.7万
-186.84%-793.7万
4.91%5,484.52万
164.35%4,337.32万
扣除非现金调整前净利润
103.41%1,670.6万
385.29%1,583万
423.05%1,418.5万
404.91%2,700.83万
1,221.56%1,282.13万
402.63%821.3万
211.37%326.2万
-52.20%271.2万
-82.41%534.92万
-86.40%97.02万
非现金项目调整总额
26.41%1,463.6万
39.75%1,168.7万
38.65%1,213.5万
3.91%4,414.63万
51.78%1,545.33万
23.46%1,157.8万
-38.85%836.3万
-3.51%875.2万
35.90%4,248.56万
20.23%1,018.16万
-折旧与摊销
19.42%699.2万
25.75%662.1万
24.45%666.7万
12.75%2,346.56万
28.71%698.86万
11.89%585.5万
1.37%526.5万
8.09%535.7万
13.05%2,081.25万
9.07%542.95万
-在损益中确认的减值损失回拨
33.93%22.5万
-840.00%-4.7万
-42.14%8.1万
-74.92%142.97万
135.17%112.67万
888.24%16.8万
-100.10%-5,000
--14万
12,940.96%570.11万
971.44%47.91万
-联营企业份额
-57.89%8,000
500.00%6,000
113.27%3万
24.47%-22.41万
-159.89%-1.81万
-74.32%1.9万
100.15%1,000
-184.96%-22.6万
-185.98%-29.67万
-85.73%3.03万
-处置利润
-1,610.00%-68.4万
84.63%-12.2万
-42.81%-41.7万
-308.14%-150.34万
-5.03%-37.74万
42.03%-4万
-5,571.43%-79.4万
-494.59%-29.2万
-159.16%-36.84万
-161.15%-35.94万
-汇兑损益净额
4,583.33%188.3万
-230.84%-29.7万
-482.12%-104.2万
-11.92%66.92万
16.81%66.32万
-127.10%-4.2万
180.25%22.7万
-306.82%-17.9万
1,491.78%75.98万
2,506.71%56.78万
-以股票支付的报酬
5.10%337.7万
-2.10%228.3万
15.81%327.5万
13.94%1,206.29万
28.80%368.99万
10.98%321.3万
-15.26%233.2万
36.29%282.8万
78.81%1,058.67万
74.73%286.47万
-递延所得税
61.49%438.6万
151.23%398.2万
170.29%393万
76.69%956.67万
183.56%381.17万
109.41%271.6万
42.15%158.5万
-12.30%145.4万
0.01%541.42万
49.42%134.42万
-其他非现金项目
-398.71%-155.1万
-197.98%-73.9万
-17.88%-38.9万
-967.69%-132.03万
-146.92%-43.13万
-38.84%-31.1万
-2,580.00%-24.8万
-488.24%-33万
-122.04%-12.37万
-234.31%-17.47万
营运资本变动
37.50%1.56亿
567.96%1.14亿
736.20%1.23亿
2,878.30%2.09亿
204.79%9,820.91万
668.33%1.13亿
3,454.58%1,706.2万
-246.20%-1,940.1万
174.66%701.04万
3,901.99%3,222.14万
-应收款(增)减
-271.60%-9,303.1万
387.72%7,658.2万
-233.77%-1.91亿
-494.19%-8,842.77万
-128.91%-2,186.37万
58.17%-2,503.5万
-28.40%1,570.2万
-2.37%-5,723.1万
-131.24%-1,488.21万
44.40%7,563.29万
-预付费用(增)减
38.29%1.6亿
345.16%1.27亿
1,358.46%1.51亿
847.23%2.56亿
282.37%1.23亿
2,063.74%1.16亿
581.28%2,863.4万
-15,458.44%-1,198万
5,444.76%2,700.85万
29,891.05%3,227.15万
-应付款(减)增
764.99%1,959.2万
9,061.11%645.2万
2,244.55%688.4万
263.58%1,462.01万
877.87%1,296.41万
410.27%226.5万
97.91%-7.2万
89.66%-32.1万
-328.42%-893.76万
21.36%-166.66万
-其他流动资产变动
242.26%6,888万
-254.87%-9,653.2万
212.79%1.57亿
600.37%2,676.58万
77.99%-1,628.82万
-56.79%2,012.5万
-22.44%-2,720.2万
-6.27%5,013.1万
106.32%382.17万
-50.00%-7,401.63万
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)
-74.89%-39万
-34.77%-34.5万
-221.05%-30.5万
-74.97%-79.26万
-77.73%-21.86万
-227.94%-22.3万
-89.63%-25.6万
25.20%-9.5万
19.26%-45.3万
-21.73%-12.3万
已收到的利息(经营活动产生的现金流)
已支付退税
-21.67%-247.6万
-15.59%-241.7万
50.37%-26.5万
18.45%-570.28万
-35.23%-104.28万
18.37%-203.5万
32.42%-209.1万
15.91%-53.4万
-34.89%-699.31万
-9.46%-77.11万
其他经营现金流入(流出)
0
0
0
0
0
0
0
0
0
0
经营活动现金净额
40.84%1.84亿
426.66%1.39亿
1,841.55%1.49亿
476.91%2.73亿
194.79%1.25亿
1,240.63%1.31亿
229.33%2,634万
-202.24%-856.6万
1.86%4,739.91万
172.26%4,247.91万
投资活动现金流量
物业、厂房及设备交易净额
-57.08%-224万
3.05%-301.6万
-589.93%-205.6万
-141.44%-652.28万
-84.14%-168.78万
-144.60%-142.6万
-537.50%-311.1万
58.26%-29.8万
54.02%-270.16万
59.98%-91.66万
无形资产交易净额
25.29%-200.3万
18.83%-137.5万
4.58%-641.3万
-24.33%-1,529.77万
-141.33%-420.17万
-35.68%-268.1万
26.19%-169.4万
-6.82%-672.1万
10.10%-1,230.41万
-20.47%-174.11万
业务交易净额
---686.2万
--0
----
-96.06%195万
--0
--0
--195万
----
5,448.83%4,944.31万
100.02%74
投资产品交易净额
-446.62%-1.58亿
-3,383.85%-8,326.4万
-238.54%-6,055.8万
8.98%-4,649.93万
109.98%275.77万
-399.12%-2,897.9万
74.56%-239万
-116.56%-1,788.8万
-23,878.75%-5,108.94万
-1,258.98%-2,762.84万
已收到的股息(投资活动产生的现金流)
-50.00%9,000
--0
-50.00%9,000
-10.29%3.59万
-107.70%-80
-5.26%1.8万
--0
-5.26%1.8万
-0.87%4万
-25.25%1,039
其他投资变动净额
----
-121.57%-11.3万
----
-28,540.84%-19.85万
-164.68%-4,481
-14,400.00%-14.3万
---5.1万
----
90.26%-693
---1,693
投资活动现金净额
-410.38%-1.7亿
-1,557.25%-8,776.8万
-177.30%-6,901.8万
-300.49%-6,653.23万
89.64%-313.63万
-293.68%-3,321.1万
56.51%-529.6万
-172.59%-2,488.9万
17.91%-1,661.26万
-1,570.46%-3,028.66万
融资活动现金流量
债务发行/偿还的净额
-252.24%-105.5万
2,393.12%6,738.9万
31,584.38%1,013.9万
82.42%2,227.37万
52.57%1,862.97万
--69.3万
--270.3万
--3.2万
--1,221.03万
--1,221.03万
普通股发行/回购的净额
--0
-1,023.75%-269.7万
1,587.50%27万
-100.73%-73.81万
-12.49%4.79万
-40.15%-56.2万
87.82%-24万
-99.98%1.6万
16,709.03%1.01亿
279.61%5.47万
租赁融资增减
-2.63%-253.7万
-29.80%-256.1万
-46.61%-289.7万
-10.59%-920.54万
-25.14%-278.44万
-13.03%-247.2万
4.64%-197.3万
-7.22%-197.6万
-14.00%-832.4万
-12.90%-222.5万
已支付现金股息
-37.47%-446.9万
-13.50%-804.4万
----
-0.84%-1,418.08万
-0.91%-384.28万
-0.90%-325.1万
-0.78%-708.7万
----
-15.50%-1,406.21万
-5.77%-380.81万
融资活动现金净额
-44.15%-806.1万
919.87%5,408.7万
489.63%751.2万
-102.04%-185.06万
93.37%1,205.04万
3.75%-559.2万
40.41%-659.7万
-101.90%-192.8万
581.65%9,091.48万
212.15%623.18万
现金净流量
期初现金流
317.86%5.61亿
287.74%4.52亿
138.08%3.6亿
242.71%1.51亿
65.71%2.25亿
-19.18%1.34亿
-37.43%1.17亿
242.72%1.51亿
21.01%4,409.79万
276.44%1.36亿
现金变动
-92.96%647.1万
627.09%1.05亿
347.79%8,767.5万
68.50%2.05亿
628.04%1.34亿
457.43%9,186.7万
194.73%1,444.7万
-124.53%-3,538.3万
1,540.31%1.22亿
123.80%1,842.43万
汇率变动影响
-19.66%-173.5万
1.16%304.5万
427.65%498.1万
124.60%360.87万
139.28%110.47万
69.58%-145万
157.24%301万
151.56%94.4万
-6,278.55%-1,466.92万
-1,989.61%-281.22万
期末现金
151.72%5.65亿
317.86%5.61亿
287.74%4.52亿
138.08%3.6亿
138.08%3.6亿
65.71%2.25亿
-19.18%1.34亿
-37.43%1.17亿
242.71%1.51亿
242.71%1.51亿
自由现金流
42.06%1.8亿
525.00%1.34亿
1,002.87%1.41亿
676.67%2.52亿
199.67%1.19亿
1,003.05%1.27亿
312.14%2,149.3万
-1,235.93%-1,558.5万
20.11%3,239.33万
235.60%3,982.13万
货币单位
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)2024/09/30(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
经营活动现金流量(间接法)
经营活动产生的现金 40.60%1.87亿393.20%1.41亿1,986.75%1.5亿410.43%2.8亿191.62%1.26亿1,594.41%1.33亿155.52%2,868.7万-186.84%-793.7万4.91%5,484.52万164.35%4,337.32万
扣除非现金调整前净利润 103.41%1,670.6万385.29%1,583万423.05%1,418.5万404.91%2,700.83万1,221.56%1,282.13万402.63%821.3万211.37%326.2万-52.20%271.2万-82.41%534.92万-86.40%97.02万
非现金项目调整总额 26.41%1,463.6万39.75%1,168.7万38.65%1,213.5万3.91%4,414.63万51.78%1,545.33万23.46%1,157.8万-38.85%836.3万-3.51%875.2万35.90%4,248.56万20.23%1,018.16万
-折旧与摊销 19.42%699.2万25.75%662.1万24.45%666.7万12.75%2,346.56万28.71%698.86万11.89%585.5万1.37%526.5万8.09%535.7万13.05%2,081.25万9.07%542.95万
-在损益中确认的减值损失回拨 33.93%22.5万-840.00%-4.7万-42.14%8.1万-74.92%142.97万135.17%112.67万888.24%16.8万-100.10%-5,000--14万12,940.96%570.11万971.44%47.91万
-联营企业份额 -57.89%8,000500.00%6,000113.27%3万24.47%-22.41万-159.89%-1.81万-74.32%1.9万100.15%1,000-184.96%-22.6万-185.98%-29.67万-85.73%3.03万
-处置利润 -1,610.00%-68.4万84.63%-12.2万-42.81%-41.7万-308.14%-150.34万-5.03%-37.74万42.03%-4万-5,571.43%-79.4万-494.59%-29.2万-159.16%-36.84万-161.15%-35.94万
-汇兑损益净额 4,583.33%188.3万-230.84%-29.7万-482.12%-104.2万-11.92%66.92万16.81%66.32万-127.10%-4.2万180.25%22.7万-306.82%-17.9万1,491.78%75.98万2,506.71%56.78万
-以股票支付的报酬 5.10%337.7万-2.10%228.3万15.81%327.5万13.94%1,206.29万28.80%368.99万10.98%321.3万-15.26%233.2万36.29%282.8万78.81%1,058.67万74.73%286.47万
-递延所得税 61.49%438.6万151.23%398.2万170.29%393万76.69%956.67万183.56%381.17万109.41%271.6万42.15%158.5万-12.30%145.4万0.01%541.42万49.42%134.42万
-其他非现金项目 -398.71%-155.1万-197.98%-73.9万-17.88%-38.9万-967.69%-132.03万-146.92%-43.13万-38.84%-31.1万-2,580.00%-24.8万-488.24%-33万-122.04%-12.37万-234.31%-17.47万
营运资本变动 37.50%1.56亿567.96%1.14亿736.20%1.23亿2,878.30%2.09亿204.79%9,820.91万668.33%1.13亿3,454.58%1,706.2万-246.20%-1,940.1万174.66%701.04万3,901.99%3,222.14万
-应收款(增)减 -271.60%-9,303.1万387.72%7,658.2万-233.77%-1.91亿-494.19%-8,842.77万-128.91%-2,186.37万58.17%-2,503.5万-28.40%1,570.2万-2.37%-5,723.1万-131.24%-1,488.21万44.40%7,563.29万
-预付费用(增)减 38.29%1.6亿345.16%1.27亿1,358.46%1.51亿847.23%2.56亿282.37%1.23亿2,063.74%1.16亿581.28%2,863.4万-15,458.44%-1,198万5,444.76%2,700.85万29,891.05%3,227.15万
-应付款(减)增 764.99%1,959.2万9,061.11%645.2万2,244.55%688.4万263.58%1,462.01万877.87%1,296.41万410.27%226.5万97.91%-7.2万89.66%-32.1万-328.42%-893.76万21.36%-166.66万
-其他流动资产变动 242.26%6,888万-254.87%-9,653.2万212.79%1.57亿600.37%2,676.58万77.99%-1,628.82万-56.79%2,012.5万-22.44%-2,720.2万-6.27%5,013.1万106.32%382.17万-50.00%-7,401.63万
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) -74.89%-39万-34.77%-34.5万-221.05%-30.5万-74.97%-79.26万-77.73%-21.86万-227.94%-22.3万-89.63%-25.6万25.20%-9.5万19.26%-45.3万-21.73%-12.3万
已收到的利息(经营活动产生的现金流)
已支付退税 -21.67%-247.6万-15.59%-241.7万50.37%-26.5万18.45%-570.28万-35.23%-104.28万18.37%-203.5万32.42%-209.1万15.91%-53.4万-34.89%-699.31万-9.46%-77.11万
其他经营现金流入(流出) 0000000000
经营活动现金净额 40.84%1.84亿426.66%1.39亿1,841.55%1.49亿476.91%2.73亿194.79%1.25亿1,240.63%1.31亿229.33%2,634万-202.24%-856.6万1.86%4,739.91万172.26%4,247.91万
投资活动现金流量
物业、厂房及设备交易净额 -57.08%-224万3.05%-301.6万-589.93%-205.6万-141.44%-652.28万-84.14%-168.78万-144.60%-142.6万-537.50%-311.1万58.26%-29.8万54.02%-270.16万59.98%-91.66万
无形资产交易净额 25.29%-200.3万18.83%-137.5万4.58%-641.3万-24.33%-1,529.77万-141.33%-420.17万-35.68%-268.1万26.19%-169.4万-6.82%-672.1万10.10%-1,230.41万-20.47%-174.11万
业务交易净额 ---686.2万--0-----96.06%195万--0--0--195万----5,448.83%4,944.31万100.02%74
投资产品交易净额 -446.62%-1.58亿-3,383.85%-8,326.4万-238.54%-6,055.8万8.98%-4,649.93万109.98%275.77万-399.12%-2,897.9万74.56%-239万-116.56%-1,788.8万-23,878.75%-5,108.94万-1,258.98%-2,762.84万
已收到的股息(投资活动产生的现金流) -50.00%9,000--0-50.00%9,000-10.29%3.59万-107.70%-80-5.26%1.8万--0-5.26%1.8万-0.87%4万-25.25%1,039
其他投资变动净额 -----121.57%-11.3万-----28,540.84%-19.85万-164.68%-4,481-14,400.00%-14.3万---5.1万----90.26%-693---1,693
投资活动现金净额 -410.38%-1.7亿-1,557.25%-8,776.8万-177.30%-6,901.8万-300.49%-6,653.23万89.64%-313.63万-293.68%-3,321.1万56.51%-529.6万-172.59%-2,488.9万17.91%-1,661.26万-1,570.46%-3,028.66万
融资活动现金流量
债务发行/偿还的净额 -252.24%-105.5万2,393.12%6,738.9万31,584.38%1,013.9万82.42%2,227.37万52.57%1,862.97万--69.3万--270.3万--3.2万--1,221.03万--1,221.03万
普通股发行/回购的净额 --0-1,023.75%-269.7万1,587.50%27万-100.73%-73.81万-12.49%4.79万-40.15%-56.2万87.82%-24万-99.98%1.6万16,709.03%1.01亿279.61%5.47万
租赁融资增减 -2.63%-253.7万-29.80%-256.1万-46.61%-289.7万-10.59%-920.54万-25.14%-278.44万-13.03%-247.2万4.64%-197.3万-7.22%-197.6万-14.00%-832.4万-12.90%-222.5万
已支付现金股息 -37.47%-446.9万-13.50%-804.4万-----0.84%-1,418.08万-0.91%-384.28万-0.90%-325.1万-0.78%-708.7万-----15.50%-1,406.21万-5.77%-380.81万
融资活动现金净额 -44.15%-806.1万919.87%5,408.7万489.63%751.2万-102.04%-185.06万93.37%1,205.04万3.75%-559.2万40.41%-659.7万-101.90%-192.8万581.65%9,091.48万212.15%623.18万
现金净流量
期初现金流 317.86%5.61亿287.74%4.52亿138.08%3.6亿242.71%1.51亿65.71%2.25亿-19.18%1.34亿-37.43%1.17亿242.72%1.51亿21.01%4,409.79万276.44%1.36亿
现金变动 -92.96%647.1万627.09%1.05亿347.79%8,767.5万68.50%2.05亿628.04%1.34亿457.43%9,186.7万194.73%1,444.7万-124.53%-3,538.3万1,540.31%1.22亿123.80%1,842.43万
汇率变动影响 -19.66%-173.5万1.16%304.5万427.65%498.1万124.60%360.87万139.28%110.47万69.58%-145万157.24%301万151.56%94.4万-6,278.55%-1,466.92万-1,989.61%-281.22万
期末现金 151.72%5.65亿317.86%5.61亿287.74%4.52亿138.08%3.6亿138.08%3.6亿65.71%2.25亿-19.18%1.34亿-37.43%1.17亿242.71%1.51亿242.71%1.51亿
自由现金流 42.06%1.8亿525.00%1.34亿1,002.87%1.41亿676.67%2.52亿199.67%1.19亿1,003.05%1.27亿312.14%2,149.3万-1,235.93%-1,558.5万20.11%3,239.33万235.60%3,982.13万
货币单位 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

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