美股市场个股详情

BUMRUNGRAD HOSPITAL CO THB1(NVDR) (BUGDF)

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  • 4.750
  • 0.0000.00%
延时15分钟行情收盘价 01/14 10:00 (美东)
37.76亿总市值17.09市盈率TTM

BUMRUNGRAD HOSPITAL CO THB1(NVDR) (BUGDF) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
经营活动现金流量(间接法)
持续经营活动现金净额
46.12%23.91亿
-22.43%16.42亿
-11.98%21.24亿
22.23%86.71亿
55.35%25.06亿
-23.56%16.36亿
43.26%21.17亿
29.46%24.13亿
14.19%70.94亿
-13.25%16.13亿
持续经营净收入
5.01%25.11亿
-2.48%23.28亿
-13.16%21.44亿
9.24%94.36亿
2.28%21.89亿
-0.43%23.91亿
11.17%23.88亿
26.68%24.69亿
42.80%86.38亿
13.25%21.4亿
持续经营损益
116.82%3,283.7万
-15.29%3,325.4万
-13.23%2,998.4万
110.30%1.33亿
65.41%4,393.25万
-52.60%1,514.5万
242.21%3,925.6万
7.03%3,455.5万
-54.55%6,319.03万
-27.27%2,655.93万
折旧和摊销
0.14%2.69亿
-2.87%2.59亿
-4.20%2.56亿
-1.78%10.77亿
0.13%2.75亿
-1.23%2.69亿
-3.10%2.67亿
-2.92%2.67亿
-1.80%10.97亿
-3.15%2.74亿
其他非现金项目
25.11%-5,362.6万
32.19%-5,454.7万
-29.33%-8,199.8万
-58.69%-3.08亿
-6.84%-9,214.92万
-60.71%-7,160.9万
-123.09%-8,044.3万
-135.09%-6,340.2万
-106.63%-1.94亿
-41.73%-8,625.11万
营运资金变化
839.77%4.68亿
-204.92%-3.32亿
32.85%-1.84亿
117.50%2.06亿
129.21%2.26亿
-132.85%-6,327.2万
228.46%3.17亿
21.81%-2.73亿
-154.03%-11.77亿
-172.03%-7.73亿
-应收款项(增)减
403.95%3.42亿
-287.04%-4.23亿
-34.56%2.14亿
121.83%3.93亿
95.13%-4,732.45万
55.30%-1.12亿
197.13%2.26亿
194.81%3.26亿
-42.49%-18亿
-113.37%-9.71亿
-存货(增)减
-114.32%-115.2万
-120.28%-321.3万
73.24%5,842.5万
120.79%722.73万
-127.72%-5,038.27万
216.90%804.4万
313.65%1,584.2万
1,941.40%3,372.4万
-4,247.39%-3,476.88万
-20.59%-2,212.48万
-预付费用(增)减
-31.85%2,658.3万
56.89%-1,173.2万
-71.77%-4,094.8万
-179.93%-1,453.04万
-266.31%-248.74万
68.38%3,900.8万
-1,253.16%-2,721.2万
-432.95%-2,383.9万
190.81%1,817.86万
-93.96%149.56万
-应付款项及应计费用(减)增
-0.16%5,428.6万
101.64%1.45亿
25.64%-4.58亿
-130.75%-1.78亿
26.52%3.11亿
-87.26%5,437.5万
202.52%7,188.9万
-2,497.30%-6.16亿
-20.36%5.79亿
28.61%2.46亿
-其他流动资产变化
185.72%4,371.8万
-309.87%-608万
23,823.33%2,846.8万
-258.28%-4,106.95万
135.08%715.55万
-1,363.89%-5,100.2万
-95.29%289.7万
98.97%-12万
-88.01%2,594.74万
-133.89%-2,039.86万
-其他流动负债变化
332.51%309万
-222.10%-3,328.6万
143.25%1,465.1万
15.73%3,953.88万
208.45%758.28万
-131.56%-132.9万
536.37%2,726.2万
-81.56%602.3万
127.76%3,416.37万
91.96%-699.23万
非持续经营活动现金净额
经营活动现金净额
46.12%23.91亿
-22.43%16.42亿
-11.98%21.24亿
22.23%86.71亿
55.35%25.06亿
-23.56%16.36亿
43.26%21.17亿
29.46%24.13亿
14.19%70.94亿
-13.25%16.13亿
投资活动现金流量
持续投资活动现金净额
450.38%14.05亿
-129.32%-5.11亿
41.13%-21.1亿
-105.26%-49.85亿
-3,046.74%-27.44亿
83.77%-4.01亿
-7.21%17.45亿
-85.52%-35.85亿
24.64%-24.29亿
105.96%9,311.39万
固定资产交易的净现金流
-62.12%-4.57亿
-50.43%-4.03亿
-8.33%-3.66亿
25.06%-11.74亿
18.26%-2.86亿
37.36%-2.82亿
49.17%-2.68亿
-41.44%-3.38亿
-37.43%-15.66亿
-79.48%-3.5亿
无形资产交易净现金流
-4.07%-3,271.1万
-103.24%-3,986.9万
-10.16%-2,414.5万
-1.47%-1.05亿
-88.29%-3,159.71万
-40.76%-3,143.3万
33.97%-1,961.7万
35.97%-2,191.9万
-38.07%-1.03亿
3.26%-1,678.13万
业务交易的净现金流
--0
--0
--0
-602.06%-1.18亿
--0
-4,707.69%-1.08亿
-566.67%-1,000万
--0
-3,247.29%-1,673.64万
---1,300.04万
投资产品交易的净现金流
3,369.87%18.59亿
-106.03%-1.2亿
43.30%-18.59亿
-342.96%-37.99亿
-661.44%-24.47亿
97.20%-5,684万
-17.35%19.83亿
-97.24%-32.78亿
58.20%-8.58亿
131.87%4.36亿
非持续投资活动现金净额
投资活动现金净额
450.38%14.05亿
-129.32%-5.11亿
41.13%-21.1亿
-105.26%-49.85亿
-3,046.74%-27.44亿
83.77%-4.01亿
-7.21%17.45亿
-85.52%-35.85亿
24.64%-24.29亿
105.96%9,311.39万
融资活动现金流量
持续融资活动现金净额
1.74%-16.4亿
4.25%-24.08亿
-14.25%-2,447.4万
-38.46%-42.24亿
47.72%-1,895.11万
-50.58%-16.69亿
-33.56%-25.14亿
7.95%-2,142.2万
-14.86%-30.51亿
-75.82%-3,624.7万
债务发行/偿还的净现金流
14.52%-863.7万
-10.51%-1,261.1万
-47.03%-912万
-38.70%-3,853.72万
-68.73%-1,081.82万
-51.03%-1,010.4万
-68.24%-1,141.2万
21.47%-620.3万
34.78%-2,778.36万
38.93%-641.16万
现金股利支付
0.56%-15.89亿
4.73%-23.85亿
-2,171.43%-15.9万
-39.57%-41.01亿
29.39%-69.63万
-49.08%-15.98亿
-34.16%-25.03亿
95.27%-7,000
-15.57%-29.38亿
-338.62%-98.6万
其他融资活动的净现金流额
---2,813.9万
----
----
0.31%-5,417.92万
74.22%-743.62万
----
----
----
-33.66%-5,434.93万
-191.61%-2,884.93万
非持续融资活动现金净额
融资活动现金净额
1.74%-16.4亿
4.25%-24.08亿
-14.25%-2,447.4万
-38.46%-42.24亿
47.72%-1,895.11万
-50.58%-16.69亿
-33.56%-25.14亿
7.95%-2,142.2万
-14.86%-30.51亿
-75.82%-3,624.7万
现金净流量
期初现金流
-50.25%19.51亿
24.87%32.46亿
-13.64%32.59亿
80.48%37.74亿
69.90%35.07亿
12.08%39.22亿
30.10%25.99亿
80.48%37.74亿
16.04%20.91亿
11.89%20.64亿
当期现金流变化
596.09%21.55亿
-194.79%-12.77亿
99.07%-1,111.7万
-133.30%-5.38亿
-115.40%-2.57亿
69.80%-4.34亿
-8.68%13.47亿
-1,200.57%-11.93亿
383.54%16.15亿
507.33%16.7亿
利率变动影响
-104.22%-81.2万
27.13%-1,759.3万
-113.37%-249.1万
-65.91%2,316.32万
-76.38%945.22万
564.89%1,922.2万
-191.29%-2,414.4万
1,428.08%1,863.3万
251.37%6,795.01万
239.11%4,001.41万
期末现金流
17.06%41.05亿
-50.25%19.51亿
24.87%32.46亿
-13.64%32.59亿
-13.64%32.59亿
69.90%35.07亿
12.08%39.22亿
30.10%25.99亿
80.48%37.74亿
80.48%37.74亿
自由现金流
43.66%19亿
-34.94%11.68亿
-15.79%17.29亿
35.64%73.5亿
75.58%21.8亿
-20.70%13.22亿
95.16%17.95亿
29.09%20.53亿
8.56%54.19亿
-24.57%12.42亿
货币单位
THB
THB
THB
THB
THB
THB
THB
THB
THB
THB
(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31
经营活动现金流量(间接法)
持续经营活动现金净额 46.12%23.91亿-22.43%16.42亿-11.98%21.24亿22.23%86.71亿55.35%25.06亿-23.56%16.36亿43.26%21.17亿29.46%24.13亿14.19%70.94亿-13.25%16.13亿
持续经营净收入 5.01%25.11亿-2.48%23.28亿-13.16%21.44亿9.24%94.36亿2.28%21.89亿-0.43%23.91亿11.17%23.88亿26.68%24.69亿42.80%86.38亿13.25%21.4亿
持续经营损益 116.82%3,283.7万-15.29%3,325.4万-13.23%2,998.4万110.30%1.33亿65.41%4,393.25万-52.60%1,514.5万242.21%3,925.6万7.03%3,455.5万-54.55%6,319.03万-27.27%2,655.93万
折旧和摊销 0.14%2.69亿-2.87%2.59亿-4.20%2.56亿-1.78%10.77亿0.13%2.75亿-1.23%2.69亿-3.10%2.67亿-2.92%2.67亿-1.80%10.97亿-3.15%2.74亿
其他非现金项目 25.11%-5,362.6万32.19%-5,454.7万-29.33%-8,199.8万-58.69%-3.08亿-6.84%-9,214.92万-60.71%-7,160.9万-123.09%-8,044.3万-135.09%-6,340.2万-106.63%-1.94亿-41.73%-8,625.11万
营运资金变化 839.77%4.68亿-204.92%-3.32亿32.85%-1.84亿117.50%2.06亿129.21%2.26亿-132.85%-6,327.2万228.46%3.17亿21.81%-2.73亿-154.03%-11.77亿-172.03%-7.73亿
-应收款项(增)减 403.95%3.42亿-287.04%-4.23亿-34.56%2.14亿121.83%3.93亿95.13%-4,732.45万55.30%-1.12亿197.13%2.26亿194.81%3.26亿-42.49%-18亿-113.37%-9.71亿
-存货(增)减 -114.32%-115.2万-120.28%-321.3万73.24%5,842.5万120.79%722.73万-127.72%-5,038.27万216.90%804.4万313.65%1,584.2万1,941.40%3,372.4万-4,247.39%-3,476.88万-20.59%-2,212.48万
-预付费用(增)减 -31.85%2,658.3万56.89%-1,173.2万-71.77%-4,094.8万-179.93%-1,453.04万-266.31%-248.74万68.38%3,900.8万-1,253.16%-2,721.2万-432.95%-2,383.9万190.81%1,817.86万-93.96%149.56万
-应付款项及应计费用(减)增 -0.16%5,428.6万101.64%1.45亿25.64%-4.58亿-130.75%-1.78亿26.52%3.11亿-87.26%5,437.5万202.52%7,188.9万-2,497.30%-6.16亿-20.36%5.79亿28.61%2.46亿
-其他流动资产变化 185.72%4,371.8万-309.87%-608万23,823.33%2,846.8万-258.28%-4,106.95万135.08%715.55万-1,363.89%-5,100.2万-95.29%289.7万98.97%-12万-88.01%2,594.74万-133.89%-2,039.86万
-其他流动负债变化 332.51%309万-222.10%-3,328.6万143.25%1,465.1万15.73%3,953.88万208.45%758.28万-131.56%-132.9万536.37%2,726.2万-81.56%602.3万127.76%3,416.37万91.96%-699.23万
非持续经营活动现金净额
经营活动现金净额 46.12%23.91亿-22.43%16.42亿-11.98%21.24亿22.23%86.71亿55.35%25.06亿-23.56%16.36亿43.26%21.17亿29.46%24.13亿14.19%70.94亿-13.25%16.13亿
投资活动现金流量
持续投资活动现金净额 450.38%14.05亿-129.32%-5.11亿41.13%-21.1亿-105.26%-49.85亿-3,046.74%-27.44亿83.77%-4.01亿-7.21%17.45亿-85.52%-35.85亿24.64%-24.29亿105.96%9,311.39万
固定资产交易的净现金流 -62.12%-4.57亿-50.43%-4.03亿-8.33%-3.66亿25.06%-11.74亿18.26%-2.86亿37.36%-2.82亿49.17%-2.68亿-41.44%-3.38亿-37.43%-15.66亿-79.48%-3.5亿
无形资产交易净现金流 -4.07%-3,271.1万-103.24%-3,986.9万-10.16%-2,414.5万-1.47%-1.05亿-88.29%-3,159.71万-40.76%-3,143.3万33.97%-1,961.7万35.97%-2,191.9万-38.07%-1.03亿3.26%-1,678.13万
业务交易的净现金流 --0--0--0-602.06%-1.18亿--0-4,707.69%-1.08亿-566.67%-1,000万--0-3,247.29%-1,673.64万---1,300.04万
投资产品交易的净现金流 3,369.87%18.59亿-106.03%-1.2亿43.30%-18.59亿-342.96%-37.99亿-661.44%-24.47亿97.20%-5,684万-17.35%19.83亿-97.24%-32.78亿58.20%-8.58亿131.87%4.36亿
非持续投资活动现金净额
投资活动现金净额 450.38%14.05亿-129.32%-5.11亿41.13%-21.1亿-105.26%-49.85亿-3,046.74%-27.44亿83.77%-4.01亿-7.21%17.45亿-85.52%-35.85亿24.64%-24.29亿105.96%9,311.39万
融资活动现金流量
持续融资活动现金净额 1.74%-16.4亿4.25%-24.08亿-14.25%-2,447.4万-38.46%-42.24亿47.72%-1,895.11万-50.58%-16.69亿-33.56%-25.14亿7.95%-2,142.2万-14.86%-30.51亿-75.82%-3,624.7万
债务发行/偿还的净现金流 14.52%-863.7万-10.51%-1,261.1万-47.03%-912万-38.70%-3,853.72万-68.73%-1,081.82万-51.03%-1,010.4万-68.24%-1,141.2万21.47%-620.3万34.78%-2,778.36万38.93%-641.16万
现金股利支付 0.56%-15.89亿4.73%-23.85亿-2,171.43%-15.9万-39.57%-41.01亿29.39%-69.63万-49.08%-15.98亿-34.16%-25.03亿95.27%-7,000-15.57%-29.38亿-338.62%-98.6万
其他融资活动的净现金流额 ---2,813.9万--------0.31%-5,417.92万74.22%-743.62万-------------33.66%-5,434.93万-191.61%-2,884.93万
非持续融资活动现金净额
融资活动现金净额 1.74%-16.4亿4.25%-24.08亿-14.25%-2,447.4万-38.46%-42.24亿47.72%-1,895.11万-50.58%-16.69亿-33.56%-25.14亿7.95%-2,142.2万-14.86%-30.51亿-75.82%-3,624.7万
现金净流量
期初现金流 -50.25%19.51亿24.87%32.46亿-13.64%32.59亿80.48%37.74亿69.90%35.07亿12.08%39.22亿30.10%25.99亿80.48%37.74亿16.04%20.91亿11.89%20.64亿
当期现金流变化 596.09%21.55亿-194.79%-12.77亿99.07%-1,111.7万-133.30%-5.38亿-115.40%-2.57亿69.80%-4.34亿-8.68%13.47亿-1,200.57%-11.93亿383.54%16.15亿507.33%16.7亿
利率变动影响 -104.22%-81.2万27.13%-1,759.3万-113.37%-249.1万-65.91%2,316.32万-76.38%945.22万564.89%1,922.2万-191.29%-2,414.4万1,428.08%1,863.3万251.37%6,795.01万239.11%4,001.41万
期末现金流 17.06%41.05亿-50.25%19.51亿24.87%32.46亿-13.64%32.59亿-13.64%32.59亿69.90%35.07亿12.08%39.22亿30.10%25.99亿80.48%37.74亿80.48%37.74亿
自由现金流 43.66%19亿-34.94%11.68亿-15.79%17.29亿35.64%73.5亿75.58%21.8亿-20.70%13.22亿95.16%17.95亿29.09%20.53亿8.56%54.19亿-24.57%12.42亿
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