澳洲市场个股详情

Prime Financial Group Ltd (PFG)

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延时20分钟行情休市中 01/16 16:00 (悉尼)
6391.75万总市值12.63市盈率(静)

Prime Financial Group Ltd (PFG) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2025/06/30
(FY)2024/06/30
(FY)2023/06/30
(FY)2022/06/30
(FY)2021/06/30
(FY)2020/06/30
(FY)2019/06/30
(FY)2018/06/30
(FY)2017/06/30
(FY)2016/06/30
经营活动现金流量(直接法)
经营活动产生的现金收入
18.87%4,637.72万
15.44%3,901.54万
29.48%3,379.74万
12.01%2,610.3万
3.89%2,330.44万
-3.24%2,243.26万
5.74%2,318.31万
11.40%2,192.51万
66.53%1,968.09万
-6.74%1,181.8万
来自客户的收入
19.59%4,675.09万
16.06%3,909.18万
29.32%3,368.32万
11.76%2,604.58万
3.89%2,330.44万
-1.88%2,243.26万
7.22%2,286.12万
12.91%2,132.26万
80.03%1,888.51万
-17.22%1,048.97万
经营活动产生的其他现金收入
-389.28%-37.38万
-166.85%-7.64万
99.66%11.43万
--5.72万
----
----
-46.57%32.19万
-24.29%60.25万
-40.09%79.58万
--132.83万
现金付款
-30.03%-4,112.1万
-17.19%-3,162.41万
-41.46%-2,698.52万
-15.47%-1,907.58万
6.32%-1,651.95万
12.26%-1,763.44万
-11.92%-2,009.85万
-18.58%-1,795.72万
-97.80%-1,514.31万
13.05%-765.58万
向供应商支付的商品和服务款项
-30.03%-4,112.1万
-17.19%-3,162.41万
-41.46%-2,698.52万
-15.47%-1,907.58万
6.32%-1,651.95万
12.26%-1,763.44万
-11.92%-2,009.85万
-18.58%-1,795.72万
-97.80%-1,514.31万
13.05%-765.58万
已支付的直接利息
-37.47%-129.62万
-84.93%-94.29万
-32.02%-50.99万
17.62%-38.62万
22.10%-46.88万
2.23%-60.18万
-10.62%-61.56万
-38.17%-55.64万
-87.17%-40.27万
48.95%-21.52万
已收到的直接利息
-5.53%1.2万
32.28%1.27万
12.04%9,563
--8,535
----
----
----
----
----
-50.00%8,000
已支付的直接退税
-45.25%-104.51万
65.65%-71.95万
-313.10%-209.45万
34.33%-50.7万
-67.78%-77.2万
44.57%-46.01万
-13.95%-83.02万
33.28%-72.85万
11.49%-109.19万
-130.88%-123.36万
经营活动现金净额
-49.02%292.69万
36.14%574.15万
-31.34%421.74万
10.79%614.25万
48.39%554.41万
127.97%373.62万
-38.91%163.89万
-11.84%268.29万
11.82%304.32万
-7.03%272.15万
投资活动现金流量
持续投资活动现金净额
-30.34%-389.46万
17.63%-298.8万
-272.34%-362.74万
-20.09%-97.42万
71.71%-81.12万
-8.89%-286.75万
-252.28%-263.34万
85.76%-74.75万
-1,430.49%-524.96万
127.43%39.46万
资本性支出
----
----
----
---16.34万
----
----
----
15.17%-42.27万
---49.83万
----
固定资产交易净额
-38.56%-41.41万
-93.37%-29.88万
-26.97%-15.45万
-388.92%-12.17万
12.52%-2.49万
57.95%-2.85万
59.23%-6.77万
57.09%-16.6万
---38.69万
----
无形资产交易净额
80.39%-3.39万
89.12%-17.28万
-872.41%-158.86万
16.24%-16.34万
33.31%-19.51万
-17.30%-29.25万
---24.94万
----
----
----
业务交易净额
-14.58%-309.42万
-29.79%-270.04万
-362.87%-208.06万
23.98%-44.95万
43.82%-59.13万
-140.74%-105.25万
372.62%258.37万
137.12%54.67万
70.66%-147.29万
-137.20%-502.01万
投资产品交易净额
---35.25万
----
----
----
----
----
----
-55.80%-42.27万
-103.72%-27.13万
--728.87万
已收到的股息(投资活动产生的现金流)
----
----
----
----
----
----
----
43.33%-70.55万
-145.20%-124.49万
21.99%-50.77万
其他投资活动净额
----
-6.26%18.41万
181.95%19.64万
---23.96万
----
69.51%-149.4万
---490.01万
----
-0.66%-137.53万
-199.48%-136.63万
非持续投资活动现金净额
投资活动现金净额
-30.34%-389.46万
17.63%-298.8万
-272.34%-362.74万
-20.09%-97.42万
71.71%-81.12万
-8.89%-286.75万
-252.28%-263.34万
85.76%-74.75万
-1,430.49%-524.96万
127.43%39.46万
融资活动现金流量
持续融资活动现金净额
187.46%287.66万
-1,113.36%-328.9万
106.36%32.46万
-7.24%-510.54万
-383.78%-476.06万
-403.34%-98.41万
119.30%32.44万
-207.20%-168.08万
164.03%156.79万
-125.15%-244.86万
债务发行/偿还的净额
335.64%551.21万
-75.47%126.53万
383.44%515.82万
36.88%-181.98万
-1,330.90%-288.33万
-77.40%23.42万
8,073.58%103.62万
-100.35%-1.3万
184.42%369.82万
-1,022.74%-438.06万
普通股发行/回购的净额
3,487.16%202.64万
80.14%-5.98万
-350.19%-30.13万
-83.64%12.04万
113.91%73.61万
-30.11%34.41万
--49.24万
----
280.44%51.08万
-98.50%-28.31万
已支付现金股息
-18.13%-390.05万
-3.54%-330.19万
-30.22%-318.9万
-42.69%-244.9万
-130.02%-171.63万
38.04%-74.62万
27.80%-120.42万
-8.00%-166.78万
-8.59%-154.43万
-0.18%-142.22万
其他融资活动的净现金流额
68.08%-76.15万
-0.50%-238.53万
-24.02%-237.35万
-6.66%-191.38万
-9.91%-179.43万
---163.25万
----
----
-130.15%-109.68万
--363.73万
非持续融资活动现金净额
融资活动现金净额
187.46%287.66万
-1,113.36%-328.9万
106.36%32.46万
-7.24%-510.54万
-383.78%-476.06万
-403.34%-98.41万
119.30%32.44万
-207.20%-168.08万
164.03%156.79万
-125.15%-244.86万
现金净流量
期初现金流
-51.32%50.79万
710.65%104.33万
95.81%12.87万
-29.70%6.57万
-55.22%9.35万
-76.24%20.88万
40.77%87.88万
-50.56%62.43万
112.12%126.28万
206.71%59.53万
当期现金流变化
456.51%190.89万
-158.54%-53.54万
1,352.35%91.46万
326.80%6.3万
75.92%-2.78万
82.79%-11.53万
-363.23%-67万
139.87%25.45万
-195.66%-63.85万
66.37%66.75万
期末现金流
375.87%241.67万
-51.32%50.79万
710.65%104.33万
95.81%12.87万
-29.70%6.57万
-55.22%9.35万
-76.24%20.88万
40.77%87.88万
-50.56%62.43万
112.12%126.28万
自由现金流
-52.96%247.89万
112.99%526.99万
-56.55%247.43万
6.95%569.41万
55.89%532.41万
158.36%341.53万
-36.88%132.19万
-2.96%209.42万
-20.71%215.8万
-5.59%272.15万
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)2025/06/30(FY)2024/06/30(FY)2023/06/30(FY)2022/06/30(FY)2021/06/30(FY)2020/06/30(FY)2019/06/30(FY)2018/06/30(FY)2017/06/30(FY)2016/06/30
经营活动现金流量(直接法)
经营活动产生的现金收入 18.87%4,637.72万15.44%3,901.54万29.48%3,379.74万12.01%2,610.3万3.89%2,330.44万-3.24%2,243.26万5.74%2,318.31万11.40%2,192.51万66.53%1,968.09万-6.74%1,181.8万
来自客户的收入 19.59%4,675.09万16.06%3,909.18万29.32%3,368.32万11.76%2,604.58万3.89%2,330.44万-1.88%2,243.26万7.22%2,286.12万12.91%2,132.26万80.03%1,888.51万-17.22%1,048.97万
经营活动产生的其他现金收入 -389.28%-37.38万-166.85%-7.64万99.66%11.43万--5.72万---------46.57%32.19万-24.29%60.25万-40.09%79.58万--132.83万
现金付款 -30.03%-4,112.1万-17.19%-3,162.41万-41.46%-2,698.52万-15.47%-1,907.58万6.32%-1,651.95万12.26%-1,763.44万-11.92%-2,009.85万-18.58%-1,795.72万-97.80%-1,514.31万13.05%-765.58万
向供应商支付的商品和服务款项 -30.03%-4,112.1万-17.19%-3,162.41万-41.46%-2,698.52万-15.47%-1,907.58万6.32%-1,651.95万12.26%-1,763.44万-11.92%-2,009.85万-18.58%-1,795.72万-97.80%-1,514.31万13.05%-765.58万
已支付的直接利息 -37.47%-129.62万-84.93%-94.29万-32.02%-50.99万17.62%-38.62万22.10%-46.88万2.23%-60.18万-10.62%-61.56万-38.17%-55.64万-87.17%-40.27万48.95%-21.52万
已收到的直接利息 -5.53%1.2万32.28%1.27万12.04%9,563--8,535---------------------50.00%8,000
已支付的直接退税 -45.25%-104.51万65.65%-71.95万-313.10%-209.45万34.33%-50.7万-67.78%-77.2万44.57%-46.01万-13.95%-83.02万33.28%-72.85万11.49%-109.19万-130.88%-123.36万
经营活动现金净额 -49.02%292.69万36.14%574.15万-31.34%421.74万10.79%614.25万48.39%554.41万127.97%373.62万-38.91%163.89万-11.84%268.29万11.82%304.32万-7.03%272.15万
投资活动现金流量
持续投资活动现金净额 -30.34%-389.46万17.63%-298.8万-272.34%-362.74万-20.09%-97.42万71.71%-81.12万-8.89%-286.75万-252.28%-263.34万85.76%-74.75万-1,430.49%-524.96万127.43%39.46万
资本性支出 ---------------16.34万------------15.17%-42.27万---49.83万----
固定资产交易净额 -38.56%-41.41万-93.37%-29.88万-26.97%-15.45万-388.92%-12.17万12.52%-2.49万57.95%-2.85万59.23%-6.77万57.09%-16.6万---38.69万----
无形资产交易净额 80.39%-3.39万89.12%-17.28万-872.41%-158.86万16.24%-16.34万33.31%-19.51万-17.30%-29.25万---24.94万------------
业务交易净额 -14.58%-309.42万-29.79%-270.04万-362.87%-208.06万23.98%-44.95万43.82%-59.13万-140.74%-105.25万372.62%258.37万137.12%54.67万70.66%-147.29万-137.20%-502.01万
投资产品交易净额 ---35.25万-------------------------55.80%-42.27万-103.72%-27.13万--728.87万
已收到的股息(投资活动产生的现金流) ----------------------------43.33%-70.55万-145.20%-124.49万21.99%-50.77万
其他投资活动净额 -----6.26%18.41万181.95%19.64万---23.96万----69.51%-149.4万---490.01万-----0.66%-137.53万-199.48%-136.63万
非持续投资活动现金净额
投资活动现金净额 -30.34%-389.46万17.63%-298.8万-272.34%-362.74万-20.09%-97.42万71.71%-81.12万-8.89%-286.75万-252.28%-263.34万85.76%-74.75万-1,430.49%-524.96万127.43%39.46万
融资活动现金流量
持续融资活动现金净额 187.46%287.66万-1,113.36%-328.9万106.36%32.46万-7.24%-510.54万-383.78%-476.06万-403.34%-98.41万119.30%32.44万-207.20%-168.08万164.03%156.79万-125.15%-244.86万
债务发行/偿还的净额 335.64%551.21万-75.47%126.53万383.44%515.82万36.88%-181.98万-1,330.90%-288.33万-77.40%23.42万8,073.58%103.62万-100.35%-1.3万184.42%369.82万-1,022.74%-438.06万
普通股发行/回购的净额 3,487.16%202.64万80.14%-5.98万-350.19%-30.13万-83.64%12.04万113.91%73.61万-30.11%34.41万--49.24万----280.44%51.08万-98.50%-28.31万
已支付现金股息 -18.13%-390.05万-3.54%-330.19万-30.22%-318.9万-42.69%-244.9万-130.02%-171.63万38.04%-74.62万27.80%-120.42万-8.00%-166.78万-8.59%-154.43万-0.18%-142.22万
其他融资活动的净现金流额 68.08%-76.15万-0.50%-238.53万-24.02%-237.35万-6.66%-191.38万-9.91%-179.43万---163.25万---------130.15%-109.68万--363.73万
非持续融资活动现金净额
融资活动现金净额 187.46%287.66万-1,113.36%-328.9万106.36%32.46万-7.24%-510.54万-383.78%-476.06万-403.34%-98.41万119.30%32.44万-207.20%-168.08万164.03%156.79万-125.15%-244.86万
现金净流量
期初现金流 -51.32%50.79万710.65%104.33万95.81%12.87万-29.70%6.57万-55.22%9.35万-76.24%20.88万40.77%87.88万-50.56%62.43万112.12%126.28万206.71%59.53万
当期现金流变化 456.51%190.89万-158.54%-53.54万1,352.35%91.46万326.80%6.3万75.92%-2.78万82.79%-11.53万-363.23%-67万139.87%25.45万-195.66%-63.85万66.37%66.75万
期末现金流 375.87%241.67万-51.32%50.79万710.65%104.33万95.81%12.87万-29.70%6.57万-55.22%9.35万-76.24%20.88万40.77%87.88万-50.56%62.43万112.12%126.28万
自由现金流 -52.96%247.89万112.99%526.99万-56.55%247.43万6.95%569.41万55.89%532.41万158.36%341.53万-36.88%132.19万-2.96%209.42万-20.71%215.8万-5.59%272.15万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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