新加坡市場個股詳情

S61 新捷運

添加自選
  • 2.970
  • +0.030+1.02%
延時10分鐘行情未開盤 04/30 17:04 (北京)
9.27億總市值13.20市盈率TTM

新捷運關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/12/31
(FY)2023/12/31
(FY)2022/12/31
(FY)2021/12/31
(FY)2020/12/31
(FY)2019/12/31
(Q4)2019/12/31
(Q3)2019/09/30
(Q2)2019/06/30
(Q1)2019/03/31
經營活動現金流量(間接法)
經營活動產生的現金
-40.21%6,400萬
-48.01%1.07億
-15.30%2.06億
40.86%2.43億
51.06%1.73億
-30.59%1.14億
-43.93%5,311.6萬
24.87%6,308.2萬
-42.99%3,243.7萬
8.44%-3,440萬
扣除非現金調整前淨利潤
-5.08%8,350.5萬
6.04%8,797.1萬
58.00%8,295.9萬
-31.82%5,250.6萬
-22.51%7,700.8萬
5.51%9,937.4萬
-28.68%2,029.5萬
4.72%2,431.3萬
28.81%2,938.7萬
28.84%2,537.9萬
非現金項目調整總額
-2.30%9,172.9萬
-15.89%9,389.2萬
-13.72%1.12億
-5.57%1.29億
15.55%1.37億
19.09%1.19億
31.84%3,151.6萬
17.83%2,909.4萬
18.49%2,927.7萬
9.25%2,867.3萬
-折舊與攤銷
-5.90%8,715.8萬
-1.46%9,261.8萬
-10.77%9,399.1萬
-3.40%1.05億
4.78%1.09億
11.74%1.04億
16.14%2,655.7萬
13.16%2,603萬
11.84%2,586.5萬
6.12%2,561.8萬
-在損益中確認的減值損失回撥
----
----
----
-65.52%695萬
968.31%2,015.9萬
--188.7萬
----
----
----
----
-資產準備金與勾銷
6.44%1,343萬
-39.12%1,261.8萬
9,194.17%2,072.6萬
-95.62%22.3萬
-40.53%509.5萬
798.01%856.7萬
2,081.50%754.8萬
126.83%46.5萬
44.00%28.8萬
31.03%26.6萬
-處置利潤
102.15%18.8萬
126.05%9.3萬
-102.26%-35.7萬
5,870.80%1,581.2萬
-260.53%-27.4萬
70.88%-7.6萬
117.93%2.6萬
67.92%-1.7萬
-41.67%-3.4萬
-30.77%-5.1萬
-以股票支付的報酬
31.57%129.2萬
206.88%98.2萬
--32萬
--0
----
----
----
----
----
----
-其他非現金項目
16.75%-1,033.9萬
-307.05%-1,241.9萬
-391.13%-305.1萬
-64.77%104.8萬
-27.65%297.5萬
-28.14%411.2萬
-637.87%-450.2萬
70.09%261.6萬
124.77%315.8萬
46.24%284萬
營運資本變動
-48.66%-1.11億
-762.45%-7,482.4萬
-81.54%1,129.5萬
247.62%6,118.6萬
60.03%-4,144.7萬
-255.73%-1.04億
-96.92%130.5萬
270.97%967.5萬
-379.67%-2,622.7萬
-5.91%-8,845.2萬
-應收款(增)減
-7.15%-4,615.6萬
-515.83%-4,307.7萬
-118.57%-699.5萬
167.40%3,766.2萬
-2.84%-5,588.1萬
-111.21%-5,433.7萬
----
----
----
----
-存貨(增)減
16.88%-2,127萬
-109.86%-2,559萬
-443.69%-1,219.4萬
326.28%354.8萬
89.76%-156.8萬
33.78%-1,531.6萬
----
----
----
----
-預付費用(增)減
688.46%61.2萬
-122.27%-10.4萬
-64.54%46.7萬
395.96%131.7萬
-202.77%-44.5萬
-12.88%43.3萬
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----
----
----
-應付款(減)增
-13,703.03%-3,591.2萬
-99.24%26.4萬
-28.42%3,465.1萬
773.32%4,841.2萬
79.10%-719萬
-273.39%-3,440.1萬
----
----
----
----
-貸款、租賃及其他損失準備金
-35.46%-817.1萬
-43.24%-603.2萬
12.25%-421.1萬
---479.9萬
----
----
----
----
----
----
-其他流動資產變動
-18.25%-33.7萬
32.62%-28.5萬
98.30%-42.3萬
-205.57%-2,495.4萬
30,403.85%2,363.7萬
87.66%-7.8萬
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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)
38.84%-70.4萬
21.86%-115.1萬
-13.31%-147.3萬
38.42%-130萬
9.82%-211.1萬
-234.1萬
-57萬
-57.7萬
-58.1萬
-61.3萬
已收到的利息(經營活動產生的現金流)
已支付退稅
30.64%-2,162.9萬
-41.70%-3,118.2萬
-26.30%-2,200.6萬
-23.37%-1,742.3萬
35.41%-1,412.2萬
-64,202.94%-2,186.3萬
-109,175.00%-437.1萬
-50,330.77%-655.6萬
-38,476.47%-655.8萬
-437.8萬
其他經營現金流入(流出)
9.64%18.2萬
1.84%16.6萬
16.3萬
0
19.94%-511萬
-11.86%-638.3萬
-11.86%-638.3萬
0
0
0
經營活動現金淨額
-44.11%4,184.9萬
-58.99%7,487.2萬
-18.62%1.83億
48.36%2.24億
80.78%1.51億
-47.34%8,364.8萬
-53.06%4,179.2萬
10.78%5,594.9萬
-55.53%2,529.8萬
-4.84%-3,939.1萬
投資活動現金流量
物業、廠房及設備交易淨額
139.95%616.6萬
-66.46%-1,543.4萬
71.75%-927.2萬
-99.34%-3,281.8萬
42.94%-1,646.3萬
-1,422.88%-2,885.2萬
25.19%-915.3萬
-108.45%-1,026.2萬
-37.97%-518.5萬
-118.41%-425.2萬
已收到的利息(投資活動產生的現金流)
-5.85%1,191.8萬
321.79%1,265.8萬
967.97%300.1萬
4.07%28.1萬
91.49%27萬
-54.22%14.1萬
-84.87%2.3萬
-91.43%3,000
-85.95%1.7萬
--9.8萬
投資活動現金淨額
751.44%1,808.4萬
55.73%-277.6萬
80.73%-627.1萬
-100.93%-3,253.7萬
43.60%-1,619.3萬
-483.38%-2,871.1萬
-28.90%-913萬
-109.88%-1,025.9萬
-42.10%-516.8萬
-117.99%-415.4萬
融資活動現金流量
債務發行/償還的淨額
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----
50.00%-2,500萬
---5,000萬
--0
89.38%-600萬
20.00%-2,000萬
116.05%650萬
21.88%1,950萬
普通股發行/回購的淨額
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----
----
----
----
-74.82%30.9萬
--0
--0
-93.04%7.1萬
14.42%23.8萬
租賃融資增減
-9.55%-1,210.4萬
-6.17%-1,104.9萬
2.75%-1,040.7萬
5.54%-1,070.1萬
-11.54%-1,132.9萬
---1,015.7萬
---264.9萬
---258萬
---249.4萬
---243.4萬
已支付現金股息
-1.24%-3,482.9萬
-39.64%-3,440.4萬
34.44%-2,463.7萬
-104.23%-3,757.9萬
58.59%-1,840萬
-46.29%-4,443.7萬
--0
-23.35%-2,229.8萬
-80.02%-2,213.9萬
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已付利息(籌資活動產生的現金流)
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----
----
95.77%-5.1萬
36.79%-120.6萬
49.43%-190.8萬
51.59%-41.1萬
44.01%-54.7萬
37.71%-58.3萬
63.70%-36.7萬
其他籌資費用淨額
55.56%2.8萬
0.00%1.8萬
--1.8萬
----
-25.00%6,000
-65.22%8,000
--0
-62.50%3,000
--5,000
----
融資活動現金淨額
-3.24%-4,690.5萬
-29.72%-4,543.5萬
52.24%-3,502.6萬
9.39%-7,333.1萬
-44.04%-8,092.9萬
59.55%-5,618.5萬
84.20%-906萬
-3.12%-4,542.2萬
64.64%-1,864萬
11.37%1,693.7萬
現金淨流量
期初現金流
7.72%3.72億
69.24%3.45億
138.47%2.04億
171.94%8,556萬
-3.82%3,146.3萬
520.11%3,271.1萬
-3.09%786.1萬
16.07%759.3萬
1.56%610.3萬
520.11%3,271.1萬
現金變動
-51.13%1,302.8萬
-81.13%2,666.1萬
19.24%1.41億
119.00%1.18億
4,434.70%5,409.7萬
-104.55%-124.8萬
-4.05%2,360.2萬
-82.93%26.8萬
179.55%149萬
-3,725.07%-2,660.8萬
期末現金
3.50%3.85億
7.72%3.72億
69.24%3.45億
138.47%2.04億
171.94%8,556萬
-3.82%3,146.3萬
-3.82%3,146.3萬
-3.09%786.1萬
16.07%759.3萬
1.56%610.3萬
自由現金流
-63.69%2,149.8萬
-65.55%5,921.1萬
-10.12%1.72億
43.90%1.91億
143.09%1.33億
-58.28%5,467.2萬
-56.27%3,263.7萬
0.34%4,566.5萬
-61.87%2,007.9萬
-4.64%-4,370.9萬
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
(FY)2024/12/31(FY)2023/12/31(FY)2022/12/31(FY)2021/12/31(FY)2020/12/31(FY)2019/12/31(Q4)2019/12/31(Q3)2019/09/30(Q2)2019/06/30(Q1)2019/03/31
經營活動現金流量(間接法)
經營活動產生的現金 -40.21%6,400萬-48.01%1.07億-15.30%2.06億40.86%2.43億51.06%1.73億-30.59%1.14億-43.93%5,311.6萬24.87%6,308.2萬-42.99%3,243.7萬8.44%-3,440萬
扣除非現金調整前淨利潤 -5.08%8,350.5萬6.04%8,797.1萬58.00%8,295.9萬-31.82%5,250.6萬-22.51%7,700.8萬5.51%9,937.4萬-28.68%2,029.5萬4.72%2,431.3萬28.81%2,938.7萬28.84%2,537.9萬
非現金項目調整總額 -2.30%9,172.9萬-15.89%9,389.2萬-13.72%1.12億-5.57%1.29億15.55%1.37億19.09%1.19億31.84%3,151.6萬17.83%2,909.4萬18.49%2,927.7萬9.25%2,867.3萬
-折舊與攤銷 -5.90%8,715.8萬-1.46%9,261.8萬-10.77%9,399.1萬-3.40%1.05億4.78%1.09億11.74%1.04億16.14%2,655.7萬13.16%2,603萬11.84%2,586.5萬6.12%2,561.8萬
-在損益中確認的減值損失回撥 -------------65.52%695萬968.31%2,015.9萬--188.7萬----------------
-資產準備金與勾銷 6.44%1,343萬-39.12%1,261.8萬9,194.17%2,072.6萬-95.62%22.3萬-40.53%509.5萬798.01%856.7萬2,081.50%754.8萬126.83%46.5萬44.00%28.8萬31.03%26.6萬
-處置利潤 102.15%18.8萬126.05%9.3萬-102.26%-35.7萬5,870.80%1,581.2萬-260.53%-27.4萬70.88%-7.6萬117.93%2.6萬67.92%-1.7萬-41.67%-3.4萬-30.77%-5.1萬
-以股票支付的報酬 31.57%129.2萬206.88%98.2萬--32萬--0------------------------
-其他非現金項目 16.75%-1,033.9萬-307.05%-1,241.9萬-391.13%-305.1萬-64.77%104.8萬-27.65%297.5萬-28.14%411.2萬-637.87%-450.2萬70.09%261.6萬124.77%315.8萬46.24%284萬
營運資本變動 -48.66%-1.11億-762.45%-7,482.4萬-81.54%1,129.5萬247.62%6,118.6萬60.03%-4,144.7萬-255.73%-1.04億-96.92%130.5萬270.97%967.5萬-379.67%-2,622.7萬-5.91%-8,845.2萬
-應收款(增)減 -7.15%-4,615.6萬-515.83%-4,307.7萬-118.57%-699.5萬167.40%3,766.2萬-2.84%-5,588.1萬-111.21%-5,433.7萬----------------
-存貨(增)減 16.88%-2,127萬-109.86%-2,559萬-443.69%-1,219.4萬326.28%354.8萬89.76%-156.8萬33.78%-1,531.6萬----------------
-預付費用(增)減 688.46%61.2萬-122.27%-10.4萬-64.54%46.7萬395.96%131.7萬-202.77%-44.5萬-12.88%43.3萬----------------
-應付款(減)增 -13,703.03%-3,591.2萬-99.24%26.4萬-28.42%3,465.1萬773.32%4,841.2萬79.10%-719萬-273.39%-3,440.1萬----------------
-貸款、租賃及其他損失準備金 -35.46%-817.1萬-43.24%-603.2萬12.25%-421.1萬---479.9萬------------------------
-其他流動資產變動 -18.25%-33.7萬32.62%-28.5萬98.30%-42.3萬-205.57%-2,495.4萬30,403.85%2,363.7萬87.66%-7.8萬----------------
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) 38.84%-70.4萬21.86%-115.1萬-13.31%-147.3萬38.42%-130萬9.82%-211.1萬-234.1萬-57萬-57.7萬-58.1萬-61.3萬
已收到的利息(經營活動產生的現金流)
已支付退稅 30.64%-2,162.9萬-41.70%-3,118.2萬-26.30%-2,200.6萬-23.37%-1,742.3萬35.41%-1,412.2萬-64,202.94%-2,186.3萬-109,175.00%-437.1萬-50,330.77%-655.6萬-38,476.47%-655.8萬-437.8萬
其他經營現金流入(流出) 9.64%18.2萬1.84%16.6萬16.3萬019.94%-511萬-11.86%-638.3萬-11.86%-638.3萬000
經營活動現金淨額 -44.11%4,184.9萬-58.99%7,487.2萬-18.62%1.83億48.36%2.24億80.78%1.51億-47.34%8,364.8萬-53.06%4,179.2萬10.78%5,594.9萬-55.53%2,529.8萬-4.84%-3,939.1萬
投資活動現金流量
物業、廠房及設備交易淨額 139.95%616.6萬-66.46%-1,543.4萬71.75%-927.2萬-99.34%-3,281.8萬42.94%-1,646.3萬-1,422.88%-2,885.2萬25.19%-915.3萬-108.45%-1,026.2萬-37.97%-518.5萬-118.41%-425.2萬
已收到的利息(投資活動產生的現金流) -5.85%1,191.8萬321.79%1,265.8萬967.97%300.1萬4.07%28.1萬91.49%27萬-54.22%14.1萬-84.87%2.3萬-91.43%3,000-85.95%1.7萬--9.8萬
投資活動現金淨額 751.44%1,808.4萬55.73%-277.6萬80.73%-627.1萬-100.93%-3,253.7萬43.60%-1,619.3萬-483.38%-2,871.1萬-28.90%-913萬-109.88%-1,025.9萬-42.10%-516.8萬-117.99%-415.4萬
融資活動現金流量
債務發行/償還的淨額 ------------50.00%-2,500萬---5,000萬--089.38%-600萬20.00%-2,000萬116.05%650萬21.88%1,950萬
普通股發行/回購的淨額 ---------------------74.82%30.9萬--0--0-93.04%7.1萬14.42%23.8萬
租賃融資增減 -9.55%-1,210.4萬-6.17%-1,104.9萬2.75%-1,040.7萬5.54%-1,070.1萬-11.54%-1,132.9萬---1,015.7萬---264.9萬---258萬---249.4萬---243.4萬
已支付現金股息 -1.24%-3,482.9萬-39.64%-3,440.4萬34.44%-2,463.7萬-104.23%-3,757.9萬58.59%-1,840萬-46.29%-4,443.7萬--0-23.35%-2,229.8萬-80.02%-2,213.9萬----
已付利息(籌資活動產生的現金流) ------------95.77%-5.1萬36.79%-120.6萬49.43%-190.8萬51.59%-41.1萬44.01%-54.7萬37.71%-58.3萬63.70%-36.7萬
其他籌資費用淨額 55.56%2.8萬0.00%1.8萬--1.8萬-----25.00%6,000-65.22%8,000--0-62.50%3,000--5,000----
融資活動現金淨額 -3.24%-4,690.5萬-29.72%-4,543.5萬52.24%-3,502.6萬9.39%-7,333.1萬-44.04%-8,092.9萬59.55%-5,618.5萬84.20%-906萬-3.12%-4,542.2萬64.64%-1,864萬11.37%1,693.7萬
現金淨流量
期初現金流 7.72%3.72億69.24%3.45億138.47%2.04億171.94%8,556萬-3.82%3,146.3萬520.11%3,271.1萬-3.09%786.1萬16.07%759.3萬1.56%610.3萬520.11%3,271.1萬
現金變動 -51.13%1,302.8萬-81.13%2,666.1萬19.24%1.41億119.00%1.18億4,434.70%5,409.7萬-104.55%-124.8萬-4.05%2,360.2萬-82.93%26.8萬179.55%149萬-3,725.07%-2,660.8萬
期末現金 3.50%3.85億7.72%3.72億69.24%3.45億138.47%2.04億171.94%8,556萬-3.82%3,146.3萬-3.82%3,146.3萬-3.09%786.1萬16.07%759.3萬1.56%610.3萬
自由現金流 -63.69%2,149.8萬-65.55%5,921.1萬-10.12%1.72億43.90%1.91億143.09%1.33億-58.28%5,467.2萬-56.27%3,263.7萬0.34%4,566.5萬-61.87%2,007.9萬-4.64%-4,370.9萬
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