日本市場個股詳情

Digital Hearts控股 (3676)

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  • 827
  • -5-0.60%
延時20分鐘行情休市中 05/01 15:30 (東京)
197.58億總市值29.27市盈率(靜)

Digital Hearts控股 (3676) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/03/31
(FY)2024/03/31
(FY)2023/03/31
(FY)2022/03/31
(FY)2021/03/31
(FY)2020/03/31
(FY)2019/03/31
(FY)2018/03/31
(FY)2017/03/31
(FY)2016/03/31
經營活動現金流量(間接法)
經營活動產生的現金
35.98%37.25億
-27.38%27.39億
0.84%37.72億
100.11%37.41億
9.25%18.69億
20.88%17.11億
-34.11%14.16億
-3.98%21.48億
-1.78%22.38億
35.41%22.78億
扣除非現金調整前淨利潤
92.49%16.45億
-57.19%8.55億
-27.24%19.97億
82.43%27.44億
16.04%15.04億
-44.44%12.96億
42.90%23.33億
13.28%16.33億
27.32%14.41億
-25.81%11.32億
非現金項目調整總額
-14.30%17.69億
-6.85%20.64億
211.61%22.15億
-27.17%7.11億
78.57%9.76億
268.29%5.47億
-158.49%-3.25億
-25.71%5.55億
-37.66%7.48億
138.19%11.99億
-折舊與攤銷
-1.13%10.26億
-11.68%10.38億
60.41%11.76億
76.95%7.33億
22.29%4.14億
33.36%3.39億
-7.44%2.54億
18.86%2.74億
-36.21%2.31億
-17.43%3.62億
-在損益中確認的減值損失回撥
--0
2.29%10.69億
1,979.58%10.46億
-114.06%-5,562.6萬
1,655.72%3.96億
--2,252.7萬
----
-99.45%273.9萬
-16.70%4.95億
--5.95億
-資產準備金與勾銷
----
----
----
----
----
----
----
----
----
-99.59%4.6萬
-聯營企業份額
--3,872.1萬
--0
----
278.60%539.5萬
-76.12%142.5萬
49.84%596.8萬
145.63%398.3萬
-482.52%-872.9萬
1,001.98%228.2萬
-100.92%-25.3萬
-處置利潤
10,788.93%6.05億
-96.98%555.4萬
974.69%1.84億
-45.66%1,711.8萬
-13.00%3,150.1萬
105.20%3,620.9萬
-702.21%-6.96億
396.06%1.16億
-88.40%2,331.2萬
1,132.29%2.01億
-匯兌損益淨額
767.56%9,025.4萬
91.07%-1,352萬
-1,136.43%-1.51億
-546.52%-1,223.9萬
-84.79%274.1萬
3,331.81%1,801.7萬
16.93%52.5萬
-74.53%44.9萬
-77.84%176.3萬
484.07%795.4萬
-以股票支付的報酬
-37.34%1,447萬
5.13%2,309.4萬
-42.41%2,196.7萬
-57.62%3,814.6萬
-34.24%9,001.4萬
2.77%1.37億
19.35%1.33億
--1.12億
--0
----
-其他非現金項目
89.84%-599.9萬
2.05%-5,905.1萬
-310.05%-6,028.6萬
-135.96%-1,470.2萬
452.37%4,087.9萬
42.30%-1,160.1萬
-133.90%-2,010.6萬
1,091.26%5,931.7萬
-117.62%-598.4萬
-29.63%3,395.7萬
營運資本變動
273.49%3.11億
59.28%-1.79億
-254.17%-4.4億
146.72%2.86億
-363.19%-6.11億
77.74%-1.32億
-1,391.51%-5.93億
-181.64%-3,974萬
191.88%4,868萬
84.72%-5,298.5萬
-應收款(增)減
139.58%1.51億
54.72%-3.81億
-314.18%-8.42億
156.07%3.93億
-6,535.82%-7.01億
94.84%-1,056.7萬
62.00%-2.05億
-285.82%-5.39億
176.11%2.9億
126.58%1.05億
-存貨(增)減
-480.54%-3,434.5萬
23.02%-591.6萬
-127.69%-768.5萬
2,540.81%2,775.2萬
94.88%-113.7萬
-296.87%-2,220.5萬
-206.58%-559.5萬
-104.17%-182.5萬
442.97%4,378.7萬
-399.13%-1,276.7萬
-應付款(減)增
2,399.31%6.22億
-89.74%2,490.4萬
173.83%2.43億
-372.79%-3.29億
-39.38%1.21億
265.68%1.99億
-143.56%-1.2億
274.06%2.75億
-157.86%-1.58億
29.63%-6,136萬
-應計費用(減)增
-927.73%-2.79億
146.09%3,365.6萬
30.43%-7,301.9萬
-464.99%-1.05億
113.90%2,875.6萬
-76.27%-2.07億
-156.29%-1.17億
581.88%2.08億
118.02%3,057.2萬
-145.53%-1.7億
-貸款、租賃及其他損失準備金
-378.19%-4,103.9萬
-44.96%1,475.2萬
-61.92%2,680.1萬
234.08%7,038.8萬
146.70%2,106.9萬
-432.27%-4,511.9萬
35.21%1,357.9萬
119.14%1,004.3萬
---5,248.2萬
----
-其他流動資產變動
-178.86%-3,897.8萬
-54.13%4,942.8萬
305.08%1.08億
24.92%-5,254.5萬
-61.22%-6,998.9萬
72.67%-4,341.1萬
-68.09%-1.59億
-220.00%-9,449.7萬
-596.13%-2,953萬
86.16%-424.2萬
-其他流動負債變動
-181.49%-6,943.4萬
-19.11%8,520.2萬
-62.44%1.05億
3,172.43%2.8億
-258.10%-912.8萬
-830.37%-254.9萬
-99.66%34.9萬
234.73%1.02億
-184.04%-7,561.2萬
142.74%8,996.8萬
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)
-246.93%-4,165.6萬
15.05%-1,200.7萬
-70.88%-1,413.5萬
-45.84%-827.2萬
-5.90%-567.2萬
-65.92%-535.6萬
-10.25%-322.8萬
23.95%-292.8萬
67.68%-385萬
54.97%-1,191.3萬
已收到的利息(經營活動產生的現金流)
65.12%3,253.4萬
168.40%1,970.3萬
282.94%734.1萬
7,273.08%191.7萬
-98.07%2.6萬
800.00%135萬
-74.18%15萬
-27.19%58.1萬
-30.85%79.8萬
-16.32%115.4萬
已支付退稅
34.48%-6.64億
-10.94%-10.13億
-30.14%-9.13億
-61.07%-7.02億
27.44%-4.36億
-21.17%-6億
25.39%-4.96億
-86.06%-6.64億
67.16%-3.57億
-38.09%-10.87億
其他經營現金流入(流出)
166.67%6,708.5萬
2,079.31%2,515.7萬
-102.87%-127.1萬
492.79%4,424萬
43.69%-1,126.3萬
26.95%-2,000萬
39.95%-2,737.9萬
12.81%-4,559.3萬
47.83%-5,229.2萬
-1億
經營活動現金淨額
77.32%31.19億
-38.30%17.59億
-7.35%28.51億
117.17%30.77億
30.38%14.17億
22.15%10.87億
-38.06%8.9億
-21.31%14.36億
68.98%18.25億
24.14%10.8億
投資活動現金流量
物業、廠房及設備交易淨額
30.38%-4.28億
3.28%-6.15億
-244.50%-6.36億
-85.43%-1.84億
33.76%-9,949.5萬
-78.08%-1.5億
70.97%-8,435.2萬
-207.53%-2.91億
-10.30%-9,448.2萬
17.66%-8,565.7萬
無形資產交易淨額
-58.11%-3.08億
50.61%-1.95億
-104.65%-3.94億
12.80%-1.93億
-107.23%-2.21億
32.09%-1.07億
-126.67%-1.57億
-105.11%-6,927.4萬
63.98%-3,377.4萬
25.68%-9,376.8萬
業務交易淨額
1,228.54%15.85億
65.24%-1.4億
79.41%-4.04億
-42.74%-19.62億
-107.25%-13.75億
-39.03%-6.63億
-1,429.40%-4.77億
84.41%-3,119.7萬
-250.91%-2億
--1.33億
投資產品交易淨額
46.34%-6.83億
-216.62%-12.72億
-1,329.72%-4.02億
-1,122.12%-2,809.8萬
126.57%274.9萬
-101.32%-1,034.8萬
1,243.61%7.86億
65.57%-6,873.4萬
-722.16%-2億
117.13%3,208.3萬
向其他方提供的預付現金及貸款
----
----
----
66.67%-1,000萬
---3,000萬
----
----
----
----
----
償還對其他方提供的預付款及貸款產生的現金收入
----
100.00%2,000萬
--1,000萬
----
----
----
--2,865.7萬
----
----
----
已收到的股息(投資活動產生的現金流)
----
----
----
--1,321.2萬
--0
-79.42%283.6萬
23.92%1,378萬
-38.18%1,112萬
--1,798.7萬
----
其他投資變動淨額
-2.50%-1.72億
-115.07%-1.67億
55.01%-7,781.3萬
-90.05%-1.73億
-0.33%-9,100萬
-90.16%-9,070.3萬
71.93%-4,769.9萬
-69.68%-1.7億
-4,280.62%-1億
98.49%-228.6萬
投資活動現金淨額
99.79%-508萬
-24.47%-23.69億
24.98%-19.03億
-39.92%-25.37億
-78.07%-18.14億
-1,735.09%-10.18億
110.07%6,228.4萬
-1.38%-6.19億
-3,488.07%-6.1億
97.01%-1,700.5萬
融資活動現金流量
債務發行/償還的淨額
-195.31%-18.95億
510.62%19.88億
-206.99%-4.84億
-77.86%4.53億
652.00%20.44億
166.09%2.72億
-1,067.14%-4.11億
-102.71%-3,524.4萬
374.83%13.03億
35.37%-4.74億
普通股發行/回購的淨額
--0
-100.57%-634.5萬
449,715.04%11.06億
-59.74%-24.6萬
99.97%-15.4萬
---5億
----
99.07%-609.2萬
56.90%-6.53億
-658,641.74%-15.15億
租賃融資增減
---1,143.1萬
--0
----
----
-2.73%-176.8萬
18.20%-172.1萬
10.05%-210.4萬
72.85%-233.9萬
77.21%-861.4萬
-57.32%-3,779.2萬
已支付現金股息
-0.20%-4.68億
-19.36%-4.67億
-24.32%-3.91億
-4.11%-3.14億
-1.87%-3.02億
-8.47%-2.96億
-8.03%-2.73億
-8.44%-2.53億
-10.63%-2.33億
-10.96%-2.11億
非控制性權益現金股息
-131.61%-3,917.3萬
15.58%-1,691.3萬
0.00%-2,003.4萬
-100.00%-2,003.4萬
50.00%-1,001.7萬
8.74%-2,003.4萬
-9.58%-2,195.3萬
0.00%-2,003.4萬
---2,003.4萬
----
其他籌資費用淨額
74.78%-1.42億
-712.81%-5.64億
89.55%-6,944萬
-22,148,466.67%-6.64億
-100.01%-3,000
107.27%3,059.9萬
-77.67%1,476.3萬
114.44%6,610.8萬
-241.27%-4.58億
11,568.25%3.24億
融資活動現金淨額
-373.59%-25.56億
560.26%9.34億
125.88%1.41億
-131.59%-5.47億
435.44%17.3億
25.67%-5.16億
-176.91%-6.94億
-259.67%-2.51億
96.36%-6,967.7萬
-101.39%-19.13億
現金淨流量
期初現金流
6.22%68.59億
24.80%64.57億
2.63%51.74億
36.10%50.41億
-11.01%37.04億
6.89%41.63億
16.43%38.94億
52.18%33.45億
-28.15%21.98億
-17.18%30.59億
現金變動
72.46%5.59億
-70.25%3.24億
15,952.58%10.89億
-100.52%-686.9萬
398.04%13.34億
-273.46%-4.47億
-54.51%2.58億
-50.49%5.67億
234.72%11.45億
-31.06%-8.5億
匯率變動影響
126.76%1.76億
-59.91%7,783.2萬
39.45%1.94億
1,786.93%1.39億
166.93%737.8萬
-4,050.90%-1,102.3萬
112.35%27.9萬
-262.17%-225.9萬
112.99%139.3萬
-175.51%-1,072.4萬
現金變動之外的其他現金調整
-50.00%1,000
100.00%2,000
0.00%1,000
100.03%1,000
-377,400.00%-377.5萬
-100.01%-1,000
165.69%999.6萬
---1,521.8萬
----
---1,000
期末現金
10.72%75.94億
6.22%68.59億
24.80%64.57億
2.63%51.74億
36.10%50.41億
-11.01%37.04億
6.89%41.63億
16.43%38.94億
52.18%33.45億
-28.15%21.98億
自由現金流
151.71%23.83億
-47.91%9.47億
-32.63%18.18億
146.04%26.98億
32.12%10.96億
28.02%8.3億
-39.66%6.48億
-36.14%10.74億
86.78%16.82億
40.77%9.01億
貨幣單位
日元
日元
日元
日元
日元
日元
日元
日元
日元
日元
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)2025/03/31(FY)2024/03/31(FY)2023/03/31(FY)2022/03/31(FY)2021/03/31(FY)2020/03/31(FY)2019/03/31(FY)2018/03/31(FY)2017/03/31(FY)2016/03/31
經營活動現金流量(間接法)
經營活動產生的現金 35.98%37.25億-27.38%27.39億0.84%37.72億100.11%37.41億9.25%18.69億20.88%17.11億-34.11%14.16億-3.98%21.48億-1.78%22.38億35.41%22.78億
扣除非現金調整前淨利潤 92.49%16.45億-57.19%8.55億-27.24%19.97億82.43%27.44億16.04%15.04億-44.44%12.96億42.90%23.33億13.28%16.33億27.32%14.41億-25.81%11.32億
非現金項目調整總額 -14.30%17.69億-6.85%20.64億211.61%22.15億-27.17%7.11億78.57%9.76億268.29%5.47億-158.49%-3.25億-25.71%5.55億-37.66%7.48億138.19%11.99億
-折舊與攤銷 -1.13%10.26億-11.68%10.38億60.41%11.76億76.95%7.33億22.29%4.14億33.36%3.39億-7.44%2.54億18.86%2.74億-36.21%2.31億-17.43%3.62億
-在損益中確認的減值損失回撥 --02.29%10.69億1,979.58%10.46億-114.06%-5,562.6萬1,655.72%3.96億--2,252.7萬-----99.45%273.9萬-16.70%4.95億--5.95億
-資產準備金與勾銷 -------------------------------------99.59%4.6萬
-聯營企業份額 --3,872.1萬--0----278.60%539.5萬-76.12%142.5萬49.84%596.8萬145.63%398.3萬-482.52%-872.9萬1,001.98%228.2萬-100.92%-25.3萬
-處置利潤 10,788.93%6.05億-96.98%555.4萬974.69%1.84億-45.66%1,711.8萬-13.00%3,150.1萬105.20%3,620.9萬-702.21%-6.96億396.06%1.16億-88.40%2,331.2萬1,132.29%2.01億
-匯兌損益淨額 767.56%9,025.4萬91.07%-1,352萬-1,136.43%-1.51億-546.52%-1,223.9萬-84.79%274.1萬3,331.81%1,801.7萬16.93%52.5萬-74.53%44.9萬-77.84%176.3萬484.07%795.4萬
-以股票支付的報酬 -37.34%1,447萬5.13%2,309.4萬-42.41%2,196.7萬-57.62%3,814.6萬-34.24%9,001.4萬2.77%1.37億19.35%1.33億--1.12億--0----
-其他非現金項目 89.84%-599.9萬2.05%-5,905.1萬-310.05%-6,028.6萬-135.96%-1,470.2萬452.37%4,087.9萬42.30%-1,160.1萬-133.90%-2,010.6萬1,091.26%5,931.7萬-117.62%-598.4萬-29.63%3,395.7萬
營運資本變動 273.49%3.11億59.28%-1.79億-254.17%-4.4億146.72%2.86億-363.19%-6.11億77.74%-1.32億-1,391.51%-5.93億-181.64%-3,974萬191.88%4,868萬84.72%-5,298.5萬
-應收款(增)減 139.58%1.51億54.72%-3.81億-314.18%-8.42億156.07%3.93億-6,535.82%-7.01億94.84%-1,056.7萬62.00%-2.05億-285.82%-5.39億176.11%2.9億126.58%1.05億
-存貨(增)減 -480.54%-3,434.5萬23.02%-591.6萬-127.69%-768.5萬2,540.81%2,775.2萬94.88%-113.7萬-296.87%-2,220.5萬-206.58%-559.5萬-104.17%-182.5萬442.97%4,378.7萬-399.13%-1,276.7萬
-應付款(減)增 2,399.31%6.22億-89.74%2,490.4萬173.83%2.43億-372.79%-3.29億-39.38%1.21億265.68%1.99億-143.56%-1.2億274.06%2.75億-157.86%-1.58億29.63%-6,136萬
-應計費用(減)增 -927.73%-2.79億146.09%3,365.6萬30.43%-7,301.9萬-464.99%-1.05億113.90%2,875.6萬-76.27%-2.07億-156.29%-1.17億581.88%2.08億118.02%3,057.2萬-145.53%-1.7億
-貸款、租賃及其他損失準備金 -378.19%-4,103.9萬-44.96%1,475.2萬-61.92%2,680.1萬234.08%7,038.8萬146.70%2,106.9萬-432.27%-4,511.9萬35.21%1,357.9萬119.14%1,004.3萬---5,248.2萬----
-其他流動資產變動 -178.86%-3,897.8萬-54.13%4,942.8萬305.08%1.08億24.92%-5,254.5萬-61.22%-6,998.9萬72.67%-4,341.1萬-68.09%-1.59億-220.00%-9,449.7萬-596.13%-2,953萬86.16%-424.2萬
-其他流動負債變動 -181.49%-6,943.4萬-19.11%8,520.2萬-62.44%1.05億3,172.43%2.8億-258.10%-912.8萬-830.37%-254.9萬-99.66%34.9萬234.73%1.02億-184.04%-7,561.2萬142.74%8,996.8萬
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) -246.93%-4,165.6萬15.05%-1,200.7萬-70.88%-1,413.5萬-45.84%-827.2萬-5.90%-567.2萬-65.92%-535.6萬-10.25%-322.8萬23.95%-292.8萬67.68%-385萬54.97%-1,191.3萬
已收到的利息(經營活動產生的現金流) 65.12%3,253.4萬168.40%1,970.3萬282.94%734.1萬7,273.08%191.7萬-98.07%2.6萬800.00%135萬-74.18%15萬-27.19%58.1萬-30.85%79.8萬-16.32%115.4萬
已支付退稅 34.48%-6.64億-10.94%-10.13億-30.14%-9.13億-61.07%-7.02億27.44%-4.36億-21.17%-6億25.39%-4.96億-86.06%-6.64億67.16%-3.57億-38.09%-10.87億
其他經營現金流入(流出) 166.67%6,708.5萬2,079.31%2,515.7萬-102.87%-127.1萬492.79%4,424萬43.69%-1,126.3萬26.95%-2,000萬39.95%-2,737.9萬12.81%-4,559.3萬47.83%-5,229.2萬-1億
經營活動現金淨額 77.32%31.19億-38.30%17.59億-7.35%28.51億117.17%30.77億30.38%14.17億22.15%10.87億-38.06%8.9億-21.31%14.36億68.98%18.25億24.14%10.8億
投資活動現金流量
物業、廠房及設備交易淨額 30.38%-4.28億3.28%-6.15億-244.50%-6.36億-85.43%-1.84億33.76%-9,949.5萬-78.08%-1.5億70.97%-8,435.2萬-207.53%-2.91億-10.30%-9,448.2萬17.66%-8,565.7萬
無形資產交易淨額 -58.11%-3.08億50.61%-1.95億-104.65%-3.94億12.80%-1.93億-107.23%-2.21億32.09%-1.07億-126.67%-1.57億-105.11%-6,927.4萬63.98%-3,377.4萬25.68%-9,376.8萬
業務交易淨額 1,228.54%15.85億65.24%-1.4億79.41%-4.04億-42.74%-19.62億-107.25%-13.75億-39.03%-6.63億-1,429.40%-4.77億84.41%-3,119.7萬-250.91%-2億--1.33億
投資產品交易淨額 46.34%-6.83億-216.62%-12.72億-1,329.72%-4.02億-1,122.12%-2,809.8萬126.57%274.9萬-101.32%-1,034.8萬1,243.61%7.86億65.57%-6,873.4萬-722.16%-2億117.13%3,208.3萬
向其他方提供的預付現金及貸款 ------------66.67%-1,000萬---3,000萬--------------------
償還對其他方提供的預付款及貸款產生的現金收入 ----100.00%2,000萬--1,000萬--------------2,865.7萬------------
已收到的股息(投資活動產生的現金流) --------------1,321.2萬--0-79.42%283.6萬23.92%1,378萬-38.18%1,112萬--1,798.7萬----
其他投資變動淨額 -2.50%-1.72億-115.07%-1.67億55.01%-7,781.3萬-90.05%-1.73億-0.33%-9,100萬-90.16%-9,070.3萬71.93%-4,769.9萬-69.68%-1.7億-4,280.62%-1億98.49%-228.6萬
投資活動現金淨額 99.79%-508萬-24.47%-23.69億24.98%-19.03億-39.92%-25.37億-78.07%-18.14億-1,735.09%-10.18億110.07%6,228.4萬-1.38%-6.19億-3,488.07%-6.1億97.01%-1,700.5萬
融資活動現金流量
債務發行/償還的淨額 -195.31%-18.95億510.62%19.88億-206.99%-4.84億-77.86%4.53億652.00%20.44億166.09%2.72億-1,067.14%-4.11億-102.71%-3,524.4萬374.83%13.03億35.37%-4.74億
普通股發行/回購的淨額 --0-100.57%-634.5萬449,715.04%11.06億-59.74%-24.6萬99.97%-15.4萬---5億----99.07%-609.2萬56.90%-6.53億-658,641.74%-15.15億
租賃融資增減 ---1,143.1萬--0---------2.73%-176.8萬18.20%-172.1萬10.05%-210.4萬72.85%-233.9萬77.21%-861.4萬-57.32%-3,779.2萬
已支付現金股息 -0.20%-4.68億-19.36%-4.67億-24.32%-3.91億-4.11%-3.14億-1.87%-3.02億-8.47%-2.96億-8.03%-2.73億-8.44%-2.53億-10.63%-2.33億-10.96%-2.11億
非控制性權益現金股息 -131.61%-3,917.3萬15.58%-1,691.3萬0.00%-2,003.4萬-100.00%-2,003.4萬50.00%-1,001.7萬8.74%-2,003.4萬-9.58%-2,195.3萬0.00%-2,003.4萬---2,003.4萬----
其他籌資費用淨額 74.78%-1.42億-712.81%-5.64億89.55%-6,944萬-22,148,466.67%-6.64億-100.01%-3,000107.27%3,059.9萬-77.67%1,476.3萬114.44%6,610.8萬-241.27%-4.58億11,568.25%3.24億
融資活動現金淨額 -373.59%-25.56億560.26%9.34億125.88%1.41億-131.59%-5.47億435.44%17.3億25.67%-5.16億-176.91%-6.94億-259.67%-2.51億96.36%-6,967.7萬-101.39%-19.13億
現金淨流量
期初現金流 6.22%68.59億24.80%64.57億2.63%51.74億36.10%50.41億-11.01%37.04億6.89%41.63億16.43%38.94億52.18%33.45億-28.15%21.98億-17.18%30.59億
現金變動 72.46%5.59億-70.25%3.24億15,952.58%10.89億-100.52%-686.9萬398.04%13.34億-273.46%-4.47億-54.51%2.58億-50.49%5.67億234.72%11.45億-31.06%-8.5億
匯率變動影響 126.76%1.76億-59.91%7,783.2萬39.45%1.94億1,786.93%1.39億166.93%737.8萬-4,050.90%-1,102.3萬112.35%27.9萬-262.17%-225.9萬112.99%139.3萬-175.51%-1,072.4萬
現金變動之外的其他現金調整 -50.00%1,000100.00%2,0000.00%1,000100.03%1,000-377,400.00%-377.5萬-100.01%-1,000165.69%999.6萬---1,521.8萬-------1,000
期末現金 10.72%75.94億6.22%68.59億24.80%64.57億2.63%51.74億36.10%50.41億-11.01%37.04億6.89%41.63億16.43%38.94億52.18%33.45億-28.15%21.98億
自由現金流 151.71%23.83億-47.91%9.47億-32.63%18.18億146.04%26.98億32.12%10.96億28.02%8.3億-39.66%6.48億-36.14%10.74億86.78%16.82億40.77%9.01億
貨幣單位 日元日元日元日元日元日元日元日元日元日元
會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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