日本市場個股詳情

atect (4241)

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  • 757
  • -12-1.56%
延時20分鐘行情休市中 05/01 15:30 (東京)
33.59億總市值83.28市盈率(靜)

atect (4241) 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
-64.86%1.85億
41.89%5.25億
-46.28%3.7億
52.36%6.89億
7.77%4.52億
-34.39%4.2億
83.22%6.4億
37.26%3.49億
-41.38%2.54億
29.97%4.34億
扣除非現金調整前淨利潤
118.66%6,544.4萬
-276.97%-3.51億
-22.29%1.98億
127.72%2.55億
71.40%1.12億
-58.43%6,534.6萬
46.62%1.57億
19.95%1.07億
-34.14%8,937.6萬
-35.57%1.36億
非現金項目調整總額
-70.25%2.45億
238.01%8.23億
-32.96%2.44億
3.68%3.63億
-18.33%3.5億
-9.71%4.29億
115.63%4.75億
-29.34%2.2億
-6.82%3.12億
68.59%3.35億
-折舊與攤銷
-26.63%2.58億
22.69%3.52億
3.87%2.87億
-15.68%2.76億
-12.69%3.28億
13.88%3.75億
16.99%3.3億
12.31%2.82億
11.50%2.51億
15.29%2.25億
-在損益中確認的減值損失回撥
--0
--4.3億
--0
101.65%6,260.3萬
-40.93%3,104.6萬
1,455.55%5,256.2萬
--337.9萬
----
----
----
-資產準備金與勾銷
----
----
----
----
----
----
----
----
----
157.86%706.3萬
-處置利潤
-235.45%-73.8萬
-105.23%-22萬
-94.81%420.9萬
52.26%8,115.9萬
69.65%5,330.4萬
-73.33%3,142萬
522.81%1.18億
-209.11%-2,786萬
12,993.85%2,553.3萬
44.44%19.5萬
-匯兌損益淨額
-43.81%36.3萬
303.14%64.6萬
-112.26%-31.8萬
451.91%259.4萬
18.39%47萬
1,826.09%39.7萬
98.52%-2.3萬
-113.95%-155.6萬
-69.81%1,115.7萬
251.60%3,695.4萬
-以股票支付的報酬
----
----
----
5.76%479萬
432.20%452.9萬
-85.98%85.1萬
-36.31%607.1萬
-36.81%953.2萬
-39.26%1,508.4萬
-25.75%2,483.5萬
-其他非現金項目
-132.20%-1,314.1萬
186.08%4,081.1萬
26.13%-4,741.3萬
3.77%-6,418.1萬
-111.33%-6,669.4萬
-272.10%-3,155.9萬
144.16%1,833.8萬
-549.53%-4,152.3萬
-77.30%923.7萬
538.00%4,068.5萬
營運資本變動
-339.43%-1.26億
173.35%5,257.4萬
-201.54%-7,167.2萬
788.40%7,058.2萬
86.30%-1,025.3萬
-1,148.96%-7,483.3萬
-66.76%713.4萬
114.60%2,145.9萬
-300.67%-1.47億
51.36%-3,668.9萬
-應收款(增)減
-348.46%-2,302.5萬
164.61%926.7萬
-115.52%-1,434.4萬
198.20%9,240.1萬
-1,383.86%-9,409.4萬
131.01%732.9萬
-185.55%-2,363.2萬
123.00%2,762.5萬
-594.94%-1.2億
165.76%2,426.7萬
-存貨(增)減
151.09%4,417.2萬
-252.11%-8,646.3萬
59.92%-2,455.6萬
-221.89%-6,126.4萬
177.99%5,026.1萬
-309.12%-6,444.6萬
144.50%3,081.8萬
7.11%-6,925.6萬
-127.70%-7,455.9萬
55.44%-3,274.5萬
-應付款(減)增
-227.49%-1.54億
563.39%1.21億
-160.69%-2,607.6萬
32.31%4,296.5萬
271.37%3,247.4萬
-38.04%-1,895萬
-123.05%-1,372.8萬
36.02%5,955萬
239.36%4,378萬
-193.75%-3,141.4萬
-應計費用(減)增
----
----
----
----
----
----
----
----
----
120.74%320.3萬
-貸款、租賃及其他損失準備金
-21.41%702.4萬
233.47%893.7萬
-90.23%-669.6萬
-418.26%-352萬
-10.37%110.6萬
-90.98%123.4萬
286.33%1,367.6萬
-8.93%354萬
--388.7萬
----
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)
-9.07%-1,478.3萬
13.88%-1,355.4萬
10.29%-1,573.8萬
3.01%-1,754.4萬
-4.04%-1,808.9萬
5.08%-1,738.6萬
0.33%-1,831.7萬
4.81%-1,837.8萬
-10.58%-1,930.7萬
19.41%-1,745.9萬
已收到的利息(經營活動產生的現金流)
6.32%494.9萬
193.32%465.5萬
713.85%158.7萬
3.72%19.5萬
-29.32%18.8萬
137.50%26.6萬
-61.11%11.2萬
-73.03%28.8萬
-52.41%106.8萬
76.83%224.4萬
已支付退稅
25.81%-4,240.6萬
-20.46%-5,715.8萬
-87.25%-4,744.9萬
-7.18%-2,534萬
8.30%-2,364.2萬
-72.21%-2,578.3萬
-6.03%-1,497.2萬
52.29%-1,412.1萬
-64.66%-2,959.9萬
-91.13%-1,797.6萬
其他經營現金流入(流出)
-81.86%67.9萬
-92.88%374.4萬
-65.85%5,257.1萬
230.69%1.54億
145.64%4,654.7萬
1,895,000.00%1,894.9萬
0.00%-1,000
0.00%-1,000
0.00%-1,000
0.00%-1,000
經營活動現金淨額
-71.27%1.33億
28.18%4.63億
-54.88%3.61億
75.02%8億
15.56%4.57億
-34.75%3.96億
91.38%6.06億
53.46%3.17億
-48.46%2.06億
31.79%4.01億
投資活動現金流量
物業、廠房及設備交易淨額
63.09%-5,718.1萬
32.30%-1.55億
48.46%-2.29億
-26.63%-4.44億
-25.26%-3.51億
54.23%-2.8億
-212.17%-6.11億
90.29%-1.96億
-533.54%-20.18億
-4.49%-3.19億
無形資產交易淨額
68.13%-306.5萬
84.35%-961.7萬
-389.43%-6,144.3萬
78.25%-1,255.4萬
-53.38%-5,771.8萬
-120.99%-3,763萬
41.92%-1,702.8萬
-90.06%-2,932萬
45.55%-1,542.7萬
49.42%-2,833萬
投資產品交易淨額
---5,455萬
--0
-738.20%-1.35億
--2,110.3萬
--0
----
----
----
----
----
向其他方提供的預付現金及貸款
----
----
----
----
----
----
68.85%-950萬
-172.91%-3,050萬
---1,117.6萬
----
償還對其他方提供的預付款及貸款產生的現金收入
-33.13%44.6萬
0.60%66.7萬
-88.36%66.3萬
872.35%569.8萬
-57.54%58.6萬
2,321.05%138萬
-99.86%5.7萬
--4,167.7萬
----
----
其他投資變動淨額
-9,496.63%-854.1萬
95.55%-8.9萬
-124.63%-200.1萬
14,605.36%812.3萬
40.43%-5.6萬
79.25%-9.4萬
60.44%-45.3萬
-16.84%-114.5萬
-1,280.72%-98萬
-94.37%8.3萬
投資活動現金淨額
25.05%-1.23億
61.54%-1.64億
-1.12%-4.26億
-3.39%-4.22億
-28.95%-4.08億
50.46%-3.16億
-196.70%-6.38億
89.48%-2.15億
-489.89%-20.46億
3.51%-3.47億
融資活動現金流量
債務發行/償還的淨額
53.77%-1.7億
-89.30%-3.67億
-28.11%-1.94億
-218.88%-1.51億
627.37%1.27億
93.70%-2,415.7萬
-218.02%-3.84億
-76.10%3.25億
6,194.77%13.6億
-124.78%-2,231.2萬
普通股發行/回購的淨額
--0
--0
57.14%-2.4萬
30.86%-5.6萬
32.50%-8.1萬
20.00%-12萬
-240.91%-15萬
56.86%-4.4萬
27.14%-10.2萬
58.33%-14萬
租賃融資增減
39.94%-1,563.5萬
-2.31%-2,603.2萬
-2.32%-2,544.3萬
-130.18%-2,486.7萬
66.55%8,238.6萬
869.18%4,946.6萬
0.02%-643.1萬
65.97%-643.2萬
41.91%-1,890.1萬
16.01%-3,254萬
已支付現金股息
0.00%-4,420.9萬
0.00%-4,420.9萬
-100.94%-4,420.9萬
-66.66%-2,200.1萬
69.86%-1,320.1萬
-1.00%-4,380.3萬
-0.88%-4,337.1萬
-1.74%-4,299.3萬
-3.27%-4,225.7萬
-0.98%-4,092萬
其他籌資費用淨額
----
0.00%-1,000
-100.01%-1,000
935,700.00%1,871.2萬
-100.01%-2,000
-40.47%1,732.3萬
30.98%2,910.1萬
-22.40%2,221.8萬
-42.51%2,863.3萬
197.44%4,980.6萬
融資活動現金淨額
47.51%-2.3億
-65.92%-4.38億
-46.77%-2.64億
-191.43%-1.8億
15,320.68%1.96億
99.68%-129.1萬
-235.82%-4.04億
-77.57%2.98億
2,978.67%13.27億
-269.52%-4,610.6萬
現金淨流量
期初現金流
-19.23%5.22億
-33.56%6.47億
26.16%9.73億
47.00%7.72億
15.96%5.25億
-49.17%4.53億
81.78%8.9億
-51.53%4.9億
-4.66%10.11億
1.73%10.6億
現金變動
-58.41%-2.2億
57.86%-1.39億
-265.26%-3.29億
-19.09%1.99億
214.64%2.46億
117.91%7,817.4萬
-209.24%-4.36億
178.03%3.99億
-6,736.71%-5.12億
127.34%771.4萬
匯率變動影響
-154.12%-769.7萬
545.24%1,422.1萬
-22.80%220.4萬
303.25%285.5萬
111.95%70.8萬
-325.04%-592.5萬
-227.89%-139.4萬
112.31%109萬
84.48%-885.7萬
-223.43%-5,705.5萬
現金變動之外的其他現金調整
0.00%-1,000
---1,000
----
-200.00%-1,000
200.00%1,000
0.00%-1,000
-200.00%-1,000
--1,000
----
---1,000
期末現金
-43.51%2.95億
-19.23%5.22億
-33.56%6.47億
26.16%9.73億
47.00%7.72億
15.96%5.25億
-49.17%4.53億
81.78%8.9億
-51.53%4.9億
-4.66%10.11億
自由現金流
-78.34%6,456.4萬
323.25%2.98億
-79.43%7,043.5萬
805.40%3.42億
8.60%3,782.5萬
257.82%3,483.1萬
97.17%-2,207萬
57.37%-7.79億
-3,501.93%-18.27億
187.45%5,370.6萬
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 -64.86%1.85億41.89%5.25億-46.28%3.7億52.36%6.89億7.77%4.52億-34.39%4.2億83.22%6.4億37.26%3.49億-41.38%2.54億29.97%4.34億
扣除非現金調整前淨利潤 118.66%6,544.4萬-276.97%-3.51億-22.29%1.98億127.72%2.55億71.40%1.12億-58.43%6,534.6萬46.62%1.57億19.95%1.07億-34.14%8,937.6萬-35.57%1.36億
非現金項目調整總額 -70.25%2.45億238.01%8.23億-32.96%2.44億3.68%3.63億-18.33%3.5億-9.71%4.29億115.63%4.75億-29.34%2.2億-6.82%3.12億68.59%3.35億
-折舊與攤銷 -26.63%2.58億22.69%3.52億3.87%2.87億-15.68%2.76億-12.69%3.28億13.88%3.75億16.99%3.3億12.31%2.82億11.50%2.51億15.29%2.25億
-在損益中確認的減值損失回撥 --0--4.3億--0101.65%6,260.3萬-40.93%3,104.6萬1,455.55%5,256.2萬--337.9萬------------
-資產準備金與勾銷 ------------------------------------157.86%706.3萬
-處置利潤 -235.45%-73.8萬-105.23%-22萬-94.81%420.9萬52.26%8,115.9萬69.65%5,330.4萬-73.33%3,142萬522.81%1.18億-209.11%-2,786萬12,993.85%2,553.3萬44.44%19.5萬
-匯兌損益淨額 -43.81%36.3萬303.14%64.6萬-112.26%-31.8萬451.91%259.4萬18.39%47萬1,826.09%39.7萬98.52%-2.3萬-113.95%-155.6萬-69.81%1,115.7萬251.60%3,695.4萬
-以股票支付的報酬 ------------5.76%479萬432.20%452.9萬-85.98%85.1萬-36.31%607.1萬-36.81%953.2萬-39.26%1,508.4萬-25.75%2,483.5萬
-其他非現金項目 -132.20%-1,314.1萬186.08%4,081.1萬26.13%-4,741.3萬3.77%-6,418.1萬-111.33%-6,669.4萬-272.10%-3,155.9萬144.16%1,833.8萬-549.53%-4,152.3萬-77.30%923.7萬538.00%4,068.5萬
營運資本變動 -339.43%-1.26億173.35%5,257.4萬-201.54%-7,167.2萬788.40%7,058.2萬86.30%-1,025.3萬-1,148.96%-7,483.3萬-66.76%713.4萬114.60%2,145.9萬-300.67%-1.47億51.36%-3,668.9萬
-應收款(增)減 -348.46%-2,302.5萬164.61%926.7萬-115.52%-1,434.4萬198.20%9,240.1萬-1,383.86%-9,409.4萬131.01%732.9萬-185.55%-2,363.2萬123.00%2,762.5萬-594.94%-1.2億165.76%2,426.7萬
-存貨(增)減 151.09%4,417.2萬-252.11%-8,646.3萬59.92%-2,455.6萬-221.89%-6,126.4萬177.99%5,026.1萬-309.12%-6,444.6萬144.50%3,081.8萬7.11%-6,925.6萬-127.70%-7,455.9萬55.44%-3,274.5萬
-應付款(減)增 -227.49%-1.54億563.39%1.21億-160.69%-2,607.6萬32.31%4,296.5萬271.37%3,247.4萬-38.04%-1,895萬-123.05%-1,372.8萬36.02%5,955萬239.36%4,378萬-193.75%-3,141.4萬
-應計費用(減)增 ------------------------------------120.74%320.3萬
-貸款、租賃及其他損失準備金 -21.41%702.4萬233.47%893.7萬-90.23%-669.6萬-418.26%-352萬-10.37%110.6萬-90.98%123.4萬286.33%1,367.6萬-8.93%354萬--388.7萬----
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) -9.07%-1,478.3萬13.88%-1,355.4萬10.29%-1,573.8萬3.01%-1,754.4萬-4.04%-1,808.9萬5.08%-1,738.6萬0.33%-1,831.7萬4.81%-1,837.8萬-10.58%-1,930.7萬19.41%-1,745.9萬
已收到的利息(經營活動產生的現金流) 6.32%494.9萬193.32%465.5萬713.85%158.7萬3.72%19.5萬-29.32%18.8萬137.50%26.6萬-61.11%11.2萬-73.03%28.8萬-52.41%106.8萬76.83%224.4萬
已支付退稅 25.81%-4,240.6萬-20.46%-5,715.8萬-87.25%-4,744.9萬-7.18%-2,534萬8.30%-2,364.2萬-72.21%-2,578.3萬-6.03%-1,497.2萬52.29%-1,412.1萬-64.66%-2,959.9萬-91.13%-1,797.6萬
其他經營現金流入(流出) -81.86%67.9萬-92.88%374.4萬-65.85%5,257.1萬230.69%1.54億145.64%4,654.7萬1,895,000.00%1,894.9萬0.00%-1,0000.00%-1,0000.00%-1,0000.00%-1,000
經營活動現金淨額 -71.27%1.33億28.18%4.63億-54.88%3.61億75.02%8億15.56%4.57億-34.75%3.96億91.38%6.06億53.46%3.17億-48.46%2.06億31.79%4.01億
投資活動現金流量
物業、廠房及設備交易淨額 63.09%-5,718.1萬32.30%-1.55億48.46%-2.29億-26.63%-4.44億-25.26%-3.51億54.23%-2.8億-212.17%-6.11億90.29%-1.96億-533.54%-20.18億-4.49%-3.19億
無形資產交易淨額 68.13%-306.5萬84.35%-961.7萬-389.43%-6,144.3萬78.25%-1,255.4萬-53.38%-5,771.8萬-120.99%-3,763萬41.92%-1,702.8萬-90.06%-2,932萬45.55%-1,542.7萬49.42%-2,833萬
投資產品交易淨額 ---5,455萬--0-738.20%-1.35億--2,110.3萬--0--------------------
向其他方提供的預付現金及貸款 ------------------------68.85%-950萬-172.91%-3,050萬---1,117.6萬----
償還對其他方提供的預付款及貸款產生的現金收入 -33.13%44.6萬0.60%66.7萬-88.36%66.3萬872.35%569.8萬-57.54%58.6萬2,321.05%138萬-99.86%5.7萬--4,167.7萬--------
其他投資變動淨額 -9,496.63%-854.1萬95.55%-8.9萬-124.63%-200.1萬14,605.36%812.3萬40.43%-5.6萬79.25%-9.4萬60.44%-45.3萬-16.84%-114.5萬-1,280.72%-98萬-94.37%8.3萬
投資活動現金淨額 25.05%-1.23億61.54%-1.64億-1.12%-4.26億-3.39%-4.22億-28.95%-4.08億50.46%-3.16億-196.70%-6.38億89.48%-2.15億-489.89%-20.46億3.51%-3.47億
融資活動現金流量
債務發行/償還的淨額 53.77%-1.7億-89.30%-3.67億-28.11%-1.94億-218.88%-1.51億627.37%1.27億93.70%-2,415.7萬-218.02%-3.84億-76.10%3.25億6,194.77%13.6億-124.78%-2,231.2萬
普通股發行/回購的淨額 --0--057.14%-2.4萬30.86%-5.6萬32.50%-8.1萬20.00%-12萬-240.91%-15萬56.86%-4.4萬27.14%-10.2萬58.33%-14萬
租賃融資增減 39.94%-1,563.5萬-2.31%-2,603.2萬-2.32%-2,544.3萬-130.18%-2,486.7萬66.55%8,238.6萬869.18%4,946.6萬0.02%-643.1萬65.97%-643.2萬41.91%-1,890.1萬16.01%-3,254萬
已支付現金股息 0.00%-4,420.9萬0.00%-4,420.9萬-100.94%-4,420.9萬-66.66%-2,200.1萬69.86%-1,320.1萬-1.00%-4,380.3萬-0.88%-4,337.1萬-1.74%-4,299.3萬-3.27%-4,225.7萬-0.98%-4,092萬
其他籌資費用淨額 ----0.00%-1,000-100.01%-1,000935,700.00%1,871.2萬-100.01%-2,000-40.47%1,732.3萬30.98%2,910.1萬-22.40%2,221.8萬-42.51%2,863.3萬197.44%4,980.6萬
融資活動現金淨額 47.51%-2.3億-65.92%-4.38億-46.77%-2.64億-191.43%-1.8億15,320.68%1.96億99.68%-129.1萬-235.82%-4.04億-77.57%2.98億2,978.67%13.27億-269.52%-4,610.6萬
現金淨流量
期初現金流 -19.23%5.22億-33.56%6.47億26.16%9.73億47.00%7.72億15.96%5.25億-49.17%4.53億81.78%8.9億-51.53%4.9億-4.66%10.11億1.73%10.6億
現金變動 -58.41%-2.2億57.86%-1.39億-265.26%-3.29億-19.09%1.99億214.64%2.46億117.91%7,817.4萬-209.24%-4.36億178.03%3.99億-6,736.71%-5.12億127.34%771.4萬
匯率變動影響 -154.12%-769.7萬545.24%1,422.1萬-22.80%220.4萬303.25%285.5萬111.95%70.8萬-325.04%-592.5萬-227.89%-139.4萬112.31%109萬84.48%-885.7萬-223.43%-5,705.5萬
現金變動之外的其他現金調整 0.00%-1,000---1,000-----200.00%-1,000200.00%1,0000.00%-1,000-200.00%-1,000--1,000-------1,000
期末現金 -43.51%2.95億-19.23%5.22億-33.56%6.47億26.16%9.73億47.00%7.72億15.96%5.25億-49.17%4.53億81.78%8.9億-51.53%4.9億-4.66%10.11億
自由現金流 -78.34%6,456.4萬323.25%2.98億-79.43%7,043.5萬805.40%3.42億8.60%3,782.5萬257.82%3,483.1萬97.17%-2,207萬57.37%-7.79億-3,501.93%-18.27億187.45%5,370.6萬
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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