新加坡市場個股詳情

BBW 中環電腦系統

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  • 7.870
  • -0.130-1.63%
延時10分鐘行情休市中 05/03 16:55 (北京)
2.36億總市值23.56市盈率TTM

中環電腦系統關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(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
(FY)2015/03/31
(FY)2014/03/31
經營活動現金流量(間接法)
經營活動產生的現金
-28.45%4,181.7萬
-28.11%5,844.6萬
34.29%8,130.3萬
2,958.59%6,054.5萬
-108.23%-211.8萬
276.74%2,573.8萬
-157.40%-1,456.3萬
1,607.34%2,537.1萬
-98.14%148.6萬
16,689.29%7,991.7萬
扣除非現金調整前淨利潤
4.31%5,054萬
104.78%4,845萬
86.73%2,365.9萬
0.29%1,267萬
577.37%1,263.3萬
108.63%186.5萬
-1,706.47%-2,160.7萬
-63.55%134.5萬
-80.19%369萬
-40.22%1,862.6萬
非現金項目調整總額
0.14%1,093.5萬
-36.94%1,092萬
0.69%1,731.7萬
62.38%1,719.9萬
-1.63%1,059.2萬
-0.87%1,076.7萬
42.90%1,086.2萬
37.08%760.1萬
-10.09%554.5萬
-23.14%616.7萬
-折舊與攤銷
-28.01%576萬
-11.83%800.1萬
-5.93%907.5萬
99.24%964.7萬
-43.53%484.2萬
-5.56%857.4萬
95.29%907.9萬
268.09%464.9萬
226.36%126.3萬
3.20%38.7萬
-處置利潤
----
----
----
----
----
--8,000
--0
----
--0
--0
-匯兌損益淨額
----
----
----
----
----
----
----
----
95.06%-2.7萬
-552.07%-54.7萬
-養老金及員工福利費用
-8.42%183.9萬
3.03%200.8萬
26.39%194.9萬
85.78%154.2萬
-32.79%83萬
-16.61%123.5萬
-0.94%148.1萬
29.21%149.5萬
15.93%115.7萬
183.52%99.8萬
-遞延所得稅
492.21%334.6萬
-90.02%56.5萬
6.03%566萬
8.10%533.8萬
412.24%493.8萬
199.38%96.4萬
-78.32%32.2萬
-55.10%148.5萬
-39.54%330.7萬
-25.22%547萬
-其他非現金項目
-102.89%-1萬
-45.34%34.6萬
-5.80%63.3萬
3,833.33%67.2萬
-28.57%-1.8萬
30.00%-1.4萬
28.57%-2萬
81.94%-2.8萬
-9.93%-15.5萬
-1.44%-14.1萬
營運資本變動
-2,027.49%-1,965.8萬
-102.29%-92.4萬
31.46%4,032.7萬
221.04%3,067.6萬
-293.37%-2,534.3萬
443.27%1,310.6萬
-123.25%-381.8萬
311.96%1,642.5萬
-114.06%-774.9萬
242.42%5,512.4萬
-應收款(增)減
-556.42%-3,076萬
-126.95%-468.6萬
41.55%1,738.9萬
143.00%1,228.5萬
-487.42%-2,857.2萬
803.72%737.5萬
-107.39%-104.8萬
396.98%1,418.1萬
-116.74%-477.5萬
236.60%2,852.4萬
-存貨(增)減
---365.4萬
--0
----
265.91%1,330.4萬
-107.64%-801.9萬
-259.59%-386.2萬
-119.67%-107.4萬
201.83%546萬
-118.45%-536.2萬
235.89%2,906.8萬
-預付費用(增)減
123.48%25.1萬
-4,376.00%-106.9萬
102.03%2.5萬
-225.53%-123.4萬
6,043.75%98.3萬
101.58%1.6萬
-5,215.79%-101萬
17.39%-1.9萬
-483.33%-2.3萬
110.17%6,000
-應付款(減)增
-277.56%-327.6萬
157.21%184.5萬
-410.39%-322.5萬
139.43%103.9萬
-243.83%-263.5萬
642.01%183.2萬
94.13%-33.8萬
-2,290.87%-576.2萬
90.16%-24.1萬
-166.70%-245萬
-貸款、租賃及其他損失準備金
10.28%-131.8萬
-1.52%-146.9萬
-6.95%-144.7萬
-91.37%-135.3萬
-5.37%-70.7萬
63.43%-67.1萬
-47.98%-183.5萬
-52.52%-124萬
---81.3萬
----
-其他流動資產變動
328.71%1,909.9萬
-83.85%445.5萬
315.75%2,758.5萬
-51.24%663.5萬
61.68%1,360.7萬
465.97%841.6萬
-60.92%148.7萬
9.81%380.5萬
14,537.50%346.5萬
47.83%-2.4萬
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)
已收到的利息(經營活動產生的現金流)
已支付退稅
-1,450.63%-612.5萬
89.38%-39.5萬
18.37%-372萬
-83.53%-455.7萬
-3,662.12%-248.3萬
-115.79%-6.6萬
110.28%41.8萬
-27.20%-406.8萬
71.20%-319.8萬
-275.14%-1,110.4萬
其他經營現金流入(流出)
0
0
0
0
0
0
0
0
0
-114.70%-67.2萬
經營活動現金淨額
-38.52%3,569.2萬
-25.18%5,805.1萬
38.57%7,758.3萬
1,316.87%5,598.8萬
-117.92%-460.1萬
281.49%2,567.2萬
-166.40%-1,414.5萬
1,344.33%2,130.3萬
-102.51%-171.2萬
2,536.22%6,814.1萬
投資活動現金流量
物業、廠房及設備交易淨額
-83.01%-112萬
-54.16%-61.2萬
47.56%-39.7萬
-30.97%-75.7萬
-30.47%-57.8萬
1.99%-44.3萬
23.91%-45.2萬
-26.11%-59.4萬
-108.41%-47.1萬
69.54%-22.6萬
無形資產交易淨額
----
----
----
----
----
32.13%-741.6萬
11.39%-1,092.7萬
-104.04%-1,233.2萬
---604.4萬
--0
已收到的利息(投資活動產生的現金流)
808.33%21.8萬
60.00%2.4萬
-42.31%1.5萬
44.44%2.6萬
28.57%1.8萬
-30.00%1.4萬
-28.57%2萬
-81.94%2.8萬
9.93%15.5萬
1.44%14.1萬
投資活動現金淨額
-53.40%-90.2萬
-53.93%-58.8萬
47.74%-38.2萬
-30.54%-73.1萬
92.86%-56萬
30.94%-784.5萬
11.93%-1,135.9萬
-102.80%-1,289.8萬
-7,382.35%-636萬
85.90%-8.5萬
融資活動現金流量
租賃融資增減
7.85%-481.2萬
-6.10%-522.2萬
-7.30%-492.2萬
---458.7萬
--0
----
----
----
----
----
已支付現金股息
-469.23%-6,660萬
-85.71%-1,170萬
0.00%-630萬
-238.71%-630萬
---186萬
----
63.66%-134.1萬
80.19%-369萬
40.17%-1,863萬
-197.14%-3,114萬
已付利息(籌資活動產生的現金流)
43.78%-20.8萬
42.90%-37萬
7.16%-64.8萬
---69.8萬
--0
----
----
----
----
----
其他籌資費用淨額
-7,437.30%-4,688.2萬
-12,340.00%-62.2萬
99.01%-5,000
-12,525.00%-50.5萬
-100.54%-4,000
--74.5萬
----
----
----
----
融資活動現金淨額
-561.50%-1.19億
-50.85%-1,791.4萬
1.78%-1,187.5萬
-548.61%-1,209萬
-350.20%-186.4萬
155.56%74.5萬
63.66%-134.1萬
80.19%-369萬
40.17%-1,863萬
-197.14%-3,114萬
現金淨流量
期初現金流
27.13%1.99億
56.24%1.56億
89.64%1億
-10.03%5,274.1萬
50.86%5,861.9萬
-39.82%3,885.6萬
8.29%6,456.2萬
-30.31%5,961.7萬
75.92%8,554.2萬
-22.21%4,862.6萬
現金變動
-311.67%-8,371.2萬
-39.46%3,954.9萬
51.33%6,532.6萬
714.48%4,316.7萬
-137.83%-702.5萬
169.18%1,857.2萬
-669.35%-2,684.5萬
117.66%471.5萬
-172.33%-2,670.2萬
365.97%3,691.6萬
匯率變動影響
-511.16%-1,168.1萬
131.29%284.1萬
-320.85%-907.9萬
258.41%411.1萬
-3.69%114.7萬
4.57%119.1萬
395.22%113.9萬
-70.40%23萬
--77.7萬
--0
期末現金
-48.02%1.03億
27.13%1.99億
56.24%1.56億
89.64%1億
-10.03%5,274.1萬
50.86%5,861.9萬
-39.82%3,885.6萬
8.29%6,456.2萬
-30.31%5,961.7萬
75.92%8,554.2萬
自由現金流
-39.79%3,457.2萬
-25.61%5,742.1萬
39.75%7,718.6萬
1,166.44%5,523.1萬
-129.07%-517.9萬
169.79%1,781.3萬
-404.69%-2,552.4萬
201.75%837.7萬
-112.12%-823.3萬
2,019.04%6,791.5萬
貨幣單位
港幣
港幣
港幣
港幣
港幣
港幣
港幣
港幣
港幣
港幣
(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(FY)2015/03/31(FY)2014/03/31
經營活動現金流量(間接法)
經營活動產生的現金 -28.45%4,181.7萬-28.11%5,844.6萬34.29%8,130.3萬2,958.59%6,054.5萬-108.23%-211.8萬276.74%2,573.8萬-157.40%-1,456.3萬1,607.34%2,537.1萬-98.14%148.6萬16,689.29%7,991.7萬
扣除非現金調整前淨利潤 4.31%5,054萬104.78%4,845萬86.73%2,365.9萬0.29%1,267萬577.37%1,263.3萬108.63%186.5萬-1,706.47%-2,160.7萬-63.55%134.5萬-80.19%369萬-40.22%1,862.6萬
非現金項目調整總額 0.14%1,093.5萬-36.94%1,092萬0.69%1,731.7萬62.38%1,719.9萬-1.63%1,059.2萬-0.87%1,076.7萬42.90%1,086.2萬37.08%760.1萬-10.09%554.5萬-23.14%616.7萬
-折舊與攤銷 -28.01%576萬-11.83%800.1萬-5.93%907.5萬99.24%964.7萬-43.53%484.2萬-5.56%857.4萬95.29%907.9萬268.09%464.9萬226.36%126.3萬3.20%38.7萬
-處置利潤 ----------------------8,000--0------0--0
-匯兌損益淨額 --------------------------------95.06%-2.7萬-552.07%-54.7萬
-養老金及員工福利費用 -8.42%183.9萬3.03%200.8萬26.39%194.9萬85.78%154.2萬-32.79%83萬-16.61%123.5萬-0.94%148.1萬29.21%149.5萬15.93%115.7萬183.52%99.8萬
-遞延所得稅 492.21%334.6萬-90.02%56.5萬6.03%566萬8.10%533.8萬412.24%493.8萬199.38%96.4萬-78.32%32.2萬-55.10%148.5萬-39.54%330.7萬-25.22%547萬
-其他非現金項目 -102.89%-1萬-45.34%34.6萬-5.80%63.3萬3,833.33%67.2萬-28.57%-1.8萬30.00%-1.4萬28.57%-2萬81.94%-2.8萬-9.93%-15.5萬-1.44%-14.1萬
營運資本變動 -2,027.49%-1,965.8萬-102.29%-92.4萬31.46%4,032.7萬221.04%3,067.6萬-293.37%-2,534.3萬443.27%1,310.6萬-123.25%-381.8萬311.96%1,642.5萬-114.06%-774.9萬242.42%5,512.4萬
-應收款(增)減 -556.42%-3,076萬-126.95%-468.6萬41.55%1,738.9萬143.00%1,228.5萬-487.42%-2,857.2萬803.72%737.5萬-107.39%-104.8萬396.98%1,418.1萬-116.74%-477.5萬236.60%2,852.4萬
-存貨(增)減 ---365.4萬--0----265.91%1,330.4萬-107.64%-801.9萬-259.59%-386.2萬-119.67%-107.4萬201.83%546萬-118.45%-536.2萬235.89%2,906.8萬
-預付費用(增)減 123.48%25.1萬-4,376.00%-106.9萬102.03%2.5萬-225.53%-123.4萬6,043.75%98.3萬101.58%1.6萬-5,215.79%-101萬17.39%-1.9萬-483.33%-2.3萬110.17%6,000
-應付款(減)增 -277.56%-327.6萬157.21%184.5萬-410.39%-322.5萬139.43%103.9萬-243.83%-263.5萬642.01%183.2萬94.13%-33.8萬-2,290.87%-576.2萬90.16%-24.1萬-166.70%-245萬
-貸款、租賃及其他損失準備金 10.28%-131.8萬-1.52%-146.9萬-6.95%-144.7萬-91.37%-135.3萬-5.37%-70.7萬63.43%-67.1萬-47.98%-183.5萬-52.52%-124萬---81.3萬----
-其他流動資產變動 328.71%1,909.9萬-83.85%445.5萬315.75%2,758.5萬-51.24%663.5萬61.68%1,360.7萬465.97%841.6萬-60.92%148.7萬9.81%380.5萬14,537.50%346.5萬47.83%-2.4萬
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)
已收到的利息(經營活動產生的現金流)
已支付退稅 -1,450.63%-612.5萬89.38%-39.5萬18.37%-372萬-83.53%-455.7萬-3,662.12%-248.3萬-115.79%-6.6萬110.28%41.8萬-27.20%-406.8萬71.20%-319.8萬-275.14%-1,110.4萬
其他經營現金流入(流出) 000000000-114.70%-67.2萬
經營活動現金淨額 -38.52%3,569.2萬-25.18%5,805.1萬38.57%7,758.3萬1,316.87%5,598.8萬-117.92%-460.1萬281.49%2,567.2萬-166.40%-1,414.5萬1,344.33%2,130.3萬-102.51%-171.2萬2,536.22%6,814.1萬
投資活動現金流量
物業、廠房及設備交易淨額 -83.01%-112萬-54.16%-61.2萬47.56%-39.7萬-30.97%-75.7萬-30.47%-57.8萬1.99%-44.3萬23.91%-45.2萬-26.11%-59.4萬-108.41%-47.1萬69.54%-22.6萬
無形資產交易淨額 --------------------32.13%-741.6萬11.39%-1,092.7萬-104.04%-1,233.2萬---604.4萬--0
已收到的利息(投資活動產生的現金流) 808.33%21.8萬60.00%2.4萬-42.31%1.5萬44.44%2.6萬28.57%1.8萬-30.00%1.4萬-28.57%2萬-81.94%2.8萬9.93%15.5萬1.44%14.1萬
投資活動現金淨額 -53.40%-90.2萬-53.93%-58.8萬47.74%-38.2萬-30.54%-73.1萬92.86%-56萬30.94%-784.5萬11.93%-1,135.9萬-102.80%-1,289.8萬-7,382.35%-636萬85.90%-8.5萬
融資活動現金流量
租賃融資增減 7.85%-481.2萬-6.10%-522.2萬-7.30%-492.2萬---458.7萬--0--------------------
已支付現金股息 -469.23%-6,660萬-85.71%-1,170萬0.00%-630萬-238.71%-630萬---186萬----63.66%-134.1萬80.19%-369萬40.17%-1,863萬-197.14%-3,114萬
已付利息(籌資活動產生的現金流) 43.78%-20.8萬42.90%-37萬7.16%-64.8萬---69.8萬--0--------------------
其他籌資費用淨額 -7,437.30%-4,688.2萬-12,340.00%-62.2萬99.01%-5,000-12,525.00%-50.5萬-100.54%-4,000--74.5萬----------------
融資活動現金淨額 -561.50%-1.19億-50.85%-1,791.4萬1.78%-1,187.5萬-548.61%-1,209萬-350.20%-186.4萬155.56%74.5萬63.66%-134.1萬80.19%-369萬40.17%-1,863萬-197.14%-3,114萬
現金淨流量
期初現金流 27.13%1.99億56.24%1.56億89.64%1億-10.03%5,274.1萬50.86%5,861.9萬-39.82%3,885.6萬8.29%6,456.2萬-30.31%5,961.7萬75.92%8,554.2萬-22.21%4,862.6萬
現金變動 -311.67%-8,371.2萬-39.46%3,954.9萬51.33%6,532.6萬714.48%4,316.7萬-137.83%-702.5萬169.18%1,857.2萬-669.35%-2,684.5萬117.66%471.5萬-172.33%-2,670.2萬365.97%3,691.6萬
匯率變動影響 -511.16%-1,168.1萬131.29%284.1萬-320.85%-907.9萬258.41%411.1萬-3.69%114.7萬4.57%119.1萬395.22%113.9萬-70.40%23萬--77.7萬--0
期末現金 -48.02%1.03億27.13%1.99億56.24%1.56億89.64%1億-10.03%5,274.1萬50.86%5,861.9萬-39.82%3,885.6萬8.29%6,456.2萬-30.31%5,961.7萬75.92%8,554.2萬
自由現金流 -39.79%3,457.2萬-25.61%5,742.1萬39.75%7,718.6萬1,166.44%5,523.1萬-129.07%-517.9萬169.79%1,781.3萬-404.69%-2,552.4萬201.75%837.7萬-112.12%-823.3萬2,019.04%6,791.5萬
貨幣單位 港幣港幣港幣港幣港幣港幣港幣港幣港幣港幣

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