新加坡市場個股詳情

億仕登 (I07)

添加自選
  • 0.610
  • -0.005-0.81%
延時10分鐘行情休市中 04/30 17:04 (北京)
2.77億總市值40.67市盈率TTM

I07 億仕登

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(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
經營活動現金流量(間接法)
經營活動產生的現金
10.31%3,213.9萬
381.64%2,913.6萬
-129.21%-1,034.5萬
58.10%3,541.7萬
-44.07%2,240.2萬
125.11%4,005.3萬
-3.69%1,779.3萬
12.47%1,402萬
227.33%488.7萬
-104.38%-16.8萬
扣除非現金調整前淨利潤
7.22%2,107.3萬
4.14%1,965.4萬
-41.07%1,887.3萬
-38.96%3,202.7萬
64.02%5,247.3萬
58.20%3,199.2萬
-14.66%2,022.2萬
456.21%264.2萬
28.38%665.9萬
-55.38%412.5萬
非現金項目調整總額
55.48%1,960.4萬
-9.54%1,260.9萬
9.06%1,393.9萬
56.53%1,278.1萬
-17.66%816.5萬
26.93%991.6萬
59.40%781.2萬
16.50%536.7萬
8.12%-47.5萬
370.67%184.6萬
-折舊與攤銷
10.74%729.2萬
17.40%658.5萬
14.38%560.9萬
1.89%490.4萬
17.73%481.3萬
6.62%408.8萬
73.17%383.4萬
275.17%223.6萬
0.94%53.7萬
-9.48%50.6萬
-在損益中確認的減值損失回撥
-178.38%-10.3萬
-188.10%-3.7萬
111.60%4.2萬
-141.28%-36.2萬
13.75%87.7萬
1,473.47%77.1萬
-91.12%4.9萬
-211.34%-37.3萬
311.32%43.6萬
-95.19%5,000
-資產準備金與勾銷
59.33%259.7萬
-35.60%163萬
71.01%253.1萬
-48.38%148萬
-43.14%286.7萬
500.24%504.2萬
-74.68%84萬
-74.04%77.4萬
-99.19%3,000
395.24%6.2萬
-聯營企業份額
-56.33%26.9萬
-7.92%61.6萬
157.62%66.9萬
-5.26%-116.1萬
-12.67%-110.3萬
-809.42%-97.9萬
137.50%13.8萬
722.06%55.9萬
-174.13%-14.9萬
15.31%-16.6萬
-處置利潤
105.82%1.1萬
-2,262.50%-18.9萬
66.67%-8,000
98.86%-2.4萬
-35,133.33%-211.4萬
82.86%-6,000
86.43%-3.5萬
-140.51%-3.2萬
--0
98.10%-4,000
-匯兌損益淨額
510.14%453.2萬
-178.87%-110.5萬
-71.18%140.1萬
24,410.00%486.2萬
95.37%-2萬
-136.30%-43.2萬
188.87%119萬
904.73%148.7萬
6.83%-175.9萬
239.70%120萬
-以股票支付的報酬
----
--0
---35.8萬
--0
--175萬
--0
----
----
----
----
-其他非現金項目
-2.02%500.6萬
26.05%510.9萬
31.51%405.3萬
181.46%308.2萬
-23.53%109.5萬
-20.27%143.2萬
129.37%179.6萬
79.45%71.6萬
183.85%45.7萬
511.86%24.3萬
營運資本變動
-173.04%-853.8萬
92.75%-312.7萬
-359.56%-4,315.7萬
75.44%-939.1萬
-1,961.24%-3,823.6萬
81.89%-185.5萬
-1.18%-1,024.1萬
-18.59%601.1萬
59.18%-129.7萬
-29.79%-613.9萬
-應收款(增)減
-67.67%-2,576.1萬
-40.40%-1,536.4萬
-481.02%-1,094.3萬
109.71%287.2萬
13.59%-2,958.8萬
-163.78%-3,424.1萬
-1,826.20%-1,298.1萬
-104.49%-92.1萬
-80.09%135.1萬
84.83%-261.4萬
-存貨(增)減
-112.69%-54.4萬
-41.75%428.7萬
245.77%736萬
78.30%-504.9萬
-647.00%-2,326.9萬
-276.49%-311.5萬
127.68%176.5萬
96.29%-21.2萬
-183.43%-243.2萬
52.18%-258.4萬
-應付款(減)增
123.48%1,776.7萬
120.09%795萬
-448.57%-3,957.4萬
-149.34%-721.4萬
-58.82%1,462.1萬
3,541.13%3,550.1萬
121.68%97.5萬
196.28%714.4萬
98.32%-21.6萬
-105.26%-94.1萬
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)
15.71%-438.9萬
-24.84%-520.7萬
-26.59%-417.1萬
-161.72%-329.5萬
20.57%-125.9萬
16.71%-158.5萬
-177.41%-190.3萬
-506.19%-58.8萬
-182.08%-48.8萬
-89.07%-34.6萬
已收到的利息(經營活動產生的現金流)
-31.21%22.7萬
-2.37%33萬
-16.34%33.8萬
9.78%40.4萬
21.45%36.8萬
-2.57%30.3萬
23.41%31.1萬
61.70%7.6萬
158.33%3.1萬
-57.44%10.3萬
已支付退稅
-25.93%-740.2萬
41.04%-587.8萬
-4.56%-996.9萬
25.81%-953.4萬
-56.94%-1,285萬
-43.12%-818.8萬
-0.23%-572.1萬
13.05%-145.2萬
55.56%-68.7萬
-21.71%-172.1萬
其他經營現金流入(流出)
0
0
0
0
0
0
0
0
0
0
經營活動現金淨額
11.94%2,057.5萬
176.12%1,838.1萬
-205.02%-2,414.7萬
165.47%2,299.2萬
-71.68%866.1萬
191.82%3,058.3萬
-15.02%1,048萬
12.19%1,205.6萬
1,849.07%374.3萬
-186.04%-213.2萬
投資活動現金流量
物業、廠房及設備交易淨額
14.33%-566.6萬
-52.96%-661.4萬
-93.64%-432.4萬
-24.06%-223.3萬
82.81%-180萬
-111.73%-1,047.2萬
-113.93%-494.6萬
-203.30%-275.7萬
-297.58%-65.6萬
43.40%-50.6萬
無形資產交易淨額
---88.9萬
--0
----
----
----
----
----
----
----
----
業務交易淨額
-207.98%-115.8萬
---37.6萬
--0
----
-92.51%5.3萬
203.36%70.8萬
85.53%-68.5萬
87.07%-68.5萬
--0
--0
投資產品交易淨額
----
----
----
----
----
----
---90萬
--0
--0
--0
向其他方提供的預付現金及貸款
----
----
----
----
----
----
54.54%-339.5萬
-207.10%-339.5萬
--0
--0
償還對其他方提供的預付款及貸款產生的現金收入
----
----
----
----
----
--354.1萬
----
----
----
----
已收到的股息(投資活動產生的現金流)
46.81%6.9萬
-84.79%4.7萬
35.53%30.9萬
-11.63%22.8萬
92.54%25.8萬
20.72%13.4萬
-75.11%11.1萬
-235.74%-39.5萬
--28.4萬
43.23%22.2萬
投資活動現金淨額
-10.10%-764.4萬
-72.93%-694.3萬
-100.25%-401.5萬
-34.65%-200.5萬
75.55%-148.9萬
37.96%-608.9萬
27.92%-981.5萬
-215.39%-723.2萬
96.03%-37.2萬
79.07%-28.4萬
融資活動現金流量
債務發行/償還的淨額
203.80%611.4萬
-114.09%-589萬
769.36%4,180.8萬
-174.25%-624.6萬
10.66%841.2萬
528.28%760.2萬
-114.46%-177.5萬
-406.15%-79.6萬
-102.08%-23.9萬
-226.85%-259.4萬
普通股發行/回購的淨額
----
----
----
----
----
----
179,800.00%539.7萬
--0
--0
--0
租賃融資增減
-17.46%-302萬
-11.98%-257.1萬
2.09%-229.6萬
-35.86%-234.5萬
10.10%-172.6萬
-11.76%-192萬
-838.80%-171.8萬
-3,946.34%-165.9萬
-118.48%-1.7萬
95.51%-1.8萬
已支付現金股息
-30.24%-70.2萬
67.67%-53.9萬
73.99%-166.7萬
-407.36%-640.8萬
-105.03%-126.3萬
50.99%-61.6萬
45.09%-125.7萬
--0
---125.7萬
----
非控制性權益現金股息
22.11%-444.3萬
11.19%-570.4萬
41.56%-642.3萬
-21.17%-1,099.1萬
-76.96%-907.1萬
13.96%-512.6萬
6.23%-595.8萬
-7.49%-320萬
-4,868.00%-248.4萬
84.72%-27.4萬
已付利息(籌資活動產生的現金流)
3.07%-25.3萬
-18.64%-26.1萬
-16.40%-22萬
12.90%-18.9萬
-44.67%-21.7萬
7.98%-15萬
---16.3萬
----
----
----
其他籌資費用淨額
-21.83%71.6萬
-43.70%91.6萬
--162.7萬
----
226.11%483萬
-146.14%-383萬
45.10%-155.6萬
111.07%26.7萬
-267.05%-190.5萬
402.04%73.8萬
融資活動現金淨額
88.70%-158.8萬
-142.79%-1,404.9萬
225.40%3,282.9萬
-2,812.85%-2,617.9萬
123.89%96.5萬
42.53%-404萬
-1,233.87%-703萬
-7.45%-555.1萬
-153.52%-590.2萬
6.24%-214.8萬
現金淨流量
期初現金流
-5.29%5,612.9萬
9.48%5,926.2萬
-8.29%5,412.8萬
14.74%5,902.1萬
65.04%5,144萬
-16.34%3,116.8萬
-2.10%3,725.5萬
-6.74%3,164萬
6.79%3,423.1萬
14.35%3,879.1萬
現金變動
534.43%1,134.3萬
-155.95%-261.1萬
189.89%466.7萬
-163.81%-519.2萬
-60.22%813.7萬
421.35%2,045.4萬
-860.03%-636.5萬
-122.12%-72.7萬
-275.52%-253.1萬
-290.09%-456.4萬
匯率變動影響
224.52%65萬
-211.78%-52.2萬
56.19%46.7萬
153.78%29.9萬
-205.49%-55.6萬
-165.47%-18.2萬
305.93%27.8萬
521.95%25.5萬
-113.95%-6萬
100.57%4,000
期末現金
21.37%6,812.2萬
-5.29%5,612.9萬
9.48%5,926.2萬
-8.29%5,412.8萬
14.74%5,902.1萬
65.04%5,144萬
-16.34%3,116.8萬
-16.34%3,116.8萬
-6.74%3,164萬
6.79%3,423.1萬
自由現金流
27.64%1,385.9萬
138.09%1,085.8萬
-237.65%-2,850.8萬
1,038.54%2,071萬
-90.94%181.9萬
267.40%2,007.1萬
-43.69%546.3萬
-6.66%928.9萬
914.51%308.7萬
-284.54%-267.4萬
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)2025/12/31(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
經營活動現金流量(間接法)
經營活動產生的現金 10.31%3,213.9萬381.64%2,913.6萬-129.21%-1,034.5萬58.10%3,541.7萬-44.07%2,240.2萬125.11%4,005.3萬-3.69%1,779.3萬12.47%1,402萬227.33%488.7萬-104.38%-16.8萬
扣除非現金調整前淨利潤 7.22%2,107.3萬4.14%1,965.4萬-41.07%1,887.3萬-38.96%3,202.7萬64.02%5,247.3萬58.20%3,199.2萬-14.66%2,022.2萬456.21%264.2萬28.38%665.9萬-55.38%412.5萬
非現金項目調整總額 55.48%1,960.4萬-9.54%1,260.9萬9.06%1,393.9萬56.53%1,278.1萬-17.66%816.5萬26.93%991.6萬59.40%781.2萬16.50%536.7萬8.12%-47.5萬370.67%184.6萬
-折舊與攤銷 10.74%729.2萬17.40%658.5萬14.38%560.9萬1.89%490.4萬17.73%481.3萬6.62%408.8萬73.17%383.4萬275.17%223.6萬0.94%53.7萬-9.48%50.6萬
-在損益中確認的減值損失回撥 -178.38%-10.3萬-188.10%-3.7萬111.60%4.2萬-141.28%-36.2萬13.75%87.7萬1,473.47%77.1萬-91.12%4.9萬-211.34%-37.3萬311.32%43.6萬-95.19%5,000
-資產準備金與勾銷 59.33%259.7萬-35.60%163萬71.01%253.1萬-48.38%148萬-43.14%286.7萬500.24%504.2萬-74.68%84萬-74.04%77.4萬-99.19%3,000395.24%6.2萬
-聯營企業份額 -56.33%26.9萬-7.92%61.6萬157.62%66.9萬-5.26%-116.1萬-12.67%-110.3萬-809.42%-97.9萬137.50%13.8萬722.06%55.9萬-174.13%-14.9萬15.31%-16.6萬
-處置利潤 105.82%1.1萬-2,262.50%-18.9萬66.67%-8,00098.86%-2.4萬-35,133.33%-211.4萬82.86%-6,00086.43%-3.5萬-140.51%-3.2萬--098.10%-4,000
-匯兌損益淨額 510.14%453.2萬-178.87%-110.5萬-71.18%140.1萬24,410.00%486.2萬95.37%-2萬-136.30%-43.2萬188.87%119萬904.73%148.7萬6.83%-175.9萬239.70%120萬
-以股票支付的報酬 ------0---35.8萬--0--175萬--0----------------
-其他非現金項目 -2.02%500.6萬26.05%510.9萬31.51%405.3萬181.46%308.2萬-23.53%109.5萬-20.27%143.2萬129.37%179.6萬79.45%71.6萬183.85%45.7萬511.86%24.3萬
營運資本變動 -173.04%-853.8萬92.75%-312.7萬-359.56%-4,315.7萬75.44%-939.1萬-1,961.24%-3,823.6萬81.89%-185.5萬-1.18%-1,024.1萬-18.59%601.1萬59.18%-129.7萬-29.79%-613.9萬
-應收款(增)減 -67.67%-2,576.1萬-40.40%-1,536.4萬-481.02%-1,094.3萬109.71%287.2萬13.59%-2,958.8萬-163.78%-3,424.1萬-1,826.20%-1,298.1萬-104.49%-92.1萬-80.09%135.1萬84.83%-261.4萬
-存貨(增)減 -112.69%-54.4萬-41.75%428.7萬245.77%736萬78.30%-504.9萬-647.00%-2,326.9萬-276.49%-311.5萬127.68%176.5萬96.29%-21.2萬-183.43%-243.2萬52.18%-258.4萬
-應付款(減)增 123.48%1,776.7萬120.09%795萬-448.57%-3,957.4萬-149.34%-721.4萬-58.82%1,462.1萬3,541.13%3,550.1萬121.68%97.5萬196.28%714.4萬98.32%-21.6萬-105.26%-94.1萬
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) 15.71%-438.9萬-24.84%-520.7萬-26.59%-417.1萬-161.72%-329.5萬20.57%-125.9萬16.71%-158.5萬-177.41%-190.3萬-506.19%-58.8萬-182.08%-48.8萬-89.07%-34.6萬
已收到的利息(經營活動產生的現金流) -31.21%22.7萬-2.37%33萬-16.34%33.8萬9.78%40.4萬21.45%36.8萬-2.57%30.3萬23.41%31.1萬61.70%7.6萬158.33%3.1萬-57.44%10.3萬
已支付退稅 -25.93%-740.2萬41.04%-587.8萬-4.56%-996.9萬25.81%-953.4萬-56.94%-1,285萬-43.12%-818.8萬-0.23%-572.1萬13.05%-145.2萬55.56%-68.7萬-21.71%-172.1萬
其他經營現金流入(流出) 0000000000
經營活動現金淨額 11.94%2,057.5萬176.12%1,838.1萬-205.02%-2,414.7萬165.47%2,299.2萬-71.68%866.1萬191.82%3,058.3萬-15.02%1,048萬12.19%1,205.6萬1,849.07%374.3萬-186.04%-213.2萬
投資活動現金流量
物業、廠房及設備交易淨額 14.33%-566.6萬-52.96%-661.4萬-93.64%-432.4萬-24.06%-223.3萬82.81%-180萬-111.73%-1,047.2萬-113.93%-494.6萬-203.30%-275.7萬-297.58%-65.6萬43.40%-50.6萬
無形資產交易淨額 ---88.9萬--0--------------------------------
業務交易淨額 -207.98%-115.8萬---37.6萬--0-----92.51%5.3萬203.36%70.8萬85.53%-68.5萬87.07%-68.5萬--0--0
投資產品交易淨額 ---------------------------90萬--0--0--0
向其他方提供的預付現金及貸款 ------------------------54.54%-339.5萬-207.10%-339.5萬--0--0
償還對其他方提供的預付款及貸款產生的現金收入 ----------------------354.1萬----------------
已收到的股息(投資活動產生的現金流) 46.81%6.9萬-84.79%4.7萬35.53%30.9萬-11.63%22.8萬92.54%25.8萬20.72%13.4萬-75.11%11.1萬-235.74%-39.5萬--28.4萬43.23%22.2萬
投資活動現金淨額 -10.10%-764.4萬-72.93%-694.3萬-100.25%-401.5萬-34.65%-200.5萬75.55%-148.9萬37.96%-608.9萬27.92%-981.5萬-215.39%-723.2萬96.03%-37.2萬79.07%-28.4萬
融資活動現金流量
債務發行/償還的淨額 203.80%611.4萬-114.09%-589萬769.36%4,180.8萬-174.25%-624.6萬10.66%841.2萬528.28%760.2萬-114.46%-177.5萬-406.15%-79.6萬-102.08%-23.9萬-226.85%-259.4萬
普通股發行/回購的淨額 ------------------------179,800.00%539.7萬--0--0--0
租賃融資增減 -17.46%-302萬-11.98%-257.1萬2.09%-229.6萬-35.86%-234.5萬10.10%-172.6萬-11.76%-192萬-838.80%-171.8萬-3,946.34%-165.9萬-118.48%-1.7萬95.51%-1.8萬
已支付現金股息 -30.24%-70.2萬67.67%-53.9萬73.99%-166.7萬-407.36%-640.8萬-105.03%-126.3萬50.99%-61.6萬45.09%-125.7萬--0---125.7萬----
非控制性權益現金股息 22.11%-444.3萬11.19%-570.4萬41.56%-642.3萬-21.17%-1,099.1萬-76.96%-907.1萬13.96%-512.6萬6.23%-595.8萬-7.49%-320萬-4,868.00%-248.4萬84.72%-27.4萬
已付利息(籌資活動產生的現金流) 3.07%-25.3萬-18.64%-26.1萬-16.40%-22萬12.90%-18.9萬-44.67%-21.7萬7.98%-15萬---16.3萬------------
其他籌資費用淨額 -21.83%71.6萬-43.70%91.6萬--162.7萬----226.11%483萬-146.14%-383萬45.10%-155.6萬111.07%26.7萬-267.05%-190.5萬402.04%73.8萬
融資活動現金淨額 88.70%-158.8萬-142.79%-1,404.9萬225.40%3,282.9萬-2,812.85%-2,617.9萬123.89%96.5萬42.53%-404萬-1,233.87%-703萬-7.45%-555.1萬-153.52%-590.2萬6.24%-214.8萬
現金淨流量
期初現金流 -5.29%5,612.9萬9.48%5,926.2萬-8.29%5,412.8萬14.74%5,902.1萬65.04%5,144萬-16.34%3,116.8萬-2.10%3,725.5萬-6.74%3,164萬6.79%3,423.1萬14.35%3,879.1萬
現金變動 534.43%1,134.3萬-155.95%-261.1萬189.89%466.7萬-163.81%-519.2萬-60.22%813.7萬421.35%2,045.4萬-860.03%-636.5萬-122.12%-72.7萬-275.52%-253.1萬-290.09%-456.4萬
匯率變動影響 224.52%65萬-211.78%-52.2萬56.19%46.7萬153.78%29.9萬-205.49%-55.6萬-165.47%-18.2萬305.93%27.8萬521.95%25.5萬-113.95%-6萬100.57%4,000
期末現金 21.37%6,812.2萬-5.29%5,612.9萬9.48%5,926.2萬-8.29%5,412.8萬14.74%5,902.1萬65.04%5,144萬-16.34%3,116.8萬-16.34%3,116.8萬-6.74%3,164萬6.79%3,423.1萬
自由現金流 27.64%1,385.9萬138.09%1,085.8萬-237.65%-2,850.8萬1,038.54%2,071萬-90.94%181.9萬267.40%2,007.1萬-43.69%546.3萬-6.66%928.9萬914.51%308.7萬-284.54%-267.4萬
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