新加坡市場個股詳情

許兄弟集團 (K75)

添加自選
  • 0.480
  • +0.005+1.05%
延時10分鐘行情休市中 04/30 17:04 (北京)
1.98億總市值10.67市盈率TTM

K75 許兄弟集團

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
6.73%6,829.8萬
-17.41%6,399.4萬
90.05%7,748.6萬
308.25%4,077.1萬
-167.93%-1,957.8萬
243.26%2,882萬
105.92%839.6萬
785.94%3,640.3萬
86.44%-186.6萬
97.44%-209.8萬
扣除非現金調整前淨利潤
344.65%2,549.5萬
61.43%-1,042.1萬
-428.61%-2,701.8萬
0.35%822.2萬
149.00%819.3萬
-305.75%-1,671.9萬
-2.33%812.6萬
56.65%375.8萬
-35.75%144.5萬
-20.62%125.1萬
非現金項目調整總額
-108.87%-122.1萬
-38.69%1,376.1萬
260.97%2,244.5萬
-49.01%621.8萬
-48.19%1,219.4萬
164.19%2,353.4萬
250.16%890.8萬
86.82%522.9萬
359.55%264.7萬
-26.97%-170.9萬
-折舊與攤銷
13.53%966.5萬
-22.94%851.3萬
10.23%1,104.7萬
-37.14%1,002.2萬
-26.68%1,594.3萬
11.56%2,174.4萬
84.35%1,949.1萬
114.62%843.9萬
83.62%391.3萬
73.24%354.8萬
-在損益中確認的減值損失回撥
-802.75%-98.4萬
89.32%-10.9萬
-232.08%-102.1萬
622.30%77.3萬
-137.37%-14.8萬
2,229.41%39.6萬
-26.09%1.7萬
-187.50%-1.4萬
300.00%1.6萬
1,400.00%1.5萬
-資產準備金與勾銷
----
--0
-14.69%86.5萬
144.47%101.4萬
-463.64%-228萬
--62.7萬
--0
----
----
----
-聯營企業份額
42.96%-298.3萬
-91.72%-523萬
-67.16%-272.8萬
46.30%-163.2萬
47.36%-303.9萬
66.44%-577.3萬
-54.70%-1,720.3萬
-45.87%-497.4萬
-2.22%-253.8萬
-164.20%-713.6萬
-處置利潤
-605.65%-1,637.1萬
-186.77%-232萬
94.63%-80.9萬
-135.56%-1,506.2萬
-124.75%-639.4萬
-68.84%-284.5萬
-600.00%-168.5萬
-2,893.02%-120.1萬
-404.62%-72.5萬
-33.78%-19.8萬
-匯兌損益淨額
185.15%95.2萬
-216.58%-111.8萬
241.28%95.9萬
154.67%28.1萬
-1,452.63%-51.4萬
120.21%3.8萬
68.46%-18.8萬
-15.71%11.8萬
-26.80%-12.3萬
97.15%-2.2萬
-遞延所得稅
23.14%410.8萬
178.00%333.6萬
16.85%120萬
61.73%102.7萬
27.00%63.5萬
-9.42%50萬
-44.41%55.2萬
-25.68%38.2萬
-133.16%-6.5萬
6.90%6.2萬
-其他非現金項目
-58.91%439.2萬
-17.34%1,068.9萬
32.03%1,293.2萬
22.58%979.5萬
-9.68%799.1萬
11.65%884.7萬
239.50%792.4萬
58.50%247.9萬
269.51%216.9萬
1,096.45%202.2萬
營運資本變動
-27.42%4,402.4萬
-26.08%6,065.4萬
211.64%8,205.9萬
165.89%2,633.1萬
-281.62%-3,996.5萬
354.75%2,200.5萬
94.34%-863.8萬
360.98%2,741.6萬
64.08%-595.8萬
98.01%-164萬
-應收款(增)減
133.90%797.7萬
-515.49%-2,353萬
-158.90%-382.3萬
138.07%649.1萬
-226.75%-1,705萬
-30.48%1,345.2萬
-3.89%1,935萬
62.57%920.3萬
-96.48%175.1萬
342.58%652.8萬
-存貨(增)減
-198.89%-483.1萬
191.29%488.5萬
-35.08%167.7萬
148.72%258.3萬
-352.84%-530.2萬
38.05%209.7萬
-36.47%151.9萬
65.89%92.4萬
-185.91%-99.4萬
-138.01%-49萬
-應付款(減)增
723.49%3,924.9萬
0.90%-629.5萬
-137.83%-635.2萬
185.97%1,679萬
20.85%-1,953.1萬
-62.08%-2,467.7萬
-945.36%-1,522.5萬
-55.94%801.1萬
124.58%1,204.1萬
-110.88%-310.1萬
-其他流動資產變動
-98.10%162.9萬
-5.48%8,559.4萬
19,291.22%9,055.7萬
-75.65%46.7萬
-93.84%191.8萬
317.99%3,113.3萬
91.93%-1,428.2萬
126.58%927.8萬
-1.43%-1,875.6萬
95.97%-457.7萬
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)
已收到的利息(經營活動產生的現金流)
已支付退稅
-29.64%-372.2萬
-50.95%-287.1萬
-43.76%-190.2萬
-70.71%-132.3萬
-156.62%-77.5萬
71.35%-30.2萬
64.05%-105.4萬
121.97%24.5萬
8.25%-17.8萬
-399.37%-94.9萬
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
5.65%6,457.6萬
-19.13%6,112.3萬
91.60%7,558.4萬
293.82%3,944.8萬
-171.37%-2,035.3萬
288.42%2,851.8萬
105.07%734.2萬
3,150.81%4,515.2萬
28.31%-1,054.8萬
97.65%-198.2萬
投資活動現金流量
物業、廠房及設備交易淨額
934.69%1,624.3萬
-8.59%-194.6萬
-113.49%-179.2萬
11,553.51%1,328.5萬
112.60%11.4萬
95.26%-90.5萬
-52.39%-1,907.5萬
-28.32%-1,941.3萬
66.67%70.5萬
-103.08%-9.1萬
業務交易淨額
1,173.08%33.1萬
--2.6萬
--0
----
7,367.65%253.9萬
-92.61%3.4萬
167.35%46萬
----
----
----
投資物業交易淨額
----
--0
--769.2萬
--0
----
-68.26%-137.3萬
4.56%-81.6萬
4.58%-27.1萬
101.75%5,000
----
投資產品交易淨額
53.57%184.9萬
733.68%120.4萬
-180.85%-19萬
101.77%23.5萬
-792.09%-1,330.2萬
-96.74%192.2萬
1,793.68%5,897.4萬
1,001.03%1,812.3萬
211.23%412萬
693.35%1,257.9萬
已收到的股息(投資活動產生的現金流)
1,242.86%253.8萬
--18.9萬
--0
-47.89%300萬
-52.45%575.7萬
215.26%1,210.6萬
-65.53%384萬
--0
--64萬
757.14%120萬
已收到的利息(投資活動產生的現金流)
-12.97%136.2萬
42.40%156.5萬
10.67%109.9萬
-17.87%99.3萬
113.23%120.9萬
-46.05%56.7萬
-76.08%105.1萬
370.59%24萬
-92.17%9.1萬
-79.20%30.7萬
投資活動現金淨額
2,050.58%2,232.3萬
-84.76%103.8萬
-61.12%680.9萬
575.51%1,751.3萬
-129.82%-368.3萬
-72.20%1,235.1萬
5,007.36%4,443.4萬
75.58%-86.1萬
331.32%556.1萬
521.02%1,344.5萬
融資活動現金流量
債務發行/償還的淨額
53.28%-3,195.2萬
-53.44%-6,838.6萬
14.98%-4,456.8萬
-3,754.41%-5,242萬
55.01%-136萬
-110.89%-302.3萬
-77.85%2,774.8萬
229.61%445.2萬
-83.81%330.4萬
-95.49%376.8萬
普通股發行/回購的淨額
----
--0
-99.94%3,000
-87.28%474萬
--3,727.3萬
--0
----
----
----
----
租賃融資增減
7.29%-459萬
37.98%-495.1萬
6.14%-798.3萬
3.70%-850.5萬
-9.95%-883.2萬
27.93%-803.3萬
-211.17%-1,114.6萬
-236.00%-340.7萬
-155.45%-262.6萬
-373.49%-344.7萬
發行費用
----
----
----
---58.2萬
--0
----
----
----
----
----
已支付現金股息
---41.2萬
----
0.00%-82.5萬
---82.5萬
----
37.52%-103.1萬
60.00%-165萬
--0
--0
----
非控制性權益現金股息
-31.96%-150.3萬
-31.68%-113.9萬
1.37%-86.5萬
-43.77%-87.7萬
17.68%-61萬
54.20%-74.1萬
-150.85%-161.8萬
---49.6萬
--0
----
已付利息(籌資活動產生的現金流)
58.63%-552.7萬
0.37%-1,336萬
-32.59%-1,340.9萬
-9.60%-1,011.3萬
18.27%-922.7萬
9.43%-1,128.9萬
-42.95%-1,246.4萬
----
----
----
其他籌資費用淨額
----
----
----
----
----
----
-92.54%20萬
--0
--0
----
融資活動現金淨額
49.92%-4,398.4萬
-29.84%-8,783.6萬
1.36%-6,764.7萬
-497.72%-6,858.2萬
171.50%1,724.4萬
-2,353.93%-2,411.7萬
-99.07%107萬
10.40%-1,191.5萬
-78.55%530.7萬
-108.87%-688萬
現金淨流量
期初現金流
-25.76%7,114.9萬
16.26%9,583.2萬
-13.37%8,243.2萬
-6.58%9,515.2萬
19.55%1.02億
162.32%8,519.5萬
-47.25%3,247.8萬
4.41%5,300.3萬
21.32%5,254.7萬
0.81%4,796.8萬
現金變動
267.15%4,291.5萬
-274.12%-2,567.5萬
226.89%1,474.6萬
-71.10%-1,162.1萬
-140.54%-679.2萬
-68.30%1,675.2萬
281.02%5,284.6萬
276.88%3,237.6萬
-95.80%32萬
201.91%458.3萬
匯率變動影響
-71.67%28.1萬
173.70%99.2萬
-22.47%-134.6萬
-1,256.84%-109.9萬
196.94%9.5萬
24.03%-9.8萬
-224.04%-12.9萬
-1,068.42%-18.4萬
178.16%13.6萬
-101.75%-4,000
期末現金
60.71%1.14億
-25.76%7,114.9萬
16.26%9,583.2萬
-13.37%8,243.2萬
-6.58%9,515.2萬
19.55%1.02億
162.32%8,519.5萬
162.32%8,519.5萬
4.41%5,300.3萬
21.32%5,254.7萬
自由現金流
1.38%5,963.6萬
-19.78%5,882.3萬
102.74%7,332.3萬
254.73%3,616.6萬
-189.16%-2,337.4萬
284.15%2,621.5萬
91.21%-1,423.6萬
242.76%2,454.5萬
27.38%-1,076.9萬
97.52%-210.2萬
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 6.73%6,829.8萬-17.41%6,399.4萬90.05%7,748.6萬308.25%4,077.1萬-167.93%-1,957.8萬243.26%2,882萬105.92%839.6萬785.94%3,640.3萬86.44%-186.6萬97.44%-209.8萬
扣除非現金調整前淨利潤 344.65%2,549.5萬61.43%-1,042.1萬-428.61%-2,701.8萬0.35%822.2萬149.00%819.3萬-305.75%-1,671.9萬-2.33%812.6萬56.65%375.8萬-35.75%144.5萬-20.62%125.1萬
非現金項目調整總額 -108.87%-122.1萬-38.69%1,376.1萬260.97%2,244.5萬-49.01%621.8萬-48.19%1,219.4萬164.19%2,353.4萬250.16%890.8萬86.82%522.9萬359.55%264.7萬-26.97%-170.9萬
-折舊與攤銷 13.53%966.5萬-22.94%851.3萬10.23%1,104.7萬-37.14%1,002.2萬-26.68%1,594.3萬11.56%2,174.4萬84.35%1,949.1萬114.62%843.9萬83.62%391.3萬73.24%354.8萬
-在損益中確認的減值損失回撥 -802.75%-98.4萬89.32%-10.9萬-232.08%-102.1萬622.30%77.3萬-137.37%-14.8萬2,229.41%39.6萬-26.09%1.7萬-187.50%-1.4萬300.00%1.6萬1,400.00%1.5萬
-資產準備金與勾銷 ------0-14.69%86.5萬144.47%101.4萬-463.64%-228萬--62.7萬--0------------
-聯營企業份額 42.96%-298.3萬-91.72%-523萬-67.16%-272.8萬46.30%-163.2萬47.36%-303.9萬66.44%-577.3萬-54.70%-1,720.3萬-45.87%-497.4萬-2.22%-253.8萬-164.20%-713.6萬
-處置利潤 -605.65%-1,637.1萬-186.77%-232萬94.63%-80.9萬-135.56%-1,506.2萬-124.75%-639.4萬-68.84%-284.5萬-600.00%-168.5萬-2,893.02%-120.1萬-404.62%-72.5萬-33.78%-19.8萬
-匯兌損益淨額 185.15%95.2萬-216.58%-111.8萬241.28%95.9萬154.67%28.1萬-1,452.63%-51.4萬120.21%3.8萬68.46%-18.8萬-15.71%11.8萬-26.80%-12.3萬97.15%-2.2萬
-遞延所得稅 23.14%410.8萬178.00%333.6萬16.85%120萬61.73%102.7萬27.00%63.5萬-9.42%50萬-44.41%55.2萬-25.68%38.2萬-133.16%-6.5萬6.90%6.2萬
-其他非現金項目 -58.91%439.2萬-17.34%1,068.9萬32.03%1,293.2萬22.58%979.5萬-9.68%799.1萬11.65%884.7萬239.50%792.4萬58.50%247.9萬269.51%216.9萬1,096.45%202.2萬
營運資本變動 -27.42%4,402.4萬-26.08%6,065.4萬211.64%8,205.9萬165.89%2,633.1萬-281.62%-3,996.5萬354.75%2,200.5萬94.34%-863.8萬360.98%2,741.6萬64.08%-595.8萬98.01%-164萬
-應收款(增)減 133.90%797.7萬-515.49%-2,353萬-158.90%-382.3萬138.07%649.1萬-226.75%-1,705萬-30.48%1,345.2萬-3.89%1,935萬62.57%920.3萬-96.48%175.1萬342.58%652.8萬
-存貨(增)減 -198.89%-483.1萬191.29%488.5萬-35.08%167.7萬148.72%258.3萬-352.84%-530.2萬38.05%209.7萬-36.47%151.9萬65.89%92.4萬-185.91%-99.4萬-138.01%-49萬
-應付款(減)增 723.49%3,924.9萬0.90%-629.5萬-137.83%-635.2萬185.97%1,679萬20.85%-1,953.1萬-62.08%-2,467.7萬-945.36%-1,522.5萬-55.94%801.1萬124.58%1,204.1萬-110.88%-310.1萬
-其他流動資產變動 -98.10%162.9萬-5.48%8,559.4萬19,291.22%9,055.7萬-75.65%46.7萬-93.84%191.8萬317.99%3,113.3萬91.93%-1,428.2萬126.58%927.8萬-1.43%-1,875.6萬95.97%-457.7萬
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)
已收到的利息(經營活動產生的現金流)
已支付退稅 -29.64%-372.2萬-50.95%-287.1萬-43.76%-190.2萬-70.71%-132.3萬-156.62%-77.5萬71.35%-30.2萬64.05%-105.4萬121.97%24.5萬8.25%-17.8萬-399.37%-94.9萬
其他經營現金流入(流出) 0000000000
經營活動現金淨額 5.65%6,457.6萬-19.13%6,112.3萬91.60%7,558.4萬293.82%3,944.8萬-171.37%-2,035.3萬288.42%2,851.8萬105.07%734.2萬3,150.81%4,515.2萬28.31%-1,054.8萬97.65%-198.2萬
投資活動現金流量
物業、廠房及設備交易淨額 934.69%1,624.3萬-8.59%-194.6萬-113.49%-179.2萬11,553.51%1,328.5萬112.60%11.4萬95.26%-90.5萬-52.39%-1,907.5萬-28.32%-1,941.3萬66.67%70.5萬-103.08%-9.1萬
業務交易淨額 1,173.08%33.1萬--2.6萬--0----7,367.65%253.9萬-92.61%3.4萬167.35%46萬------------
投資物業交易淨額 ------0--769.2萬--0-----68.26%-137.3萬4.56%-81.6萬4.58%-27.1萬101.75%5,000----
投資產品交易淨額 53.57%184.9萬733.68%120.4萬-180.85%-19萬101.77%23.5萬-792.09%-1,330.2萬-96.74%192.2萬1,793.68%5,897.4萬1,001.03%1,812.3萬211.23%412萬693.35%1,257.9萬
已收到的股息(投資活動產生的現金流) 1,242.86%253.8萬--18.9萬--0-47.89%300萬-52.45%575.7萬215.26%1,210.6萬-65.53%384萬--0--64萬757.14%120萬
已收到的利息(投資活動產生的現金流) -12.97%136.2萬42.40%156.5萬10.67%109.9萬-17.87%99.3萬113.23%120.9萬-46.05%56.7萬-76.08%105.1萬370.59%24萬-92.17%9.1萬-79.20%30.7萬
投資活動現金淨額 2,050.58%2,232.3萬-84.76%103.8萬-61.12%680.9萬575.51%1,751.3萬-129.82%-368.3萬-72.20%1,235.1萬5,007.36%4,443.4萬75.58%-86.1萬331.32%556.1萬521.02%1,344.5萬
融資活動現金流量
債務發行/償還的淨額 53.28%-3,195.2萬-53.44%-6,838.6萬14.98%-4,456.8萬-3,754.41%-5,242萬55.01%-136萬-110.89%-302.3萬-77.85%2,774.8萬229.61%445.2萬-83.81%330.4萬-95.49%376.8萬
普通股發行/回購的淨額 ------0-99.94%3,000-87.28%474萬--3,727.3萬--0----------------
租賃融資增減 7.29%-459萬37.98%-495.1萬6.14%-798.3萬3.70%-850.5萬-9.95%-883.2萬27.93%-803.3萬-211.17%-1,114.6萬-236.00%-340.7萬-155.45%-262.6萬-373.49%-344.7萬
發行費用 ---------------58.2萬--0--------------------
已支付現金股息 ---41.2萬----0.00%-82.5萬---82.5萬----37.52%-103.1萬60.00%-165萬--0--0----
非控制性權益現金股息 -31.96%-150.3萬-31.68%-113.9萬1.37%-86.5萬-43.77%-87.7萬17.68%-61萬54.20%-74.1萬-150.85%-161.8萬---49.6萬--0----
已付利息(籌資活動產生的現金流) 58.63%-552.7萬0.37%-1,336萬-32.59%-1,340.9萬-9.60%-1,011.3萬18.27%-922.7萬9.43%-1,128.9萬-42.95%-1,246.4萬------------
其他籌資費用淨額 -------------------------92.54%20萬--0--0----
融資活動現金淨額 49.92%-4,398.4萬-29.84%-8,783.6萬1.36%-6,764.7萬-497.72%-6,858.2萬171.50%1,724.4萬-2,353.93%-2,411.7萬-99.07%107萬10.40%-1,191.5萬-78.55%530.7萬-108.87%-688萬
現金淨流量
期初現金流 -25.76%7,114.9萬16.26%9,583.2萬-13.37%8,243.2萬-6.58%9,515.2萬19.55%1.02億162.32%8,519.5萬-47.25%3,247.8萬4.41%5,300.3萬21.32%5,254.7萬0.81%4,796.8萬
現金變動 267.15%4,291.5萬-274.12%-2,567.5萬226.89%1,474.6萬-71.10%-1,162.1萬-140.54%-679.2萬-68.30%1,675.2萬281.02%5,284.6萬276.88%3,237.6萬-95.80%32萬201.91%458.3萬
匯率變動影響 -71.67%28.1萬173.70%99.2萬-22.47%-134.6萬-1,256.84%-109.9萬196.94%9.5萬24.03%-9.8萬-224.04%-12.9萬-1,068.42%-18.4萬178.16%13.6萬-101.75%-4,000
期末現金 60.71%1.14億-25.76%7,114.9萬16.26%9,583.2萬-13.37%8,243.2萬-6.58%9,515.2萬19.55%1.02億162.32%8,519.5萬162.32%8,519.5萬4.41%5,300.3萬21.32%5,254.7萬
自由現金流 1.38%5,963.6萬-19.78%5,882.3萬102.74%7,332.3萬254.73%3,616.6萬-189.16%-2,337.4萬284.15%2,621.5萬91.21%-1,423.6萬242.76%2,454.5萬27.38%-1,076.9萬97.52%-210.2萬
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