新加坡市場個股詳情

莎姆達拉 (S56)

添加自選
  • 1.160
  • +0.020+1.75%
延時10分鐘行情已收盤 05/04 17:09 (北京)
6.24億總市值6.34市盈率TTM

S56 莎姆達拉

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
31.86%1.56億
-51.06%1.19億
-45.27%2.42億
241.48%4.42億
208.48%1.3億
20.87%4,200.1萬
17,275.00%3,475萬
20.41%706.7萬
414.06%486.3萬
132.03%211.9萬
扣除非現金調整前淨利潤
7.24%8,043.3萬
-28.56%7,500萬
-67.77%1.05億
149.32%3.26億
1,574.59%1.31億
58.98%780.1萬
-40.11%490.7萬
-49.54%269.8萬
-120.14%-41.8萬
202.08%232.9萬
非現金項目調整總額
29.18%8,031.4萬
-37.48%6,217.2萬
-10.67%9,943.8萬
219.13%1.11億
45.11%3,488.1萬
16.02%2,403.7萬
63.31%2,071.8萬
-9.55%636.1萬
48.35%441.5萬
109.04%559.6萬
-折舊與攤銷
42.60%7,945.3萬
-44.01%5,571.8萬
-8.36%9,951.8萬
226.04%1.09億
134.74%3,330.9萬
-20.64%1,419萬
56.38%1,788萬
-29.70%402.2萬
51.48%429.6萬
65.21%475.3萬
-在損益中確認的減值損失回撥
-84.49%5.6萬
-97.06%36.1萬
614,300.00%1,228.8萬
-99.95%2,000
-57.83%405.1萬
265.42%960.7萬
48.20%262.9萬
8.29%192.1萬
--30.6萬
----
-資產準備金與勾銷
-21.43%53.9萬
207.02%68.6萬
-682.73%-64.1萬
111.92%11萬
-232.61%-92.3萬
--69.6萬
----
----
336.36%10.4萬
-39.68%19萬
-聯營企業份額
-155.33%-432.3萬
236.81%781.3萬
-195.60%-571.1萬
17.29%-193.2萬
-32.35%-233.6萬
-20.64%-176.5萬
-95.07%-146.3萬
2.64%-40.6萬
39.80%-11.8萬
-210.95%-42.6萬
-處置利潤
35.18%-118.1萬
-3,860.87%-182.2萬
53.54%-4.6萬
89.92%-9.9萬
-9,720.00%-98.2萬
97.65%-1萬
40.23%-42.5萬
91.44%-5.9萬
-2,086.67%-32.8萬
-385.71%-3.4萬
-匯兌損益淨額
602.33%86.4萬
69.23%-17.2萬
-141.59%-55.9萬
290.91%134.4萬
-282.86%-70.4萬
71.11%38.5萬
233.14%22.5萬
6.73%36.5萬
-5,428.57%-38.7萬
135.52%17.9萬
-其他非現金項目
1,290.78%490.6萬
92.39%-41.2萬
-264.52%-541.1萬
33.37%328.9萬
164.03%246.6萬
-50.11%93.4萬
68.95%187.2萬
-58.99%23.5萬
34.83%54.2萬
300.00%53.2萬
營運資本變動
75.94%-449.2萬
-149.49%-1,867萬
595.58%3,772.8萬
115.09%542.4萬
-453.76%-3,595.3萬
11.38%1,016.3萬
144.13%912.5萬
69.41%-199.2萬
121.10%86.6萬
42.30%-580.6萬
-應收款(增)減
-85.01%-1,553.2萬
-111.54%-839.5萬
351.42%7,272.3萬
56.02%-2,892.5萬
-1,238.20%-6,576.5萬
-60.51%577.8萬
169.00%1,463萬
35.24%-700.4萬
-32.68%262.6萬
120.34%290.6萬
-存貨(增)減
33.44%-62.7萬
-245.15%-94.2萬
232.72%64.9萬
-419.61%-48.9萬
905.26%15.3萬
-105.04%-1.9萬
-5.51%37.7萬
-88.47%4.6萬
489.32%91.1萬
-366.67%-62.4萬
-預付費用(增)減
115.50%36.6萬
-594.97%-236.1萬
-48.87%47.7萬
108.69%93.3萬
-501.50%-1,073.6萬
239.49%267.4萬
-208.70%-191.7萬
-69.28%118.2萬
-42.07%-169.2萬
102.35%7.7萬
-應付款(減)增
262.09%1,130.1萬
80.70%-697.2萬
-206.54%-3,612.1萬
-16.07%3,390.5萬
2,234.97%4,039.5萬
143.63%173萬
-632.21%-396.5萬
6,538.60%378.4萬
85.12%-97.9萬
-212.33%-816.5萬
-貸款、租賃及其他損失準備金
---1.2萬
--0
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----
----
----
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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)
-21.18%-1,809.1萬
-36.41%-1,492.9萬
-88.11%-1,094.4萬
-108.46%-581.8萬
-73.35%-279.1萬
43.82%-161萬
-58.43%-286.6萬
36.48%-53.8萬
-42.22%-76.8萬
-73.70%-73.3萬
已收到的利息(經營活動產生的現金流)
已支付退稅
14.15%-291.9萬
-20.74%-340萬
-15.03%-281.6萬
-423.08%-244.8萬
-127.18%-46.8萬
77.21%-20.6萬
-65.27%-90.4萬
106.54%2.5萬
-164.89%-24.9萬
-142.25%-17.2萬
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
35.01%1.35億
-56.14%1億
-47.40%2.28億
243.75%4.34億
214.31%1.26億
29.71%4,018.5萬
1,536.92%3,098萬
41.25%655.4萬
1,132.69%384.6萬
117.08%121.4萬
投資活動現金流量
物業、廠房及設備交易淨額
15.75%-5,994.4萬
31.20%-7,115.3萬
-129.74%-1.03億
-1,428.52%-4,501.5萬
-165.79%-294.5萬
71.76%-110.8萬
-24.65%-392.4萬
-114.86%-101.2萬
96.79%-6.7萬
-165.76%-156.8萬
無形資產交易淨額
52.92%-42.7萬
1.41%-90.7萬
-314.41%-92萬
-59.71%-22.2萬
89.10%-13.9萬
-1,923.81%-127.5萬
35.05%-6.3萬
98.36%-1,000
---5.1萬
77.78%-8,000
業務交易淨額
----
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---2,219.8萬
--0
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投資物業交易淨額
----
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----
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---2.6萬
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投資產品交易淨額
----
----
----
----
----
----
-88.89%3,000
-92.86%1,000
--0
-114.29%-1,000
向其他方提供的預付現金及貸款
----
----
----
----
----
----
-23.72%-33.9萬
108.47%1.5萬
-458.33%-33.5萬
81.08%-7,000
已收到的股息(投資活動產生的現金流)
----
----
----
----
5.00%105萬
--100萬
--0
----
----
----
已收到的利息(投資活動產生的現金流)
-14.05%1,318.5萬
17.12%1,534.1萬
420.01%1,309.9萬
675.08%251.9萬
-51.92%32.5萬
-31.99%67.6萬
41.80%99.4萬
10.58%30.3萬
63.77%22.6萬
-30.45%20.1萬
其他投資變動淨額
---562.8萬
----
----
----
--2,528.9萬
----
198.74%2,085.8萬
----
--1,973.6萬
----
投資活動現金淨額
6.88%-5,281.4萬
37.83%-5,671.9萬
-40.55%-9,123.8萬
-375.30%-6,491.6萬
3,435.22%2,358萬
-104.04%-70.7萬
317.63%1,750.3萬
-93.87%40.2萬
1,073.99%1,950.9萬
-276.84%-138.3萬
融資活動現金流量
債務發行/償還的淨額
-128.69%-1,590.3萬
46.18%5,543.2萬
250.60%3,792.1萬
190.00%1,081.6萬
-89.47%-1,201.8萬
16.55%-634.3萬
60.93%-760.1萬
88.70%-104.5萬
-27.54%-872萬
317.50%733.4萬
租賃融資增減
-31.29%-5,557.8萬
52.13%-4,233.1萬
14.88%-8,843.6萬
-305.10%-1.04億
-344.28%-2,564.8萬
30.86%-577.3萬
-139,066.67%-835萬
-42,975.00%-172.3萬
-214,600.00%-214.7萬
-337,400.00%-337.5萬
已支付現金股息
13.61%-3,423.3萬
63.47%-3,962.4萬
-36.36%-1.08億
-1,174.79%-7,954.7萬
-116.52%-624萬
2.86%-288.2萬
2.21%-296.7萬
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非控制性權益現金股息
32.22%-42.7萬
50.97%-63萬
-121.55%-128.5萬
-900.00%-58萬
63.75%-5.8萬
-21.21%-16萬
---13.2萬
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其他籌資費用淨額
-7.84%-5.5萬
65.31%-5.1萬
24.62%-14.7萬
-106.55%-19.5萬
-39.94%297.7萬
302.33%495.7萬
-166.41%-245萬
19.87%-23.8萬
-101.69%-6.9萬
-1,777.00%-187.7萬
融資活動現金淨額
-290.37%-1.06億
83.04%-2,720.4萬
7.49%-1.6億
-323.08%-1.73億
-301.79%-4,098.7萬
52.55%-1,020.1萬
-14.33%-2,150萬
68.19%-303.7萬
-297.38%-1,093.6萬
84.84%-98.6萬
現金淨流量
期初現金流
4.41%3.73億
-5.87%3.57億
103.96%3.8億
141.62%1.86億
61.28%7,701.8萬
130.15%4,775.3萬
-45.24%2,074.9萬
97.36%4,382.6萬
17.15%3,151.9萬
-20.52%3,264.2萬
現金變動
-246.25%-2,376.5萬
169.87%1,625萬
-111.88%-2,325.9萬
79.84%1.96億
271.95%1.09億
8.50%2,927.7萬
260.90%2,698.3萬
136.94%391.9萬
379.52%1,241.9萬
91.74%-115.5萬
匯率變動影響
-32.71%-64.1萬
-149.69%-48.3萬
140.84%97.2萬
-1,444.63%-238萬
1,575.00%17.7萬
-157.14%-1.2萬
105.61%2.1萬
-87.50%8,000
56.08%-11.2萬
117.49%3.2萬
期末現金
-6.54%3.49億
4.41%3.73億
-5.87%3.57億
103.96%3.8億
141.62%1.86億
61.28%7,701.8萬
130.15%4,775.3萬
130.15%4,775.3萬
97.36%4,382.6萬
17.15%3,151.9萬
自由現金流
180.58%7,376.1萬
-78.80%2,628.9萬
-68.10%1.24億
215.57%3.89億
231.92%1.23億
37.79%3,711.8萬
525.64%2,693.9萬
73.44%553.1萬
308.74%372.4萬
94.88%-39.6萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
(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 31.86%1.56億-51.06%1.19億-45.27%2.42億241.48%4.42億208.48%1.3億20.87%4,200.1萬17,275.00%3,475萬20.41%706.7萬414.06%486.3萬132.03%211.9萬
扣除非現金調整前淨利潤 7.24%8,043.3萬-28.56%7,500萬-67.77%1.05億149.32%3.26億1,574.59%1.31億58.98%780.1萬-40.11%490.7萬-49.54%269.8萬-120.14%-41.8萬202.08%232.9萬
非現金項目調整總額 29.18%8,031.4萬-37.48%6,217.2萬-10.67%9,943.8萬219.13%1.11億45.11%3,488.1萬16.02%2,403.7萬63.31%2,071.8萬-9.55%636.1萬48.35%441.5萬109.04%559.6萬
-折舊與攤銷 42.60%7,945.3萬-44.01%5,571.8萬-8.36%9,951.8萬226.04%1.09億134.74%3,330.9萬-20.64%1,419萬56.38%1,788萬-29.70%402.2萬51.48%429.6萬65.21%475.3萬
-在損益中確認的減值損失回撥 -84.49%5.6萬-97.06%36.1萬614,300.00%1,228.8萬-99.95%2,000-57.83%405.1萬265.42%960.7萬48.20%262.9萬8.29%192.1萬--30.6萬----
-資產準備金與勾銷 -21.43%53.9萬207.02%68.6萬-682.73%-64.1萬111.92%11萬-232.61%-92.3萬--69.6萬--------336.36%10.4萬-39.68%19萬
-聯營企業份額 -155.33%-432.3萬236.81%781.3萬-195.60%-571.1萬17.29%-193.2萬-32.35%-233.6萬-20.64%-176.5萬-95.07%-146.3萬2.64%-40.6萬39.80%-11.8萬-210.95%-42.6萬
-處置利潤 35.18%-118.1萬-3,860.87%-182.2萬53.54%-4.6萬89.92%-9.9萬-9,720.00%-98.2萬97.65%-1萬40.23%-42.5萬91.44%-5.9萬-2,086.67%-32.8萬-385.71%-3.4萬
-匯兌損益淨額 602.33%86.4萬69.23%-17.2萬-141.59%-55.9萬290.91%134.4萬-282.86%-70.4萬71.11%38.5萬233.14%22.5萬6.73%36.5萬-5,428.57%-38.7萬135.52%17.9萬
-其他非現金項目 1,290.78%490.6萬92.39%-41.2萬-264.52%-541.1萬33.37%328.9萬164.03%246.6萬-50.11%93.4萬68.95%187.2萬-58.99%23.5萬34.83%54.2萬300.00%53.2萬
營運資本變動 75.94%-449.2萬-149.49%-1,867萬595.58%3,772.8萬115.09%542.4萬-453.76%-3,595.3萬11.38%1,016.3萬144.13%912.5萬69.41%-199.2萬121.10%86.6萬42.30%-580.6萬
-應收款(增)減 -85.01%-1,553.2萬-111.54%-839.5萬351.42%7,272.3萬56.02%-2,892.5萬-1,238.20%-6,576.5萬-60.51%577.8萬169.00%1,463萬35.24%-700.4萬-32.68%262.6萬120.34%290.6萬
-存貨(增)減 33.44%-62.7萬-245.15%-94.2萬232.72%64.9萬-419.61%-48.9萬905.26%15.3萬-105.04%-1.9萬-5.51%37.7萬-88.47%4.6萬489.32%91.1萬-366.67%-62.4萬
-預付費用(增)減 115.50%36.6萬-594.97%-236.1萬-48.87%47.7萬108.69%93.3萬-501.50%-1,073.6萬239.49%267.4萬-208.70%-191.7萬-69.28%118.2萬-42.07%-169.2萬102.35%7.7萬
-應付款(減)增 262.09%1,130.1萬80.70%-697.2萬-206.54%-3,612.1萬-16.07%3,390.5萬2,234.97%4,039.5萬143.63%173萬-632.21%-396.5萬6,538.60%378.4萬85.12%-97.9萬-212.33%-816.5萬
-貸款、租賃及其他損失準備金 ---1.2萬--0--------------------------------
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) -21.18%-1,809.1萬-36.41%-1,492.9萬-88.11%-1,094.4萬-108.46%-581.8萬-73.35%-279.1萬43.82%-161萬-58.43%-286.6萬36.48%-53.8萬-42.22%-76.8萬-73.70%-73.3萬
已收到的利息(經營活動產生的現金流)
已支付退稅 14.15%-291.9萬-20.74%-340萬-15.03%-281.6萬-423.08%-244.8萬-127.18%-46.8萬77.21%-20.6萬-65.27%-90.4萬106.54%2.5萬-164.89%-24.9萬-142.25%-17.2萬
其他經營現金流入(流出) 0000000000
經營活動現金淨額 35.01%1.35億-56.14%1億-47.40%2.28億243.75%4.34億214.31%1.26億29.71%4,018.5萬1,536.92%3,098萬41.25%655.4萬1,132.69%384.6萬117.08%121.4萬
投資活動現金流量
物業、廠房及設備交易淨額 15.75%-5,994.4萬31.20%-7,115.3萬-129.74%-1.03億-1,428.52%-4,501.5萬-165.79%-294.5萬71.76%-110.8萬-24.65%-392.4萬-114.86%-101.2萬96.79%-6.7萬-165.76%-156.8萬
無形資產交易淨額 52.92%-42.7萬1.41%-90.7萬-314.41%-92萬-59.71%-22.2萬89.10%-13.9萬-1,923.81%-127.5萬35.05%-6.3萬98.36%-1,000---5.1萬77.78%-8,000
業務交易淨額 ---------------2,219.8萬--0--------------------
投資物業交易淨額 ---------------------------2.6萬------------
投資產品交易淨額 -------------------------88.89%3,000-92.86%1,000--0-114.29%-1,000
向其他方提供的預付現金及貸款 -------------------------23.72%-33.9萬108.47%1.5萬-458.33%-33.5萬81.08%-7,000
已收到的股息(投資活動產生的現金流) ----------------5.00%105萬--100萬--0------------
已收到的利息(投資活動產生的現金流) -14.05%1,318.5萬17.12%1,534.1萬420.01%1,309.9萬675.08%251.9萬-51.92%32.5萬-31.99%67.6萬41.80%99.4萬10.58%30.3萬63.77%22.6萬-30.45%20.1萬
其他投資變動淨額 ---562.8萬--------------2,528.9萬----198.74%2,085.8萬------1,973.6萬----
投資活動現金淨額 6.88%-5,281.4萬37.83%-5,671.9萬-40.55%-9,123.8萬-375.30%-6,491.6萬3,435.22%2,358萬-104.04%-70.7萬317.63%1,750.3萬-93.87%40.2萬1,073.99%1,950.9萬-276.84%-138.3萬
融資活動現金流量
債務發行/償還的淨額 -128.69%-1,590.3萬46.18%5,543.2萬250.60%3,792.1萬190.00%1,081.6萬-89.47%-1,201.8萬16.55%-634.3萬60.93%-760.1萬88.70%-104.5萬-27.54%-872萬317.50%733.4萬
租賃融資增減 -31.29%-5,557.8萬52.13%-4,233.1萬14.88%-8,843.6萬-305.10%-1.04億-344.28%-2,564.8萬30.86%-577.3萬-139,066.67%-835萬-42,975.00%-172.3萬-214,600.00%-214.7萬-337,400.00%-337.5萬
已支付現金股息 13.61%-3,423.3萬63.47%-3,962.4萬-36.36%-1.08億-1,174.79%-7,954.7萬-116.52%-624萬2.86%-288.2萬2.21%-296.7萬------------
非控制性權益現金股息 32.22%-42.7萬50.97%-63萬-121.55%-128.5萬-900.00%-58萬63.75%-5.8萬-21.21%-16萬---13.2萬------------
其他籌資費用淨額 -7.84%-5.5萬65.31%-5.1萬24.62%-14.7萬-106.55%-19.5萬-39.94%297.7萬302.33%495.7萬-166.41%-245萬19.87%-23.8萬-101.69%-6.9萬-1,777.00%-187.7萬
融資活動現金淨額 -290.37%-1.06億83.04%-2,720.4萬7.49%-1.6億-323.08%-1.73億-301.79%-4,098.7萬52.55%-1,020.1萬-14.33%-2,150萬68.19%-303.7萬-297.38%-1,093.6萬84.84%-98.6萬
現金淨流量
期初現金流 4.41%3.73億-5.87%3.57億103.96%3.8億141.62%1.86億61.28%7,701.8萬130.15%4,775.3萬-45.24%2,074.9萬97.36%4,382.6萬17.15%3,151.9萬-20.52%3,264.2萬
現金變動 -246.25%-2,376.5萬169.87%1,625萬-111.88%-2,325.9萬79.84%1.96億271.95%1.09億8.50%2,927.7萬260.90%2,698.3萬136.94%391.9萬379.52%1,241.9萬91.74%-115.5萬
匯率變動影響 -32.71%-64.1萬-149.69%-48.3萬140.84%97.2萬-1,444.63%-238萬1,575.00%17.7萬-157.14%-1.2萬105.61%2.1萬-87.50%8,00056.08%-11.2萬117.49%3.2萬
期末現金 -6.54%3.49億4.41%3.73億-5.87%3.57億103.96%3.8億141.62%1.86億61.28%7,701.8萬130.15%4,775.3萬130.15%4,775.3萬97.36%4,382.6萬17.15%3,151.9萬
自由現金流 180.58%7,376.1萬-78.80%2,628.9萬-68.10%1.24億215.57%3.89億231.92%1.23億37.79%3,711.8萬525.64%2,693.9萬73.44%553.1萬308.74%372.4萬94.88%-39.6萬
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