新加坡市場個股詳情

Airports TH TH SDR1to1 (TATD)

添加自選
  • 2.120
  • +0.020+0.95%
延時10分鐘行情休市中 01/16 16:33 (北京)
302.86億總市值42.40市盈率TTM

TATD Airports TH TH SDR1to1

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/09/30
(Q4)2025/09/30
(Q3)2025/06/30
(Q2)2025/03/31
(Q1)2024/12/31
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
(Q2)2024/03/31
(Q1)2023/12/31
經營活動現金流量(間接法)
持續經營活動現金淨額
-28.54%293.38億
-40.62%74.75億
-41.75%67.14億
-7.93%93.99億
-14.60%57.5億
143.33%410.56億
168.97%125.89億
135.36%115.25億
154.07%102.09億
105.45%67.33億
持續經營淨收入
-4.91%233.41億
-10.09%48.96億
-18.43%47.25億
-9.13%67.93億
18.79%69.26億
117.09%245.45億
26.75%54.46億
40.31%57.93億
216.29%74.76億
1,026.18%58.31億
持續經營損益
7.48%4.82億
23.40%1.23億
6.27%1.13億
-22.53%1.07億
33.48%1.39億
-1.30%4.48億
-49.28%9,988.02萬
178.47%1.06億
55.88%1.39億
-20.32%1.04億
折舊攤銷及損耗
5.60%120.42億
5.55%30.65億
4.74%30.08億
6.11%29.82億
6.01%29.88億
28.56%114.04億
25.64%29.03億
32.30%28.72億
29.76%28.1億
26.78%28.19億
資產減值支出
15.46%3.55億
39.77%1.47億
14.59%5,609.96萬
77.05%1.17億
-59.41%3,561.89萬
-31.36%3.08億
-30.84%1.05億
-66.75%4,895.79萬
-16.23%6,589.45萬
24.56%8,775.96萬
資產準備金與勾銷
5,280.24%8,662.09萬
-19.97%5,548.81萬
140.63%4,189.8萬
188.32%1,845.05萬
54.53%-2,921.56萬
-99.35%161萬
-65.15%6,933.67萬
171.00%1,741.18萬
-132.90%-2,088.94萬
-876.70%-6,424.91萬
其他非現金項目
-40.08%14.4億
-81.55%7,232.25萬
-42.97%3.7億
-33.02%4.63億
-20.29%5.34億
-10.67%24.03億
-29.52%3.92億
-7.75%6.5億
-2.97%6.91億
-6.57%6.7億
營運資金變化
-267.78%-49.02億
-124.26%-9.49億
-73.65%5.56億
133.49%2.1億
-90.67%-47.19億
143.76%29.22億
241.19%39.13億
191.59%21.12億
53.03%-6.28億
-847.79%-24.75億
-應收款項(增)減
-2,088.71%-55.99億
-135.74%-14.47億
-619.43%-8.91億
54.51%-10.01億
-30.04%-22.6億
103.17%2.82億
273.95%40.49億
104.57%1.72億
6.76%-22.01億
-284.68%-17.38億
-存貨(增)減
-186.78%-3.23億
-0.74%-9,637.75萬
-137.13%-2,047.76萬
92.97%-469.36萬
-3,623.50%-2.02億
-387.36%-1.13億
-141.27%-9,567.35萬
33.80%5,515.03萬
-374.89%-6,678.83萬
-140.53%-541.8萬
-應付款項及應計費用(減)增
672.24%12.74億
334.07%4.15億
20.99%7.42億
-5.66%3.55億
63.31%-2.38億
-76.43%1.65億
26.08%-1.77億
-16.89%6.13億
64.86%3.77億
-2,321.53%-6.48億
-其他流動資產變動
-3,539.16%-4.4億
-38.98%-5.55億
-84.41%3,837.33萬
-208.27%-1.54億
859.99%2.31億
-42.64%1,279.51萬
-468.44%-4億
248.15%2.46億
243.25%1.42億
-86.58%2,404.88萬
-其他流動負債變動
-92.76%1.86億
36.84%7.35億
-32.97%6.88億
-9.41%10.15億
-1,985.70%-22.51億
76.91%25.75億
297.10%5.37億
22.89%10.26億
28.97%11.2億
-535.02%-1.08億
已收到的利息(經營活動產生的現金流)
1,606.02%8.35億
63,536.00%3億
948.41%2.76億
2,691.97%1.39億
599.84%1.2億
3.49%4,891.6萬
-97.47%47.08萬
178.80%2,633.9萬
4,296.01%497.4萬
-10.17%1,713.22萬
已支付退稅
-323.88%-43.42億
31.21%-2.34億
-2,356.95%-24.33億
-334.73%-14.31億
4.61%-2.44億
-99.34%-10.24億
-22.39%-3.4億
-438.90%-9,901.25萬
-181.47%-3.29億
-72.79%-2.56億
非持續經營活動現金淨額
經營活動現金淨額
-28.54%293.38億
-40.62%74.75億
-41.75%67.14億
-7.93%93.99億
-14.60%57.5億
143.33%410.56億
168.97%125.89億
135.36%115.25億
154.07%102.09億
105.45%67.33億
投資活動現金流量
持續投資活動現金淨額
27.72%-94.88億
71.92%-9.23億
-5.48%-33.89億
-12.24%-27.8億
42.27%-23.96億
-13.57%-131.28億
7.71%-32.87億
-24.81%-32.13億
-28.94%-24.77億
-18.51%-41.5億
固定資產交易淨額
27.02%-95億
25.38%-24.23億
40.75%-19.07億
-16.95%-28.05億
43.06%-23.64億
-12.29%-130.17億
9.14%-32.46億
-24.83%-32.19億
-23.73%-23.99億
-18.58%-41.52億
無形資產交易淨額
67.92%-2,428.9萬
79.92%-61.2萬
--0
95.66%-237.45萬
-168.63%-2,130.25萬
-601.32%-7,571.72萬
-7.71%-304.74萬
-38.36%-1,002.55萬
-102,939.91%-5,471.42萬
-1,086.79%-793.01萬
業務交易淨額
64.06%-1,150.01萬
--0
--0
----
----
---3,200萬
---1,200萬
--0
----
----
投資產品交易淨額
73.91%-1,305.79萬
3,100.00%15億
---15.03億
5,661.97%294.21萬
---1,300萬
-245,353.59%-5,005.29萬
---5,000萬
--0
---5.29萬
--0
已收到的股息(投資活動產生的現金流)
108.87%7,447.29萬
-31.47%1,353.5萬
38.71%2,205.18萬
565,351.51%3,888.61萬
--0
19.43%3,565.44萬
47.44%1,975萬
-3.37%1,589.75萬
--6,877
--0
其他投資活動淨額
-224.96%-1,413.78萬
-387.27%-1,322.39萬
-275.08%-76.65萬
18.14%-313.2萬
-70.45%298.45萬
-19.30%1,131.43萬
474.15%460.32萬
109.41%43.78萬
-121.89%-382.59萬
2,484.85%1,009.91萬
非持續投資活動現金淨額
投資活動現金淨額
27.72%-94.88億
71.92%-9.23億
-5.48%-33.89億
-12.24%-27.8億
42.27%-23.96億
-13.57%-131.28億
7.71%-32.87億
-24.81%-32.13億
-28.94%-24.77億
-18.51%-41.5億
融資活動現金流量
持續融資活動現金淨額
-21.91%-189.36億
-25.87%-8.36億
94.36%-2.03億
-62.09%-116.13億
-52.78%-62.85億
-414.31%-155.33億
-166.86%-6.64億
-37.70%-35.91億
-319.94%-71.64億
-1,467.87%-41.14億
債務發行/償還的淨額
42.34%-42.41億
40.85%-3.52億
94.55%-1.94億
86.72%-2.52億
-165.32%-34.43億
-689.88%-73.55億
-154.55%-5.95億
-64.68%-35.65億
-70.11%-18.97億
-203.04%-12.98億
已支付現金股息
-132.15%-119.59億
---4.6億
---1
-119.25%-112.94億
---2.04億
-28,226.52%-51.51億
--0
--0
-28,226.52%-51.51億
--0
已付利息(籌資活動產生的現金流)
7.62%-26.94億
27.38%-2,231.79萬
67.65%-562.32萬
50.34%-3,368.95萬
6.00%-26.32億
-35.51%-29.16億
27.45%-3,073.42萬
95.85%-1,738萬
91.12%-6,784.59萬
-202.14%-28億
其他融資活動的淨現金流額
61.63%-4,233.21萬
95.56%-171.18萬
66.85%-266.85萬
31.86%-3,258.55萬
66.30%-536.63萬
-235.56%-1.1億
29.56%-3,854.11萬
65.98%-804.94萬
-124.98%-4,782.26萬
49.72%-1,592.17萬
非持續融資活動現金淨額
融資活動現金淨額
-21.91%-189.36億
-25.87%-8.36億
94.36%-2.03億
-62.09%-116.13億
-52.78%-62.85億
-414.31%-155.33億
-166.86%-6.64億
-37.70%-35.91億
-319.94%-71.64億
-1,467.87%-41.14億
現金淨流量
期初現金流
203.51%184.87億
38.95%136.85億
106.01%105.63億
241.14%155.56億
203.51%184.87億
60.39%60.91億
147.48%98.49億
20.23%51.27億
17.72%45.6億
60.39%60.91億
當期現金流變化
-92.62%9.14億
-33.82%57.16億
-33.87%31.22億
-980.46%-49.94億
-91.43%-29.31億
440.51%123.96億
309.11%86.38億
1,756.21%47.21億
45.11%5.67億
-2,111.06%-15.31億
期末現金流
4.95%194.01億
4.95%194.01億
38.95%136.85億
106.01%105.63億
241.14%155.56億
203.51%184.87億
203.51%184.87億
147.48%98.49億
20.23%51.27億
17.72%45.6億
自由現金流
-29.14%198.14億
-45.91%50.52億
-42.06%48.06億
-15.00%65.92億
30.77%33.65億
430.66%279.64億
745.61%93.4億
259.01%82.96億
272.96%77.55億
1,243.41%25.73億
貨幣單位
THB
THB
THB
THB
THB
THB
THB
THB
THB
THB
(FY)2025/09/30(Q4)2025/09/30(Q3)2025/06/30(Q2)2025/03/31(Q1)2024/12/31(FY)2024/09/30(Q4)2024/09/30(Q3)2024/06/30(Q2)2024/03/31(Q1)2023/12/31
經營活動現金流量(間接法)
持續經營活動現金淨額 -28.54%293.38億-40.62%74.75億-41.75%67.14億-7.93%93.99億-14.60%57.5億143.33%410.56億168.97%125.89億135.36%115.25億154.07%102.09億105.45%67.33億
持續經營淨收入 -4.91%233.41億-10.09%48.96億-18.43%47.25億-9.13%67.93億18.79%69.26億117.09%245.45億26.75%54.46億40.31%57.93億216.29%74.76億1,026.18%58.31億
持續經營損益 7.48%4.82億23.40%1.23億6.27%1.13億-22.53%1.07億33.48%1.39億-1.30%4.48億-49.28%9,988.02萬178.47%1.06億55.88%1.39億-20.32%1.04億
折舊攤銷及損耗 5.60%120.42億5.55%30.65億4.74%30.08億6.11%29.82億6.01%29.88億28.56%114.04億25.64%29.03億32.30%28.72億29.76%28.1億26.78%28.19億
資產減值支出 15.46%3.55億39.77%1.47億14.59%5,609.96萬77.05%1.17億-59.41%3,561.89萬-31.36%3.08億-30.84%1.05億-66.75%4,895.79萬-16.23%6,589.45萬24.56%8,775.96萬
資產準備金與勾銷 5,280.24%8,662.09萬-19.97%5,548.81萬140.63%4,189.8萬188.32%1,845.05萬54.53%-2,921.56萬-99.35%161萬-65.15%6,933.67萬171.00%1,741.18萬-132.90%-2,088.94萬-876.70%-6,424.91萬
其他非現金項目 -40.08%14.4億-81.55%7,232.25萬-42.97%3.7億-33.02%4.63億-20.29%5.34億-10.67%24.03億-29.52%3.92億-7.75%6.5億-2.97%6.91億-6.57%6.7億
營運資金變化 -267.78%-49.02億-124.26%-9.49億-73.65%5.56億133.49%2.1億-90.67%-47.19億143.76%29.22億241.19%39.13億191.59%21.12億53.03%-6.28億-847.79%-24.75億
-應收款項(增)減 -2,088.71%-55.99億-135.74%-14.47億-619.43%-8.91億54.51%-10.01億-30.04%-22.6億103.17%2.82億273.95%40.49億104.57%1.72億6.76%-22.01億-284.68%-17.38億
-存貨(增)減 -186.78%-3.23億-0.74%-9,637.75萬-137.13%-2,047.76萬92.97%-469.36萬-3,623.50%-2.02億-387.36%-1.13億-141.27%-9,567.35萬33.80%5,515.03萬-374.89%-6,678.83萬-140.53%-541.8萬
-應付款項及應計費用(減)增 672.24%12.74億334.07%4.15億20.99%7.42億-5.66%3.55億63.31%-2.38億-76.43%1.65億26.08%-1.77億-16.89%6.13億64.86%3.77億-2,321.53%-6.48億
-其他流動資產變動 -3,539.16%-4.4億-38.98%-5.55億-84.41%3,837.33萬-208.27%-1.54億859.99%2.31億-42.64%1,279.51萬-468.44%-4億248.15%2.46億243.25%1.42億-86.58%2,404.88萬
-其他流動負債變動 -92.76%1.86億36.84%7.35億-32.97%6.88億-9.41%10.15億-1,985.70%-22.51億76.91%25.75億297.10%5.37億22.89%10.26億28.97%11.2億-535.02%-1.08億
已收到的利息(經營活動產生的現金流) 1,606.02%8.35億63,536.00%3億948.41%2.76億2,691.97%1.39億599.84%1.2億3.49%4,891.6萬-97.47%47.08萬178.80%2,633.9萬4,296.01%497.4萬-10.17%1,713.22萬
已支付退稅 -323.88%-43.42億31.21%-2.34億-2,356.95%-24.33億-334.73%-14.31億4.61%-2.44億-99.34%-10.24億-22.39%-3.4億-438.90%-9,901.25萬-181.47%-3.29億-72.79%-2.56億
非持續經營活動現金淨額
經營活動現金淨額 -28.54%293.38億-40.62%74.75億-41.75%67.14億-7.93%93.99億-14.60%57.5億143.33%410.56億168.97%125.89億135.36%115.25億154.07%102.09億105.45%67.33億
投資活動現金流量
持續投資活動現金淨額 27.72%-94.88億71.92%-9.23億-5.48%-33.89億-12.24%-27.8億42.27%-23.96億-13.57%-131.28億7.71%-32.87億-24.81%-32.13億-28.94%-24.77億-18.51%-41.5億
固定資產交易淨額 27.02%-95億25.38%-24.23億40.75%-19.07億-16.95%-28.05億43.06%-23.64億-12.29%-130.17億9.14%-32.46億-24.83%-32.19億-23.73%-23.99億-18.58%-41.52億
無形資產交易淨額 67.92%-2,428.9萬79.92%-61.2萬--095.66%-237.45萬-168.63%-2,130.25萬-601.32%-7,571.72萬-7.71%-304.74萬-38.36%-1,002.55萬-102,939.91%-5,471.42萬-1,086.79%-793.01萬
業務交易淨額 64.06%-1,150.01萬--0--0-----------3,200萬---1,200萬--0--------
投資產品交易淨額 73.91%-1,305.79萬3,100.00%15億---15.03億5,661.97%294.21萬---1,300萬-245,353.59%-5,005.29萬---5,000萬--0---5.29萬--0
已收到的股息(投資活動產生的現金流) 108.87%7,447.29萬-31.47%1,353.5萬38.71%2,205.18萬565,351.51%3,888.61萬--019.43%3,565.44萬47.44%1,975萬-3.37%1,589.75萬--6,877--0
其他投資活動淨額 -224.96%-1,413.78萬-387.27%-1,322.39萬-275.08%-76.65萬18.14%-313.2萬-70.45%298.45萬-19.30%1,131.43萬474.15%460.32萬109.41%43.78萬-121.89%-382.59萬2,484.85%1,009.91萬
非持續投資活動現金淨額
投資活動現金淨額 27.72%-94.88億71.92%-9.23億-5.48%-33.89億-12.24%-27.8億42.27%-23.96億-13.57%-131.28億7.71%-32.87億-24.81%-32.13億-28.94%-24.77億-18.51%-41.5億
融資活動現金流量
持續融資活動現金淨額 -21.91%-189.36億-25.87%-8.36億94.36%-2.03億-62.09%-116.13億-52.78%-62.85億-414.31%-155.33億-166.86%-6.64億-37.70%-35.91億-319.94%-71.64億-1,467.87%-41.14億
債務發行/償還的淨額 42.34%-42.41億40.85%-3.52億94.55%-1.94億86.72%-2.52億-165.32%-34.43億-689.88%-73.55億-154.55%-5.95億-64.68%-35.65億-70.11%-18.97億-203.04%-12.98億
已支付現金股息 -132.15%-119.59億---4.6億---1-119.25%-112.94億---2.04億-28,226.52%-51.51億--0--0-28,226.52%-51.51億--0
已付利息(籌資活動產生的現金流) 7.62%-26.94億27.38%-2,231.79萬67.65%-562.32萬50.34%-3,368.95萬6.00%-26.32億-35.51%-29.16億27.45%-3,073.42萬95.85%-1,738萬91.12%-6,784.59萬-202.14%-28億
其他融資活動的淨現金流額 61.63%-4,233.21萬95.56%-171.18萬66.85%-266.85萬31.86%-3,258.55萬66.30%-536.63萬-235.56%-1.1億29.56%-3,854.11萬65.98%-804.94萬-124.98%-4,782.26萬49.72%-1,592.17萬
非持續融資活動現金淨額
融資活動現金淨額 -21.91%-189.36億-25.87%-8.36億94.36%-2.03億-62.09%-116.13億-52.78%-62.85億-414.31%-155.33億-166.86%-6.64億-37.70%-35.91億-319.94%-71.64億-1,467.87%-41.14億
現金淨流量
期初現金流 203.51%184.87億38.95%136.85億106.01%105.63億241.14%155.56億203.51%184.87億60.39%60.91億147.48%98.49億20.23%51.27億17.72%45.6億60.39%60.91億
當期現金流變化 -92.62%9.14億-33.82%57.16億-33.87%31.22億-980.46%-49.94億-91.43%-29.31億440.51%123.96億309.11%86.38億1,756.21%47.21億45.11%5.67億-2,111.06%-15.31億
期末現金流 4.95%194.01億4.95%194.01億38.95%136.85億106.01%105.63億241.14%155.56億203.51%184.87億203.51%184.87億147.48%98.49億20.23%51.27億17.72%45.6億
自由現金流 -29.14%198.14億-45.91%50.52億-42.06%48.06億-15.00%65.92億30.77%33.65億430.66%279.64億745.61%93.4億259.01%82.96億272.96%77.55億1,243.41%25.73億
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