澳洲市场个股详情

Staude Capital Global Value Fund Ltd (GVF)

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延时20分钟行情休市中 01/23 15:47 (悉尼)
2.91亿总市值10.36市盈率(静)

Staude Capital Global Value Fund Ltd (GVF) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2025/06/30
(FY)2024/06/30
(FY)2023/06/30
(FY)2022/06/30
(FY)2021/06/30
(FY)2020/06/30
(FY)2019/06/30
(FY)2018/06/30
(FY)2017/06/30
(FY)2016/06/30
经营活动现金流量(直接法)
经营活动产生的现金收入
43.17%2.4亿
-32.23%1.68亿
-44.49%2.47亿
51.17%4.46亿
47.46%2.95亿
-15.76%2亿
30.52%2.37亿
-20.62%1.82亿
178.20%2.29亿
156.72%8,237.04万
银行及客户存款产生的现金收入
48.20%2.27亿
-34.62%1.53亿
-46.52%2.34亿
53.98%4.37亿
46.58%2.84亿
-16.06%1.94亿
31.46%2.31亿
-20.88%1.76亿
179.62%2.22亿
175.70%7,938.75万
贷款产生的现金收入
9.97%402.99万
39.29%366.47万
362.40%263.1万
-18.87%56.9万
-19.56%70.13万
164.59%87.19万
23.74%32.95万
19.53%26.63万
349.00%22.28万
-65.80%4.96万
证券相关活动产生的现金收入
-15.10%942.02万
2.58%1,109.56万
37.77%1,081.6万
-22.42%785.08万
91.05%1,012.03万
-14.39%529.72万
69.48%618.74万
-47.45%365.08万
136.82%694.67万
436.16%293.33万
经营活动产生的其他现金收入
----
----
1,499.72%8.12万
-73.36%5,076
17.33%1.91万
62.68%1.62万
-99.57%9,983
--234.08万
----
----
现金付款
-72.44%-2.28亿
42.19%-1.32亿
44.99%-2.28亿
-28.22%-4.15亿
-52.85%-3.24亿
2.97%-2.12亿
5.87%-2.18亿
3.78%-2.32亿
-133.88%-2.41亿
-46.83%-1.03亿
银行和客户存款的现金付款
-66.49%-2.12亿
45.37%-1.27亿
43.91%-2.33亿
-15.92%-4.15亿
-55.60%-3.58亿
-4.57%-2.3亿
3.55%-2.2亿
2.10%-2.28亿
-133.94%-2.33亿
-43.47%-9,967.86万
已支付利息及佣金
11.78%-274.39万
-31.09%-311.03万
-192.41%-237.27万
-4.31%-81.14万
-72.85%-77.79万
51.05%-45万
-8.90%-91.95万
-53.58%-84.43万
-27.68%-54.97万
-334.18%-43.06万
已缴所有税款
-775.10%-970.88万
86.55%-110.95万
-105.17%-824.97万
-125.59%-402.08万
-233.65%-178.24万
55.77%-53.42万
66.12%-120.79万
33.99%-356.49万
-101.67%-540.05万
---267.79万
经营活动产生的其他现金付款
-506.59%-334.39万
-103.63%-55.13万
208.04%1,517.71万
-86.68%492.7万
91.04%3,699.63万
391.28%1,936.59万
464.55%394.19万
135.16%69.82万
-540.73%-198.6万
51.53%-31万
经营活动现金净额
-65.23%1,239.65万
87.07%3,565.05万
-37.70%1,905.75万
205.72%3,059.03万
-143.48%-2,893.44万
-162.43%-1,188.36万
136.29%1,903.41万
-338.22%-5,244.92万
42.25%-1,196.87万
45.64%-2,072.66万
投资活动现金流量
持续投资活动现金净额
0
非持续投资现金净额
投资活动现金流净额
--0
----
----
----
----
----
----
----
----
----
融资活动现金流量
持续融资活动现金净额
136.97%426.74万
-7.05%-1,154.23万
-7.88%-1,078.23万
-159.06%-999.52万
300.44%1,692.31万
4.30%-844.31万
-145.06%-882.21万
43.10%1,957.75万
-57.85%1,368.11万
-49.92%3,246.03万
普通股发行/回购的净额
--1,690.81万
----
----
----
--2,535.32万
----
----
36.08%2,709.01万
-46.19%1,990.77万
-42.92%3,699.34万
现金股利支付
-9.52%-1,264.07万
-7.05%-1,154.23万
-7.88%-1,078.23万
-18.57%-999.52万
0.15%-843万
4.30%-844.31万
-17.43%-882.21万
-20.66%-751.27万
-37.36%-622.66万
---453.32万
非持续融资活动现金净额
融资活动现金流净额
136.97%426.74万
-7.05%-1,154.23万
-7.88%-1,078.23万
-159.06%-999.52万
300.44%1,692.31万
4.30%-844.31万
-145.06%-882.21万
43.10%1,957.75万
-57.85%1,368.11万
-49.92%3,246.03万
现金净流量
期初现金流
6,429.91%2,373.33万
-106.53%-37.49万
137.89%573.93万
-642.37%-1,514.55万
-111.19%-204.01万
133.20%1,823.97万
-80.74%782.14万
5.66%4,060.11万
42.70%3,842.66万
2,692,847,300.00%2,692.85万
当期现金流变化
-30.88%1,666.39万
191.33%2,410.82万
-59.82%827.52万
271.46%2,059.51万
40.91%-1,201.13万
-299.05%-2,032.66万
131.07%1,021.19万
-2,019.58%-3,287.17万
-85.41%171.24万
-56.03%1,173.37万
利率变动影响
--274.52万
----
-887.64%-228.13万
126.47%28.96万
-2,436.98%-109.4万
-77.31%4.68万
124.35%20.64万
-80.09%9.2万
296.16%46.2万
-197.29%-23.55万
期末现金流
81.78%4,314.24万
102.27%2,373.33万
104.44%1,173.32万
137.89%573.93万
-642.37%-1,514.55万
-111.19%-204.01万
133.20%1,823.97万
-80.74%782.14万
5.66%4,060.11万
42.70%3,842.66万
自由现金流
-65.23%1,239.65万
87.07%3,565.05万
-37.70%1,905.75万
205.72%3,059.03万
-143.48%-2,893.44万
-162.43%-1,188.36万
136.29%1,903.41万
-338.22%-5,244.92万
42.25%-1,196.87万
45.64%-2,072.66万
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)2025/06/30(FY)2024/06/30(FY)2023/06/30(FY)2022/06/30(FY)2021/06/30(FY)2020/06/30(FY)2019/06/30(FY)2018/06/30(FY)2017/06/30(FY)2016/06/30
经营活动现金流量(直接法)
经营活动产生的现金收入 43.17%2.4亿-32.23%1.68亿-44.49%2.47亿51.17%4.46亿47.46%2.95亿-15.76%2亿30.52%2.37亿-20.62%1.82亿178.20%2.29亿156.72%8,237.04万
银行及客户存款产生的现金收入 48.20%2.27亿-34.62%1.53亿-46.52%2.34亿53.98%4.37亿46.58%2.84亿-16.06%1.94亿31.46%2.31亿-20.88%1.76亿179.62%2.22亿175.70%7,938.75万
贷款产生的现金收入 9.97%402.99万39.29%366.47万362.40%263.1万-18.87%56.9万-19.56%70.13万164.59%87.19万23.74%32.95万19.53%26.63万349.00%22.28万-65.80%4.96万
证券相关活动产生的现金收入 -15.10%942.02万2.58%1,109.56万37.77%1,081.6万-22.42%785.08万91.05%1,012.03万-14.39%529.72万69.48%618.74万-47.45%365.08万136.82%694.67万436.16%293.33万
经营活动产生的其他现金收入 --------1,499.72%8.12万-73.36%5,07617.33%1.91万62.68%1.62万-99.57%9,983--234.08万--------
现金付款 -72.44%-2.28亿42.19%-1.32亿44.99%-2.28亿-28.22%-4.15亿-52.85%-3.24亿2.97%-2.12亿5.87%-2.18亿3.78%-2.32亿-133.88%-2.41亿-46.83%-1.03亿
银行和客户存款的现金付款 -66.49%-2.12亿45.37%-1.27亿43.91%-2.33亿-15.92%-4.15亿-55.60%-3.58亿-4.57%-2.3亿3.55%-2.2亿2.10%-2.28亿-133.94%-2.33亿-43.47%-9,967.86万
已支付利息及佣金 11.78%-274.39万-31.09%-311.03万-192.41%-237.27万-4.31%-81.14万-72.85%-77.79万51.05%-45万-8.90%-91.95万-53.58%-84.43万-27.68%-54.97万-334.18%-43.06万
已缴所有税款 -775.10%-970.88万86.55%-110.95万-105.17%-824.97万-125.59%-402.08万-233.65%-178.24万55.77%-53.42万66.12%-120.79万33.99%-356.49万-101.67%-540.05万---267.79万
经营活动产生的其他现金付款 -506.59%-334.39万-103.63%-55.13万208.04%1,517.71万-86.68%492.7万91.04%3,699.63万391.28%1,936.59万464.55%394.19万135.16%69.82万-540.73%-198.6万51.53%-31万
经营活动现金净额 -65.23%1,239.65万87.07%3,565.05万-37.70%1,905.75万205.72%3,059.03万-143.48%-2,893.44万-162.43%-1,188.36万136.29%1,903.41万-338.22%-5,244.92万42.25%-1,196.87万45.64%-2,072.66万
投资活动现金流量
持续投资活动现金净额 0
非持续投资现金净额
投资活动现金流净额 --0------------------------------------
融资活动现金流量
持续融资活动现金净额 136.97%426.74万-7.05%-1,154.23万-7.88%-1,078.23万-159.06%-999.52万300.44%1,692.31万4.30%-844.31万-145.06%-882.21万43.10%1,957.75万-57.85%1,368.11万-49.92%3,246.03万
普通股发行/回购的净额 --1,690.81万--------------2,535.32万--------36.08%2,709.01万-46.19%1,990.77万-42.92%3,699.34万
现金股利支付 -9.52%-1,264.07万-7.05%-1,154.23万-7.88%-1,078.23万-18.57%-999.52万0.15%-843万4.30%-844.31万-17.43%-882.21万-20.66%-751.27万-37.36%-622.66万---453.32万
非持续融资活动现金净额
融资活动现金流净额 136.97%426.74万-7.05%-1,154.23万-7.88%-1,078.23万-159.06%-999.52万300.44%1,692.31万4.30%-844.31万-145.06%-882.21万43.10%1,957.75万-57.85%1,368.11万-49.92%3,246.03万
现金净流量
期初现金流 6,429.91%2,373.33万-106.53%-37.49万137.89%573.93万-642.37%-1,514.55万-111.19%-204.01万133.20%1,823.97万-80.74%782.14万5.66%4,060.11万42.70%3,842.66万2,692,847,300.00%2,692.85万
当期现金流变化 -30.88%1,666.39万191.33%2,410.82万-59.82%827.52万271.46%2,059.51万40.91%-1,201.13万-299.05%-2,032.66万131.07%1,021.19万-2,019.58%-3,287.17万-85.41%171.24万-56.03%1,173.37万
利率变动影响 --274.52万-----887.64%-228.13万126.47%28.96万-2,436.98%-109.4万-77.31%4.68万124.35%20.64万-80.09%9.2万296.16%46.2万-197.29%-23.55万
期末现金流 81.78%4,314.24万102.27%2,373.33万104.44%1,173.32万137.89%573.93万-642.37%-1,514.55万-111.19%-204.01万133.20%1,823.97万-80.74%782.14万5.66%4,060.11万42.70%3,842.66万
自由现金流 -65.23%1,239.65万87.07%3,565.05万-37.70%1,905.75万205.72%3,059.03万-143.48%-2,893.44万-162.43%-1,188.36万136.29%1,903.41万-338.22%-5,244.92万42.25%-1,196.87万45.64%-2,072.66万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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