新加坡市场个股详情

大华保险 (U13)

添加自选
  • 8.150
  • -0.200-2.40%
延时10分钟行情已收盘 05/08 15:06 (北京)
4.98亿总市值15.44市盈率TTM

U13 大华保险

季报+年报
显示同比 yoy
隐藏空行 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
(Q2)2020/06/30
(Q1)2020/03/31
(FY)2019/12/31
(Q4)2019/12/31
经营活动现金流(间接法)
经营活动产生的现金
119.04%2,051.1万
-57.95%936.4万
45.00%2,227万
-16.70%1,535.9万
-37.45%1,843.8万
379.77%2,947.7万
1,433.23%2,565.1万
-413.53%-1,026.2万
-52.45%614.4万
-80.77%113.3万
扣除非现金调整前净利润
-5.94%3,191.3万
2.17%3,393万
38.49%3,321万
-26.81%2,398万
11.04%3,276.5万
-36.21%2,950.7万
-42.90%570.1万
-67.37%443.2万
79.37%4,625.7万
204.33%1,517.1万
非现金项目调整总额
46.95%-1,300.9万
-125.73%-2,452.1万
-30.78%-1,086.3万
29.97%-830.6万
-0.92%-1,186.1万
54.79%-1,175.3万
103.23%29.4万
-144.44%-1,408万
-106.13%-2,599.5万
-356.36%-445.3万
-折旧与摊销
9.96%175.5万
8.28%159.6万
20.62%147.4万
-35.82%122.2万
5.31%190.4万
27.95%180.8万
34.47%47.2万
11.71%39.1万
1,403.19%141.3万
1,383.33%35.6万
-在损益中确认的减值损失回拨
191.23%5.2万
-7.55%-5.7万
-26.19%-5.3万
-566.67%-4.2万
134.62%9,000
-135.62%-2.6万
-65.22%8,000
-1,966.67%-5.6万
214.06%7.3万
-255.56%-1.4万
-资产准备及勾销
----
----
----
----
94.41%-13.9万
-50.58%-248.6万
-27.36%64万
-23.97%148.8万
75.83%-165.1万
27.71%-492万
-处置利润
-3,835.14%-1,721.9万
111.34%46.1万
32.95%-406.5万
-959.97%-606.3万
91.55%-57.2万
64.96%-677.1万
58.04%-371.7万
70.82%-188万
-430.53%-1,932.6万
-133.95%-320.4万
-汇兑损益净额
235.54%834万
-316.96%-615.3万
55.06%283.6万
130.86%182.9万
-281.36%-592.7万
10.33%326.8万
1,103.60%434.5万
-1,359.53%-1,129.8万
186.91%296.2万
1,043.51%572.9万
-其他非现金项目
70.85%-593.7万
-84.24%-2,036.8万
-110.49%-1,105.5万
26.40%-525.2万
5.43%-713.6万
20.28%-754.6万
22.20%-145.4万
-7.96%-272.5万
-14.77%-946.6万
-68.07%-240万
营运资本变动
3,671.11%160.7万
41.56%-4.5万
75.56%-7.7万
87.23%-31.5万
-121.04%-246.6万
183.04%1,172.3万
2,357.00%1,965.6万
86.50%-61.4万
-5,414.84%-1,411.8万
-1,054.82%-958.5万
-应收款(增)减
151.58%140.4万
-950.63%-272.2万
76.80%32万
103.30%18.1万
-151.37%-549.3万
207.14%1,069.3万
178.98%252.1万
89.08%-73.7万
-1,442.50%-998万
-131.49%-50.8万
-应付款(减)增
-92.42%20.3万
774.31%267.7万
19.96%-39.7万
-116.39%-49.6万
193.88%302.7万
124.45%103万
299.78%1,667.9万
-107.37%-16.2万
-334.91%-421.2万
-779.06%-915.1万
-其他流动资产变动
----
----
----
----
----
--0
353.33%45.6万
28,400.00%28.5万
105.28%7.4万
----
已付股息(经营活动产生的现金流)
已收到的股息(经营活动产生的现金流)
已付利息(经营活动产生的现金流)
68.29%-1.3万
40.58%-4.1万
38.89%-1.1万
35.00%-1.3万
-6.9万
-1.5万
已收到的利息(经营活动产生的现金流)
已支付退税
8.88%-461.5万
-2,255.81%-506.5万
97.42%-21.5万
0.48%-834.9万
-88.35%-838.9万
14.38%-445.4万
98.18%-4.8万
-550.00%-9.1万
3.04%-520.2万
6.58%8.1万
其他经营现金流入/流出
0
0
0
0
0
0
0
0
0
0
经营活动现金净额
269.76%1,589.6万
-80.51%429.9万
214.62%2,205.5万
-30.15%701万
-59.83%1,003.6万
2,761.63%2,498.2万
2,703.46%2,559.2万
-420.04%-1,036.6万
-88.45%87.3万
-79.91%119.9万
投资活动
物业、厂房及设备交易净额
-33.33%-46.8万
48.98%-35.1万
65.36%-68.8万
67.12%-198.6万
76.11%-604.1万
-3,436.64%-2,528.7万
-1,525.00%-6.5万
---2,463万
-1,330.00%-71.5万
-5,755.56%-52.7万
投资物业交易净额
-351.38%-5,839.4万
650.97%2,322.9万
-173.13%-421.6万
126.49%576.5万
-1,884.05%-2,176.5万
-104.11%-109.7万
113.51%131.3万
728.02%437.1万
293.33%2,666.4万
-133.08%-305.2万
已收到的股息(投资活动产生的现金流)
58.76%1,155.3万
23.65%727.7万
58.88%588.5万
-4.14%370.4万
8.60%386.4万
-53.89%355.8万
-90.17%53.4万
48.75%41.8万
108.20%771.6万
13.54%47.8万
已收到的利息(投资活动产生的现金流)
-21.74%797.1万
0.66%1,018.5万
24.98%1,011.8万
-0.54%809.6万
-14.14%814万
3.40%948万
32.89%238万
15.64%249.9万
10.86%916.8万
55.29%318.5万
其他投资变动净额
-459.02%-441.6万
303.28%123万
121.18%30.5万
-255.34%-144万
4,514.29%92.7万
-425.00%-2.1万
10,300.00%10.2万
0.00%-1,000
-100.06%-4,000
-102.50%-1,000
投资活动现金净额
-205.25%-4,375.4万
264.52%4,157万
-19.34%1,140.4万
195.05%1,413.9万
64.87%-1,487.5万
-198.86%-4,234万
270.70%426.4万
-2,754.21%-4,631.6万
72.23%4,282.9万
-99.29%8.3万
融资活动
融资租赁增减
--0
66.67%-1,000
---3,000
--0
6.45%-113.1万
-2.28%-120.9万
32.54%-19.9万
-2.40%-29.9万
---118.2万
---29.8万
已支付现金股息
-2.38%-1,314.8万
0.00%-1,284.2万
16.00%-1,284.2万
-19.05%-1,528.9万
12.50%-1,284.2万
-9.09%-1,467.7万
-14.81%-947.9万
----
20.00%-1,345.4万
--0
融资活动现金净额
-2.37%-1,314.8万
0.02%-1,284.3万
15.99%-1,284.5万
-9.42%-1,528.9万
12.04%-1,397.3万
-8.54%-1,588.6万
-13.18%-967.8万
-2.40%-29.9万
12.97%-1,463.6万
---29.8万
现金净流量
期初现金流
50.85%9,797.6万
46.49%6,495万
15.23%4,433.6万
-32.84%3,847.6万
-36.72%5,728.8万
47.29%9,053.2万
-49.29%3,355.1万
47.29%9,053.2万
34.03%6,146.6万
104.59%8,954.8万
现金变动
-224.16%-4,100.6万
60.21%3,302.6万
251.77%2,061.4万
131.15%586万
43.41%-1,881.2万
-214.37%-3,324.4万
267.70%2,017.8万
-1,314.43%-5,698.1万
86.25%2,906.6万
-94.44%98.4万
期末现金
-41.85%5,697万
50.85%9,797.6万
46.49%6,495万
15.23%4,433.6万
-32.84%3,847.6万
-36.72%5,728.8万
-0.73%5,372.9万
-49.29%3,355.1万
47.29%9,053.2万
47.29%9,053.2万
自由现金流
290.50%1,541.7万
-81.52%394.8万
325.28%2,136.6万
25.76%502.4万
1,409.84%399.5万
-293.04%-30.5万
2,686.32%2,552.7万
-1,180.46%-3,499.6万
-97.90%15.8万
-88.72%67.2万
货币单位
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(Q2)2020/06/30(Q1)2020/03/31(FY)2019/12/31(Q4)2019/12/31
经营活动现金流(间接法)
经营活动产生的现金 119.04%2,051.1万-57.95%936.4万45.00%2,227万-16.70%1,535.9万-37.45%1,843.8万379.77%2,947.7万1,433.23%2,565.1万-413.53%-1,026.2万-52.45%614.4万-80.77%113.3万
扣除非现金调整前净利润 -5.94%3,191.3万2.17%3,393万38.49%3,321万-26.81%2,398万11.04%3,276.5万-36.21%2,950.7万-42.90%570.1万-67.37%443.2万79.37%4,625.7万204.33%1,517.1万
非现金项目调整总额 46.95%-1,300.9万-125.73%-2,452.1万-30.78%-1,086.3万29.97%-830.6万-0.92%-1,186.1万54.79%-1,175.3万103.23%29.4万-144.44%-1,408万-106.13%-2,599.5万-356.36%-445.3万
-折旧与摊销 9.96%175.5万8.28%159.6万20.62%147.4万-35.82%122.2万5.31%190.4万27.95%180.8万34.47%47.2万11.71%39.1万1,403.19%141.3万1,383.33%35.6万
-在损益中确认的减值损失回拨 191.23%5.2万-7.55%-5.7万-26.19%-5.3万-566.67%-4.2万134.62%9,000-135.62%-2.6万-65.22%8,000-1,966.67%-5.6万214.06%7.3万-255.56%-1.4万
-资产准备及勾销 ----------------94.41%-13.9万-50.58%-248.6万-27.36%64万-23.97%148.8万75.83%-165.1万27.71%-492万
-处置利润 -3,835.14%-1,721.9万111.34%46.1万32.95%-406.5万-959.97%-606.3万91.55%-57.2万64.96%-677.1万58.04%-371.7万70.82%-188万-430.53%-1,932.6万-133.95%-320.4万
-汇兑损益净额 235.54%834万-316.96%-615.3万55.06%283.6万130.86%182.9万-281.36%-592.7万10.33%326.8万1,103.60%434.5万-1,359.53%-1,129.8万186.91%296.2万1,043.51%572.9万
-其他非现金项目 70.85%-593.7万-84.24%-2,036.8万-110.49%-1,105.5万26.40%-525.2万5.43%-713.6万20.28%-754.6万22.20%-145.4万-7.96%-272.5万-14.77%-946.6万-68.07%-240万
营运资本变动 3,671.11%160.7万41.56%-4.5万75.56%-7.7万87.23%-31.5万-121.04%-246.6万183.04%1,172.3万2,357.00%1,965.6万86.50%-61.4万-5,414.84%-1,411.8万-1,054.82%-958.5万
-应收款(增)减 151.58%140.4万-950.63%-272.2万76.80%32万103.30%18.1万-151.37%-549.3万207.14%1,069.3万178.98%252.1万89.08%-73.7万-1,442.50%-998万-131.49%-50.8万
-应付款(减)增 -92.42%20.3万774.31%267.7万19.96%-39.7万-116.39%-49.6万193.88%302.7万124.45%103万299.78%1,667.9万-107.37%-16.2万-334.91%-421.2万-779.06%-915.1万
-其他流动资产变动 ----------------------0353.33%45.6万28,400.00%28.5万105.28%7.4万----
已付股息(经营活动产生的现金流)
已收到的股息(经营活动产生的现金流)
已付利息(经营活动产生的现金流) 68.29%-1.3万40.58%-4.1万38.89%-1.1万35.00%-1.3万-6.9万-1.5万
已收到的利息(经营活动产生的现金流)
已支付退税 8.88%-461.5万-2,255.81%-506.5万97.42%-21.5万0.48%-834.9万-88.35%-838.9万14.38%-445.4万98.18%-4.8万-550.00%-9.1万3.04%-520.2万6.58%8.1万
其他经营现金流入/流出 0000000000
经营活动现金净额 269.76%1,589.6万-80.51%429.9万214.62%2,205.5万-30.15%701万-59.83%1,003.6万2,761.63%2,498.2万2,703.46%2,559.2万-420.04%-1,036.6万-88.45%87.3万-79.91%119.9万
投资活动
物业、厂房及设备交易净额 -33.33%-46.8万48.98%-35.1万65.36%-68.8万67.12%-198.6万76.11%-604.1万-3,436.64%-2,528.7万-1,525.00%-6.5万---2,463万-1,330.00%-71.5万-5,755.56%-52.7万
投资物业交易净额 -351.38%-5,839.4万650.97%2,322.9万-173.13%-421.6万126.49%576.5万-1,884.05%-2,176.5万-104.11%-109.7万113.51%131.3万728.02%437.1万293.33%2,666.4万-133.08%-305.2万
已收到的股息(投资活动产生的现金流) 58.76%1,155.3万23.65%727.7万58.88%588.5万-4.14%370.4万8.60%386.4万-53.89%355.8万-90.17%53.4万48.75%41.8万108.20%771.6万13.54%47.8万
已收到的利息(投资活动产生的现金流) -21.74%797.1万0.66%1,018.5万24.98%1,011.8万-0.54%809.6万-14.14%814万3.40%948万32.89%238万15.64%249.9万10.86%916.8万55.29%318.5万
其他投资变动净额 -459.02%-441.6万303.28%123万121.18%30.5万-255.34%-144万4,514.29%92.7万-425.00%-2.1万10,300.00%10.2万0.00%-1,000-100.06%-4,000-102.50%-1,000
投资活动现金净额 -205.25%-4,375.4万264.52%4,157万-19.34%1,140.4万195.05%1,413.9万64.87%-1,487.5万-198.86%-4,234万270.70%426.4万-2,754.21%-4,631.6万72.23%4,282.9万-99.29%8.3万
融资活动
融资租赁增减 --066.67%-1,000---3,000--06.45%-113.1万-2.28%-120.9万32.54%-19.9万-2.40%-29.9万---118.2万---29.8万
已支付现金股息 -2.38%-1,314.8万0.00%-1,284.2万16.00%-1,284.2万-19.05%-1,528.9万12.50%-1,284.2万-9.09%-1,467.7万-14.81%-947.9万----20.00%-1,345.4万--0
融资活动现金净额 -2.37%-1,314.8万0.02%-1,284.3万15.99%-1,284.5万-9.42%-1,528.9万12.04%-1,397.3万-8.54%-1,588.6万-13.18%-967.8万-2.40%-29.9万12.97%-1,463.6万---29.8万
现金净流量
期初现金流 50.85%9,797.6万46.49%6,495万15.23%4,433.6万-32.84%3,847.6万-36.72%5,728.8万47.29%9,053.2万-49.29%3,355.1万47.29%9,053.2万34.03%6,146.6万104.59%8,954.8万
现金变动 -224.16%-4,100.6万60.21%3,302.6万251.77%2,061.4万131.15%586万43.41%-1,881.2万-214.37%-3,324.4万267.70%2,017.8万-1,314.43%-5,698.1万86.25%2,906.6万-94.44%98.4万
期末现金 -41.85%5,697万50.85%9,797.6万46.49%6,495万15.23%4,433.6万-32.84%3,847.6万-36.72%5,728.8万-0.73%5,372.9万-49.29%3,355.1万47.29%9,053.2万47.29%9,053.2万
自由现金流 290.50%1,541.7万-81.52%394.8万325.28%2,136.6万25.76%502.4万1,409.84%399.5万-293.04%-30.5万2,686.32%2,552.7万-1,180.46%-3,499.6万-97.90%15.8万-88.72%67.2万
货币单位 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
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