港股市場個股詳情

01650 HYGIEIA GROUP

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  • 0.159
  • +0.001+0.63%
交易中 05/22 13:30 (北京)
3.18億總市值159.00市盈率TTM

HYGIEIA GROUP關鍵統計數據

全部
顯示同比 yoy
隱藏空行 yoy
(FY)2023/12/31
(Q6)2023/06/30
(FY)2022/12/31
(Q6)2022/12/31
(FY)2021/12/31
(Q6)2021/12/31
(FY)2020/12/31
(Q6)2020/12/31
(FY)2019/12/31
(Q6)2019/12/31
資產
流動資產
應收賬款
15.38%1,728.8萬
7.57%1,611.8萬
-27.30%1,498.4萬
-27.30%1,498.4萬
-10.97%2,061.1萬
-16.56%2,061.1萬
20.23%2,315.1萬
28.29%2,470.2萬
-9.32%1,925.5萬
-9.32%1,925.5萬
現金及等價物
-30.25%1,221.7萬
-34.23%1,151.9萬
-43.53%1,751.5萬
-43.53%1,751.5萬
54.39%3,101.8萬
54.39%3,101.8萬
60.10%2,009.1萬
60.10%2,009.1萬
20.07%1,254.9萬
20.07%1,254.9萬
定期存款-流動資產
3.67%1,036.7萬
1.83%1,018.3萬
--1,000萬
--1,000萬
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----
----
----
----
----
按公平值入損益金融資產-流動資產
----
----
----
----
----
----
--254.2萬
--143.4萬
----
----
流動資產合計
-6.18%3,987.2萬
-11.01%3,782萬
-17.68%4,249.9萬
-17.68%4,249.9萬
12.77%5,162.9萬
11.69%5,162.9萬
43.96%4,578.4萬
45.35%4,622.7萬
0.37%3,180.4萬
0.37%3,180.4萬
非流動資產
物業廠房及設備
-3.57%253.9萬
1.52%267.3萬
-12.20%263.3萬
-12.20%263.3萬
-3.44%299.9萬
-3.44%299.9萬
-14.58%310.6萬
-14.58%310.6萬
-6.22%363.6萬
-6.22%363.6萬
遞延稅項資產
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----
----
----
----
----
----
--15.1萬
----
----
非流動資產特殊專案
18.69%206.4萬
11.44%193.8萬
-8.76%173.9萬
-8.76%173.9萬
50.20%190.6萬
-6.11%190.6萬
46.71%126.9萬
134.68%203萬
-40.63%86.5萬
-40.63%86.5萬
非流動資產合計
5.28%460.3萬
5.47%461.1萬
-10.87%437.2萬
-10.87%437.2萬
12.11%490.5萬
-7.23%490.5萬
-2.80%437.5萬
17.46%528.7萬
-15.62%450.1萬
-15.62%450.1萬
總資產
-5.11%4,447.5萬
-9.47%4,243.1萬
-17.09%4,687.1萬
-17.09%4,687.1萬
12.71%5,653.4萬
9.74%5,653.4萬
38.16%5,015.9萬
41.89%5,151.4萬
-1.93%3,630.5萬
-1.93%3,630.5萬
負債
流動負債
應付帳款
8.46%821.8萬
-21.49%594.9萬
-11.08%757.7萬
-11.08%757.7萬
-7.74%852.1萬
-7.88%852.1萬
1.81%923.6萬
1.96%925萬
37.64%907.2萬
37.64%907.2萬
應付稅項
-30.86%12.1萬
----
-79.44%17.5萬
-79.44%17.5萬
-4.81%85.1萬
-9.95%85.1萬
-16.91%89.4萬
-12.17%94.5萬
10.70%107.6萬
10.70%107.6萬
銀行貸款及透支
0.48%189.3萬
-0.27%187.9萬
3.97%188.4萬
3.97%188.4萬
12.20%181.2萬
12.20%181.2萬
-87.15%161.5萬
-87.15%161.5萬
5.90%1,256.8萬
5.90%1,256.8萬
融資租賃負債-流動負債
23.63%144.4萬
25.34%146.4萬
-13.86%116.8萬
-13.86%116.8萬
22.27%135.6萬
22.27%135.6萬
29.56%110.9萬
29.56%110.9萬
-26.65%85.6萬
-26.65%85.6萬
流動負債合計
8.07%1,167.6萬
-13.99%929.2萬
-13.84%1,080.4萬
-13.84%1,080.4萬
-2.44%1,254萬
-2.93%1,254萬
-45.47%1,285.4萬
-45.19%1,291.9萬
14.44%2,357.2萬
14.44%2,357.2萬
淨流動資產
-11.04%2,819.6萬
-9.99%2,852.8萬
-18.92%3,169.5萬
-18.92%3,169.5萬
18.70%3,908.9萬
17.36%3,908.9萬
300.02%3,293萬
304.62%3,330.8萬
-25.76%823.2萬
-25.76%823.2萬
總資產減流動負債
-9.06%3,279.9萬
-8.12%3,313.9萬
-18.02%3,606.7萬
-18.02%3,606.7萬
17.93%4,399.4萬
13.99%4,399.4萬
192.98%3,730.5萬
203.11%3,859.5萬
-22.46%1,273.3萬
-22.46%1,273.3萬
非流動負債
長期銀行貸款
-46.80%206.3萬
-24.16%294.1萬
-32.37%387.8萬
-32.37%387.8萬
25.94%573.4萬
25.94%573.4萬
402.54%455.3萬
402.54%455.3萬
-34.06%90.6萬
-34.06%90.6萬
融資租賃負債-非流動負債
8.45%64.2萬
-16.55%49.4萬
4.23%59.2萬
4.23%59.2萬
238.10%56.8萬
238.10%56.8萬
630.43%16.8萬
630.43%16.8萬
-92.56%2.3萬
-92.56%2.3萬
遞延稅項負債
----
----
----
----
----
----
----
----
0.37%27.4萬
0.37%27.4萬
非流動負債合計
-39.49%270.5萬
-23.15%343.5萬
-29.07%447萬
-29.07%447萬
33.49%630.2萬
33.49%630.2萬
292.44%472.1萬
292.44%472.1萬
-38.50%120.3萬
-38.50%120.3萬
總負債
-5.85%1,438.1萬
-16.68%1,272.7萬
-18.94%1,527.4萬
-18.94%1,527.4萬
7.21%1,884.2萬
6.81%1,884.2萬
-29.06%1,757.5萬
-28.80%1,764萬
9.85%2,477.5萬
9.85%2,477.5萬
總資產減總負債
-4.76%3,009.4萬
-5.99%2,970.4萬
-16.17%3,159.7萬
-16.17%3,159.7萬
15.68%3,769.2萬
11.27%3,769.2萬
182.60%3,258.4萬
193.79%3,387.4萬
-20.30%1,153萬
-20.30%1,153萬
總權益及非流動負債
-9.06%3,279.9萬
-8.12%3,313.9萬
-18.02%3,606.7萬
-18.02%3,606.7萬
17.93%4,399.4萬
13.99%4,399.4萬
192.98%3,730.5萬
203.11%3,859.5萬
-22.46%1,273.3萬
-22.46%1,273.3萬
權益
股本
0.00%359.2萬
0.00%359.2萬
0.00%359.2萬
0.00%359.2萬
0.00%359.2萬
0.00%359.2萬
--359.2萬
--359.2萬
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----
儲備
-5.52%2,645.7萬
-6.81%2,609.6萬
-17.89%2,800.4萬
-17.89%2,800.4萬
17.77%3,410.5萬
--3,410.5萬
152.17%2,895.9萬
----
--1,148.4萬
----
股本溢價
----
----
----
----
----
----
----
--1,317.3萬
----
----
法定儲備
-5.52%2,645.7萬
-6.81%2,609.6萬
-17.89%2,800.4萬
-17.89%2,800.4萬
17.77%3,410.5萬
--3,410.5萬
152.17%2,895.9萬
----
--1,148.4萬
----
資本公積
----
----
----
----
----
----
----
0.00%450萬
----
0.00%450萬
匯兌儲備
----
----
----
----
----
----
----
33.33%8,000
----
200.00%6,000
其他儲備
----
----
----
----
----
----
----
0.00%-9.8萬
----
---9.8萬
保留溢利
----
----
----
----
----
----
----
78.98%1,267萬
----
-28.79%707.9萬
股東權益調整專案
----
----
----
----
----
----
----
----
----
---3,000
股東權益
-4.90%3,004.9萬
-6.04%2,968.8萬
-16.18%3,159.6萬
-16.18%3,159.6萬
15.81%3,769.7萬
11.38%3,769.7萬
183.45%3,255.1萬
194.71%3,384.5萬
-20.49%1,148.4萬
-20.49%1,148.4萬
非控股權益
4,400.00%4.5萬
1,500.00%1.6萬
120.00%1,000
120.00%1,000
-115.15%-5,000
-117.24%-5,000
-28.26%3.3萬
-36.96%2.9萬
100.00%4.6萬
100.00%4.6萬
總權益
-4.76%3,009.4萬
-5.99%2,970.4萬
-16.17%3,159.7萬
-16.17%3,159.7萬
15.68%3,769.2萬
11.27%3,769.2萬
182.60%3,258.4萬
193.79%3,387.4萬
-20.30%1,153萬
-20.30%1,153萬
總權益及總負債
-5.11%4,447.5萬
-9.47%4,243.1萬
-17.09%4,687.1萬
-17.09%4,687.1萬
12.71%5,653.4萬
9.74%5,653.4萬
38.16%5,015.9萬
41.89%5,151.4萬
-1.93%3,630.5萬
-1.93%3,630.5萬
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
會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
審計意見
無保留意見
--
無保留意見
--
保留意見
--
--
--
無保留意見
--
會計師事務所
國衛會計師事務所有限公司
--
國衛會計師事務所有限公司
--
國衛會計師事務所有限公司
--
國衛會計師事務所有限公司
--
羅兵鹹永道會計師事務所
--
(FY)2023/12/31(Q6)2023/06/30(FY)2022/12/31(Q6)2022/12/31(FY)2021/12/31(Q6)2021/12/31(FY)2020/12/31(Q6)2020/12/31(FY)2019/12/31(Q6)2019/12/31
資產
流動資產
應收賬款 15.38%1,728.8萬7.57%1,611.8萬-27.30%1,498.4萬-27.30%1,498.4萬-10.97%2,061.1萬-16.56%2,061.1萬20.23%2,315.1萬28.29%2,470.2萬-9.32%1,925.5萬-9.32%1,925.5萬
現金及等價物 -30.25%1,221.7萬-34.23%1,151.9萬-43.53%1,751.5萬-43.53%1,751.5萬54.39%3,101.8萬54.39%3,101.8萬60.10%2,009.1萬60.10%2,009.1萬20.07%1,254.9萬20.07%1,254.9萬
定期存款-流動資產 3.67%1,036.7萬1.83%1,018.3萬--1,000萬--1,000萬------------------------
按公平值入損益金融資產-流動資產 --------------------------254.2萬--143.4萬--------
流動資產合計 -6.18%3,987.2萬-11.01%3,782萬-17.68%4,249.9萬-17.68%4,249.9萬12.77%5,162.9萬11.69%5,162.9萬43.96%4,578.4萬45.35%4,622.7萬0.37%3,180.4萬0.37%3,180.4萬
非流動資產
物業廠房及設備 -3.57%253.9萬1.52%267.3萬-12.20%263.3萬-12.20%263.3萬-3.44%299.9萬-3.44%299.9萬-14.58%310.6萬-14.58%310.6萬-6.22%363.6萬-6.22%363.6萬
遞延稅項資產 ------------------------------15.1萬--------
非流動資產特殊專案 18.69%206.4萬11.44%193.8萬-8.76%173.9萬-8.76%173.9萬50.20%190.6萬-6.11%190.6萬46.71%126.9萬134.68%203萬-40.63%86.5萬-40.63%86.5萬
非流動資產合計 5.28%460.3萬5.47%461.1萬-10.87%437.2萬-10.87%437.2萬12.11%490.5萬-7.23%490.5萬-2.80%437.5萬17.46%528.7萬-15.62%450.1萬-15.62%450.1萬
總資產 -5.11%4,447.5萬-9.47%4,243.1萬-17.09%4,687.1萬-17.09%4,687.1萬12.71%5,653.4萬9.74%5,653.4萬38.16%5,015.9萬41.89%5,151.4萬-1.93%3,630.5萬-1.93%3,630.5萬
負債
流動負債
應付帳款 8.46%821.8萬-21.49%594.9萬-11.08%757.7萬-11.08%757.7萬-7.74%852.1萬-7.88%852.1萬1.81%923.6萬1.96%925萬37.64%907.2萬37.64%907.2萬
應付稅項 -30.86%12.1萬-----79.44%17.5萬-79.44%17.5萬-4.81%85.1萬-9.95%85.1萬-16.91%89.4萬-12.17%94.5萬10.70%107.6萬10.70%107.6萬
銀行貸款及透支 0.48%189.3萬-0.27%187.9萬3.97%188.4萬3.97%188.4萬12.20%181.2萬12.20%181.2萬-87.15%161.5萬-87.15%161.5萬5.90%1,256.8萬5.90%1,256.8萬
融資租賃負債-流動負債 23.63%144.4萬25.34%146.4萬-13.86%116.8萬-13.86%116.8萬22.27%135.6萬22.27%135.6萬29.56%110.9萬29.56%110.9萬-26.65%85.6萬-26.65%85.6萬
流動負債合計 8.07%1,167.6萬-13.99%929.2萬-13.84%1,080.4萬-13.84%1,080.4萬-2.44%1,254萬-2.93%1,254萬-45.47%1,285.4萬-45.19%1,291.9萬14.44%2,357.2萬14.44%2,357.2萬
淨流動資產 -11.04%2,819.6萬-9.99%2,852.8萬-18.92%3,169.5萬-18.92%3,169.5萬18.70%3,908.9萬17.36%3,908.9萬300.02%3,293萬304.62%3,330.8萬-25.76%823.2萬-25.76%823.2萬
總資產減流動負債 -9.06%3,279.9萬-8.12%3,313.9萬-18.02%3,606.7萬-18.02%3,606.7萬17.93%4,399.4萬13.99%4,399.4萬192.98%3,730.5萬203.11%3,859.5萬-22.46%1,273.3萬-22.46%1,273.3萬
非流動負債
長期銀行貸款 -46.80%206.3萬-24.16%294.1萬-32.37%387.8萬-32.37%387.8萬25.94%573.4萬25.94%573.4萬402.54%455.3萬402.54%455.3萬-34.06%90.6萬-34.06%90.6萬
融資租賃負債-非流動負債 8.45%64.2萬-16.55%49.4萬4.23%59.2萬4.23%59.2萬238.10%56.8萬238.10%56.8萬630.43%16.8萬630.43%16.8萬-92.56%2.3萬-92.56%2.3萬
遞延稅項負債 --------------------------------0.37%27.4萬0.37%27.4萬
非流動負債合計 -39.49%270.5萬-23.15%343.5萬-29.07%447萬-29.07%447萬33.49%630.2萬33.49%630.2萬292.44%472.1萬292.44%472.1萬-38.50%120.3萬-38.50%120.3萬
總負債 -5.85%1,438.1萬-16.68%1,272.7萬-18.94%1,527.4萬-18.94%1,527.4萬7.21%1,884.2萬6.81%1,884.2萬-29.06%1,757.5萬-28.80%1,764萬9.85%2,477.5萬9.85%2,477.5萬
總資產減總負債 -4.76%3,009.4萬-5.99%2,970.4萬-16.17%3,159.7萬-16.17%3,159.7萬15.68%3,769.2萬11.27%3,769.2萬182.60%3,258.4萬193.79%3,387.4萬-20.30%1,153萬-20.30%1,153萬
總權益及非流動負債 -9.06%3,279.9萬-8.12%3,313.9萬-18.02%3,606.7萬-18.02%3,606.7萬17.93%4,399.4萬13.99%4,399.4萬192.98%3,730.5萬203.11%3,859.5萬-22.46%1,273.3萬-22.46%1,273.3萬
權益
股本 0.00%359.2萬0.00%359.2萬0.00%359.2萬0.00%359.2萬0.00%359.2萬0.00%359.2萬--359.2萬--359.2萬--------
儲備 -5.52%2,645.7萬-6.81%2,609.6萬-17.89%2,800.4萬-17.89%2,800.4萬17.77%3,410.5萬--3,410.5萬152.17%2,895.9萬------1,148.4萬----
股本溢價 ------------------------------1,317.3萬--------
法定儲備 -5.52%2,645.7萬-6.81%2,609.6萬-17.89%2,800.4萬-17.89%2,800.4萬17.77%3,410.5萬--3,410.5萬152.17%2,895.9萬------1,148.4萬----
資本公積 ----------------------------0.00%450萬----0.00%450萬
匯兌儲備 ----------------------------33.33%8,000----200.00%6,000
其他儲備 ----------------------------0.00%-9.8萬-------9.8萬
保留溢利 ----------------------------78.98%1,267萬-----28.79%707.9萬
股東權益調整專案 ---------------------------------------3,000
股東權益 -4.90%3,004.9萬-6.04%2,968.8萬-16.18%3,159.6萬-16.18%3,159.6萬15.81%3,769.7萬11.38%3,769.7萬183.45%3,255.1萬194.71%3,384.5萬-20.49%1,148.4萬-20.49%1,148.4萬
非控股權益 4,400.00%4.5萬1,500.00%1.6萬120.00%1,000120.00%1,000-115.15%-5,000-117.24%-5,000-28.26%3.3萬-36.96%2.9萬100.00%4.6萬100.00%4.6萬
總權益 -4.76%3,009.4萬-5.99%2,970.4萬-16.17%3,159.7萬-16.17%3,159.7萬15.68%3,769.2萬11.27%3,769.2萬182.60%3,258.4萬193.79%3,387.4萬-20.30%1,153萬-20.30%1,153萬
總權益及總負債 -5.11%4,447.5萬-9.47%4,243.1萬-17.09%4,687.1萬-17.09%4,687.1萬12.71%5,653.4萬9.74%5,653.4萬38.16%5,015.9萬41.89%5,151.4萬-1.93%3,630.5萬-1.93%3,630.5萬
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
會計準則 國際會計準則國際會計準則國際會計準則國際會計準則國際會計準則國際會計準則國際會計準則國際會計準則國際會計準則國際會計準則
審計意見 無保留意見--無保留意見--保留意見------無保留意見--
會計師事務所 國衛會計師事務所有限公司--國衛會計師事務所有限公司--國衛會計師事務所有限公司--國衛會計師事務所有限公司--羅兵鹹永道會計師事務所--

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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