澳洲市場個股詳情

FBR FBR Ltd

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延時20分鐘行情已收盤 06/03 16:00 (悉尼)
1.11億總市值-3571市盈率(靜)

FBR Ltd關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2023/06/30
(Q4)2023/06/30
(FY)2022/06/30
(Q4)2022/06/30
(FY)2021/06/30
(Q4)2021/06/30
(FY)2020/06/30
(Q4)2020/06/30
(FY)2019/06/30
(Q4)2019/06/30
資產
流動資產
現金及現金等價物和短期投資
16.35%1,340.24萬
16.35%1,340.24萬
3.51%1,151.89萬
3.51%1,151.89萬
118.98%1,112.82萬
118.98%1,112.82萬
-64.77%508.18萬
-64.77%508.18萬
-34.30%1,442.63萬
-34.30%1,442.63萬
-現金和現金等價物
16.35%1,340.24萬
16.35%1,340.24萬
3.51%1,151.89萬
3.51%1,151.89萬
118.98%1,112.82萬
118.98%1,112.82萬
-64.77%508.18萬
-64.77%508.18萬
-34.30%1,442.63萬
-34.30%1,442.63萬
-應收票據
-51.41%27.88萬
-51.41%27.88萬
90.78%57.39萬
90.78%57.39萬
46.33%30.08萬
46.33%30.08萬
12.72%20.56萬
12.72%20.56萬
--18.24萬
--18.24萬
-其他應收款
-23.79%104.05萬
-23.79%104.05萬
408.51%136.54萬
408.51%136.54萬
14.43%26.85萬
14.43%26.85萬
-76.62%23.46萬
-76.62%23.46萬
-20.54%100.34萬
-20.54%100.34萬
流動資產合計
23.10%2,471.08萬
23.10%2,471.08萬
11.55%2,007.3萬
11.55%2,007.3萬
75.67%1,799.49萬
75.67%1,799.49萬
-60.92%1,024.37萬
-60.92%1,024.37萬
-13.83%2,621.12萬
-13.83%2,621.12萬
非流動資產
-累計折舊
-14.36%-456.64萬
-14.36%-456.64萬
-55.15%-399.3萬
-55.15%-399.3萬
29.92%-257.36萬
29.92%-257.36萬
-362.54%-367.21萬
-362.54%-367.21萬
-186.19%-79.39萬
-186.19%-79.39萬
-長期股權投資
-16.73%269.02萬
-16.73%269.02萬
15,389.79%323.09萬
15,389.79%323.09萬
-70.43%2.09萬
-70.43%2.09萬
443.56%7.05萬
443.56%7.05萬
-51.07%1.3萬
-51.07%1.3萬
監管資產
47.85%956.66萬
47.85%956.66萬
42.34%647.04萬
42.34%647.04萬
0.60%454.58萬
0.60%454.58萬
-54.70%451.88萬
-54.70%451.88萬
22.18%997.56萬
22.18%997.56萬
負債
流動負債
短期借款與資本租賃負債
442.96%662.48萬
442.96%662.48萬
20.34%122.01萬
20.34%122.01萬
1,813.00%101.39萬
1,813.00%101.39萬
261.02%5.3萬
261.02%5.3萬
5.08%1.47萬
5.08%1.47萬
-短期借款
--522.71萬
--522.71萬
----
----
----
----
----
----
----
----
-短期資本租賃負債
14.55%139.77萬
14.55%139.77萬
20.34%122.01萬
20.34%122.01萬
1,813.00%101.39萬
1,813.00%101.39萬
261.02%5.3萬
261.02%5.3萬
5.08%1.47萬
5.08%1.47萬
-應付帳款
-12.47%191.31萬
-12.47%191.31萬
36.53%218.58萬
36.53%218.58萬
96.83%160.09萬
96.83%160.09萬
-30.24%81.33萬
-30.24%81.33萬
15.37%116.59萬
15.37%116.59萬
-應付稅費
-21.96%296.91萬
-21.96%296.91萬
1,082.81%380.48萬
1,082.81%380.48萬
16.50%32.17萬
16.50%32.17萬
-63.46%27.61萬
-63.46%27.61萬
2,749.01%75.56萬
2,749.01%75.56萬
-其他應付款
----
----
----
----
7.14%4,632.19萬
7.14%4,632.19萬
51.02%4,323.69萬
51.02%4,323.69萬
93.52%2,862.95萬
93.52%2,862.95萬
現行撥備
----
----
----
----
----
----
----
----
--5萬
--5萬
流動負債總額
7.56%1,211.83萬
7.56%1,211.83萬
93.43%1,126.61萬
93.43%1,126.61萬
33.55%582.43萬
33.55%582.43萬
53.89%436.11萬
53.89%436.11萬
-0.26%283.4萬
-0.26%283.4萬
非流動負債
-長期借款
21.38%86.99萬
21.38%86.99萬
3,336.20%71.67萬
3,336.20%71.67萬
-70.43%2.09萬
-70.43%2.09萬
443.56%7.05萬
443.56%7.05萬
-51.07%1.3萬
-51.07%1.3萬
長期應計費用
16.19%6,188.52萬
16.19%6,188.52萬
1,168.88%5,326.33萬
1,168.88%5,326.33萬
-4.07%419.77萬
-4.07%419.77萬
134.21%437.57萬
134.21%437.57萬
47.11%186.82萬
47.11%186.82萬
長期撥備
-27.60%182.03萬
-27.60%182.03萬
--251.41萬
--251.41萬
----
----
----
----
----
----
員工福利
-51.41%27.88萬
-51.41%27.88萬
90.78%57.39萬
90.78%57.39萬
46.33%30.08萬
46.33%30.08萬
12.72%20.56萬
12.72%20.56萬
--18.24萬
--18.24萬
可轉換優先證券
236.48%253.99萬
236.48%253.99萬
61.73%75.48萬
61.73%75.48萬
3.00%46.67萬
3.00%46.67萬
-24.47%45.31萬
-24.47%45.31萬
8.33%60萬
8.33%60萬
非流動負債總額
0.11%1,508.74萬
0.11%1,508.74萬
145.21%1,507.09萬
145.21%1,507.09萬
32.54%614.6萬
32.54%614.6萬
29.18%463.72萬
29.18%463.72萬
25.17%358.96萬
25.17%358.96萬
所有者權益
股本
27.69%1.49億
27.69%1.49億
14.63%1.17億
14.63%1.17億
17.53%1.02億
17.53%1.02億
13.95%8,652.84萬
13.95%8,652.84萬
31.15%7,593.57萬
31.15%7,593.57萬
-普通股股本
27.69%1.49億
27.69%1.49億
14.63%1.17億
14.63%1.17億
17.53%1.02億
17.53%1.02億
13.95%8,652.84萬
13.95%8,652.84萬
31.15%7,593.57萬
31.15%7,593.57萬
不影響留存收益的損益
65.96%580.28萬
65.96%580.28萬
-21.97%349.66萬
-21.97%349.66萬
58.10%448.12萬
58.10%448.12萬
-9.57%283.45萬
-9.57%283.45萬
14.10%313.45萬
14.10%313.45萬
其他股本權益
----
----
--71.32萬
--71.32萬
----
----
----
----
----
----
總權益
18.08%8,659.6萬
18.08%8,659.6萬
7.04%7,333.63萬
7.04%7,333.63萬
18.42%6,851.45萬
18.42%6,851.45萬
2.02%5,785.63萬
2.02%5,785.63萬
22.01%5,670.89萬
22.01%5,670.89萬
(FY)2023/06/30(Q4)2023/06/30(FY)2022/06/30(Q4)2022/06/30(FY)2021/06/30(Q4)2021/06/30(FY)2020/06/30(Q4)2020/06/30(FY)2019/06/30(Q4)2019/06/30
資產
流動資產
現金及現金等價物和短期投資 16.35%1,340.24萬16.35%1,340.24萬3.51%1,151.89萬3.51%1,151.89萬118.98%1,112.82萬118.98%1,112.82萬-64.77%508.18萬-64.77%508.18萬-34.30%1,442.63萬-34.30%1,442.63萬
-現金和現金等價物 16.35%1,340.24萬16.35%1,340.24萬3.51%1,151.89萬3.51%1,151.89萬118.98%1,112.82萬118.98%1,112.82萬-64.77%508.18萬-64.77%508.18萬-34.30%1,442.63萬-34.30%1,442.63萬
-應收票據 -51.41%27.88萬-51.41%27.88萬90.78%57.39萬90.78%57.39萬46.33%30.08萬46.33%30.08萬12.72%20.56萬12.72%20.56萬--18.24萬--18.24萬
-其他應收款 -23.79%104.05萬-23.79%104.05萬408.51%136.54萬408.51%136.54萬14.43%26.85萬14.43%26.85萬-76.62%23.46萬-76.62%23.46萬-20.54%100.34萬-20.54%100.34萬
流動資產合計 23.10%2,471.08萬23.10%2,471.08萬11.55%2,007.3萬11.55%2,007.3萬75.67%1,799.49萬75.67%1,799.49萬-60.92%1,024.37萬-60.92%1,024.37萬-13.83%2,621.12萬-13.83%2,621.12萬
非流動資產
-累計折舊 -14.36%-456.64萬-14.36%-456.64萬-55.15%-399.3萬-55.15%-399.3萬29.92%-257.36萬29.92%-257.36萬-362.54%-367.21萬-362.54%-367.21萬-186.19%-79.39萬-186.19%-79.39萬
-長期股權投資 -16.73%269.02萬-16.73%269.02萬15,389.79%323.09萬15,389.79%323.09萬-70.43%2.09萬-70.43%2.09萬443.56%7.05萬443.56%7.05萬-51.07%1.3萬-51.07%1.3萬
監管資產 47.85%956.66萬47.85%956.66萬42.34%647.04萬42.34%647.04萬0.60%454.58萬0.60%454.58萬-54.70%451.88萬-54.70%451.88萬22.18%997.56萬22.18%997.56萬
負債
流動負債
短期借款與資本租賃負債 442.96%662.48萬442.96%662.48萬20.34%122.01萬20.34%122.01萬1,813.00%101.39萬1,813.00%101.39萬261.02%5.3萬261.02%5.3萬5.08%1.47萬5.08%1.47萬
-短期借款 --522.71萬--522.71萬--------------------------------
-短期資本租賃負債 14.55%139.77萬14.55%139.77萬20.34%122.01萬20.34%122.01萬1,813.00%101.39萬1,813.00%101.39萬261.02%5.3萬261.02%5.3萬5.08%1.47萬5.08%1.47萬
-應付帳款 -12.47%191.31萬-12.47%191.31萬36.53%218.58萬36.53%218.58萬96.83%160.09萬96.83%160.09萬-30.24%81.33萬-30.24%81.33萬15.37%116.59萬15.37%116.59萬
-應付稅費 -21.96%296.91萬-21.96%296.91萬1,082.81%380.48萬1,082.81%380.48萬16.50%32.17萬16.50%32.17萬-63.46%27.61萬-63.46%27.61萬2,749.01%75.56萬2,749.01%75.56萬
-其他應付款 ----------------7.14%4,632.19萬7.14%4,632.19萬51.02%4,323.69萬51.02%4,323.69萬93.52%2,862.95萬93.52%2,862.95萬
現行撥備 ----------------------------------5萬--5萬
流動負債總額 7.56%1,211.83萬7.56%1,211.83萬93.43%1,126.61萬93.43%1,126.61萬33.55%582.43萬33.55%582.43萬53.89%436.11萬53.89%436.11萬-0.26%283.4萬-0.26%283.4萬
非流動負債
-長期借款 21.38%86.99萬21.38%86.99萬3,336.20%71.67萬3,336.20%71.67萬-70.43%2.09萬-70.43%2.09萬443.56%7.05萬443.56%7.05萬-51.07%1.3萬-51.07%1.3萬
長期應計費用 16.19%6,188.52萬16.19%6,188.52萬1,168.88%5,326.33萬1,168.88%5,326.33萬-4.07%419.77萬-4.07%419.77萬134.21%437.57萬134.21%437.57萬47.11%186.82萬47.11%186.82萬
長期撥備 -27.60%182.03萬-27.60%182.03萬--251.41萬--251.41萬------------------------
員工福利 -51.41%27.88萬-51.41%27.88萬90.78%57.39萬90.78%57.39萬46.33%30.08萬46.33%30.08萬12.72%20.56萬12.72%20.56萬--18.24萬--18.24萬
可轉換優先證券 236.48%253.99萬236.48%253.99萬61.73%75.48萬61.73%75.48萬3.00%46.67萬3.00%46.67萬-24.47%45.31萬-24.47%45.31萬8.33%60萬8.33%60萬
非流動負債總額 0.11%1,508.74萬0.11%1,508.74萬145.21%1,507.09萬145.21%1,507.09萬32.54%614.6萬32.54%614.6萬29.18%463.72萬29.18%463.72萬25.17%358.96萬25.17%358.96萬
所有者權益
股本 27.69%1.49億27.69%1.49億14.63%1.17億14.63%1.17億17.53%1.02億17.53%1.02億13.95%8,652.84萬13.95%8,652.84萬31.15%7,593.57萬31.15%7,593.57萬
-普通股股本 27.69%1.49億27.69%1.49億14.63%1.17億14.63%1.17億17.53%1.02億17.53%1.02億13.95%8,652.84萬13.95%8,652.84萬31.15%7,593.57萬31.15%7,593.57萬
不影響留存收益的損益 65.96%580.28萬65.96%580.28萬-21.97%349.66萬-21.97%349.66萬58.10%448.12萬58.10%448.12萬-9.57%283.45萬-9.57%283.45萬14.10%313.45萬14.10%313.45萬
其他股本權益 ----------71.32萬--71.32萬------------------------
總權益 18.08%8,659.6萬18.08%8,659.6萬7.04%7,333.63萬7.04%7,333.63萬18.42%6,851.45萬18.42%6,851.45萬2.02%5,785.63萬2.02%5,785.63萬22.01%5,670.89萬22.01%5,670.89萬

分析

分析師評級

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目標價預測

暫無數據

熱議
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