新加坡市場個股詳情

OAJ FortressMinerals

添加自選
  • 0.285
  • -0.015-5.00%
延時10分鐘行情交易中 05/14 16:30 (北京)
1.49億總市值10.56市盈率TTM

FortressMinerals關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2023/08/31
(Q1)2023/05/31
(FY)2023/02/28
(Q4)2023/02/28
(Q3)2022/11/30
(Q2)2022/08/31
(Q1)2022/05/31
(FY)2022/02/28
(Q4)2022/02/28
(Q3)2021/11/30
經營活動現金流量(間接法)
經營活動產生的現金
-17.93%812.52萬
-69.78%212.15萬
-2.48%2,790.91萬
93.15%424.59萬
-19.97%674.38萬
34.11%989.98萬
-33.87%701.96萬
43.96%2,861.8萬
-52.19%219.83萬
-31.46%842.69萬
扣除非現金調整前淨利潤
-5.00%599.01萬
-43.89%338.49萬
-5.89%1,755.66萬
21.39%166.73萬
-5.99%355.18萬
52.12%630.53萬
-35.55%603.23萬
-20.13%1,865.53萬
-82.88%137.35萬
-27.42%377.8萬
非現金項目調整總額
45.81%240.65萬
3.11%80.33萬
98.59%879.43萬
237.60%336.49萬
51.82%221.01萬
58.62%165.05萬
-17.12%77.91萬
25.39%442.84萬
13.14%99.67萬
58.60%145.58萬
-折舊與攤銷
36.81%210.07萬
-18.92%52.66萬
32.14%533.27萬
115.81%173.88萬
4.76%140.89萬
61.02%153.55萬
-30.27%64.95萬
28.53%403.57萬
-11.63%80.57萬
84.55%134.49萬
-在損益中確認的減值損失回撥
----
----
4.83%1.25萬
----
----
----
----
--1.19萬
----
----
-處置利潤
104.56%710
---4.54萬
56.83%-1.48萬
-100.11%-63
102.14%805
---1.56萬
--0
-16.19%-3.43萬
17,711.38%5.88萬
-45.45%-3.76萬
-匯兌損益淨額
173.77%8.68萬
200.92%8.5萬
288.27%68.88萬
-70.63%-43.62萬
1,378.74%53.72萬
-16.07%-11.76萬
-317.95%-8.42萬
-191.79%-36.59萬
-379.60%-25.56萬
-120.47%-4.2萬
-其他非現金項目
-12.02%21.83萬
10.96%23.72萬
255.35%277.51萬
445.37%204.99萬
38.20%26.33萬
31.79%24.82萬
714.34%21.37萬
3,319.67%78.1萬
1,547.92%37.59萬
1,848.25%19.05萬
營運資本變動
-113.96%-27.14萬
-1,092.57%-206.67萬
-71.84%155.82萬
-357.42%-78.63萬
-69.25%98.2萬
-11.50%194.41萬
-34.21%20.82萬
178.94%553.43萬
96.01%-17.19萬
-48.25%319.31萬
-應收款(增)減
-83.66%22.98萬
24.99%-239.18萬
-125.13%-194.45萬
-342.54%-234.75萬
-41.34%218.61萬
-22.05%140.58萬
-357.48%-318.88萬
176.32%773.65萬
115.63%96.79萬
-36.75%372.67萬
-存貨(增)減
440.58%81.34萬
71.75%152.98萬
51.87%-80.79萬
43.05%-73.63萬
-36.39%-72.35萬
-55.53%-23.88萬
198.59%89.07萬
-2,792.25%-167.85萬
-497.64%-129.28萬
-1,233.32%-53.04萬
-應付款(減)增
-269.16%-131.46萬
-148.07%-120.48萬
923.22%431.06萬
1,401.17%229.75萬
-15,324.39%-48.06萬
42.14%77.71萬
305.39%250.63萬
-116.45%-52.36萬
-90.22%15.3萬
-101.34%-3,116
已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流)
已付利息(經營活動產生的現金流)
已收到的利息(經營活動產生的現金流)
已支付退稅
6.83%-83.16萬
-38.79%-161.29萬
8.74%-540.31萬
-31.06%-207.79萬
35.53%-127.05萬
14.55%-89.25萬
11.94%-116.21萬
-44.64%-592.04萬
27.52%-158.55萬
-211.60%-197.07萬
其他經營現金流入(流出)
0
0
0
0
0
0
0
0
0
0
經營活動現金淨額
-19.02%729.37萬
-91.32%50.85萬
-0.84%2,250.6萬
253.77%216.79萬
-15.22%547.33萬
42.13%900.73萬
-36.99%585.75萬
43.79%2,269.76萬
-74.58%61.28萬
-44.64%645.62萬
投資活動現金流量
物業、廠房及設備交易淨額
-1.67%-181.38萬
75.38%-117.31萬
42.37%-872.13萬
55.33%-127.79萬
53.07%-89.55萬
82.53%-178.4萬
-2,985.41%-476.38萬
-304.92%-1,513.22萬
-83.62%-286.05萬
-52.48%-190.82萬
業務交易淨額
--0
----
100.00%-5
--11.12萬
---11.12萬
---5
----
-133.33%-2,100萬
--0
--0
投資產品交易淨額
---37.04萬
---409.24萬
---144.89萬
----
----
--0
--0
--0
----
----
已收到的利息(投資活動產生的現金流)
537.21%2.48萬
160.54%1.45萬
21.69%1.58萬
-51.55%1,503
45.40%4,868
34.80%3,889
51.76%5,550
-66.73%1.3萬
-19.87%3,102
23.50%3,348
投資活動現金淨額
-21.31%-215.94萬
-10.36%-525.1萬
71.89%-1,015.43萬
8.52%-261.41萬
47.40%-100.19萬
82.57%-178.01萬
77.50%-475.83萬
-184.45%-3,611.92萬
72.93%-285.74萬
-52.55%-190.49萬
融資活動現金流量
債務發行/償還的淨額
-24.55%-183.45萬
-32.39%-189.58萬
-140.34%-743.72萬
13.55%-179.48萬
-493.48%-273.75萬
-1,127.80%-147.29萬
-106.88%-143.2萬
35,674.00%1,843.62萬
-37,650.17%-207.61萬
-1,482.18%-46.13萬
普通股發行/回購的淨額
--0
--653.18萬
--0
----
----
--0
--0
--5
----
----
租賃融資增減
0.88%-54.26萬
-0.51%-48.73萬
-34.85%-205.09萬
-2.24%-48.23萬
-206.56%-51.78萬
-21.78%-54.74萬
-250.48%-48.48萬
-189.47%-152.08萬
-180.40%-47.17萬
-5.38%-16.89萬
已支付現金股息
-8.80%-314.92萬
----
23.12%-289.44萬
--0
----
---289.44萬
----
-555.00%-376.5萬
--0
----
已付利息(籌資活動產生的現金流)
-6.53%-24.84萬
-18.97%-26.22萬
-28.49%-101.25萬
14.83%-32.13萬
-36.60%-25.62萬
-21.94%-23.31萬
-589.79%-22.04萬
-1,170.28%-78.8萬
-1,306.37%-37.73萬
-1,401.67%-18.75萬
其他籌資費用淨額
0.42%-235
0.00%-256
99.95%-975
2.13%-230
0.00%-253
99.99%-236
-5,220.00%-256
57.35%-200.08萬
98.98%-235
---253
融資活動現金淨額
-12.18%-577.49萬
281.81%388.62萬
-229.29%-1,339.6萬
11.17%-259.86萬
-329.33%-351.18萬
-86.46%-514.81萬
-112.67%-213.75萬
275.45%1,036.16萬
-1,276.33%-292.54萬
-305.10%-81.8萬
現金淨流量
期初現金流
-29.81%276.79萬
-25.31%366.78萬
-37.05%491.04萬
-31.01%700.7萬
-5.69%592.4萬
-69.26%394.33萬
-37.05%491.04萬
-23.84%780.03萬
-36.87%1,015.67萬
8.80%628.14萬
現金變動
-130.82%-64.07萬
17.52%-85.63萬
65.87%-104.43萬
41.11%-304.48萬
-74.29%95.97萬
131.34%207.9萬
-120.72%-103.83萬
-8.57%-306萬
38.13%-517萬
-63.44%373.33萬
匯率變動影響
353.34%24.9萬
-161.33%-4.36萬
-216.49%-19.83萬
-286.28%-29.44萬
-13.10%12.34萬
-211.83%-9.83萬
328.59%7.11萬
-54.76%17.02萬
-213.80%-7.62萬
35.58%14.19萬
期末現金
-59.89%237.62萬
-29.81%276.79萬
-25.31%366.78萬
-25.31%366.78萬
-31.01%700.7萬
-5.69%592.4萬
-69.26%394.33萬
-37.05%491.04萬
-37.05%491.04萬
-36.87%1,015.67萬
自由現金流
-25.00%540.17萬
-165.47%-71.6萬
84.91%1,374.6萬
141.08%92.86萬
0.33%452.18萬
285.80%720.2萬
-87.94%109.36萬
-37.62%743.38萬
-365.28%-226.04萬
-56.24%450.67萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
(Q2)2023/08/31(Q1)2023/05/31(FY)2023/02/28(Q4)2023/02/28(Q3)2022/11/30(Q2)2022/08/31(Q1)2022/05/31(FY)2022/02/28(Q4)2022/02/28(Q3)2021/11/30
經營活動現金流量(間接法)
經營活動產生的現金 -17.93%812.52萬-69.78%212.15萬-2.48%2,790.91萬93.15%424.59萬-19.97%674.38萬34.11%989.98萬-33.87%701.96萬43.96%2,861.8萬-52.19%219.83萬-31.46%842.69萬
扣除非現金調整前淨利潤 -5.00%599.01萬-43.89%338.49萬-5.89%1,755.66萬21.39%166.73萬-5.99%355.18萬52.12%630.53萬-35.55%603.23萬-20.13%1,865.53萬-82.88%137.35萬-27.42%377.8萬
非現金項目調整總額 45.81%240.65萬3.11%80.33萬98.59%879.43萬237.60%336.49萬51.82%221.01萬58.62%165.05萬-17.12%77.91萬25.39%442.84萬13.14%99.67萬58.60%145.58萬
-折舊與攤銷 36.81%210.07萬-18.92%52.66萬32.14%533.27萬115.81%173.88萬4.76%140.89萬61.02%153.55萬-30.27%64.95萬28.53%403.57萬-11.63%80.57萬84.55%134.49萬
-在損益中確認的減值損失回撥 --------4.83%1.25萬------------------1.19萬--------
-處置利潤 104.56%710---4.54萬56.83%-1.48萬-100.11%-63102.14%805---1.56萬--0-16.19%-3.43萬17,711.38%5.88萬-45.45%-3.76萬
-匯兌損益淨額 173.77%8.68萬200.92%8.5萬288.27%68.88萬-70.63%-43.62萬1,378.74%53.72萬-16.07%-11.76萬-317.95%-8.42萬-191.79%-36.59萬-379.60%-25.56萬-120.47%-4.2萬
-其他非現金項目 -12.02%21.83萬10.96%23.72萬255.35%277.51萬445.37%204.99萬38.20%26.33萬31.79%24.82萬714.34%21.37萬3,319.67%78.1萬1,547.92%37.59萬1,848.25%19.05萬
營運資本變動 -113.96%-27.14萬-1,092.57%-206.67萬-71.84%155.82萬-357.42%-78.63萬-69.25%98.2萬-11.50%194.41萬-34.21%20.82萬178.94%553.43萬96.01%-17.19萬-48.25%319.31萬
-應收款(增)減 -83.66%22.98萬24.99%-239.18萬-125.13%-194.45萬-342.54%-234.75萬-41.34%218.61萬-22.05%140.58萬-357.48%-318.88萬176.32%773.65萬115.63%96.79萬-36.75%372.67萬
-存貨(增)減 440.58%81.34萬71.75%152.98萬51.87%-80.79萬43.05%-73.63萬-36.39%-72.35萬-55.53%-23.88萬198.59%89.07萬-2,792.25%-167.85萬-497.64%-129.28萬-1,233.32%-53.04萬
-應付款(減)增 -269.16%-131.46萬-148.07%-120.48萬923.22%431.06萬1,401.17%229.75萬-15,324.39%-48.06萬42.14%77.71萬305.39%250.63萬-116.45%-52.36萬-90.22%15.3萬-101.34%-3,116
已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流)
已付利息(經營活動產生的現金流)
已收到的利息(經營活動產生的現金流)
已支付退稅 6.83%-83.16萬-38.79%-161.29萬8.74%-540.31萬-31.06%-207.79萬35.53%-127.05萬14.55%-89.25萬11.94%-116.21萬-44.64%-592.04萬27.52%-158.55萬-211.60%-197.07萬
其他經營現金流入(流出) 0000000000
經營活動現金淨額 -19.02%729.37萬-91.32%50.85萬-0.84%2,250.6萬253.77%216.79萬-15.22%547.33萬42.13%900.73萬-36.99%585.75萬43.79%2,269.76萬-74.58%61.28萬-44.64%645.62萬
投資活動現金流量
物業、廠房及設備交易淨額 -1.67%-181.38萬75.38%-117.31萬42.37%-872.13萬55.33%-127.79萬53.07%-89.55萬82.53%-178.4萬-2,985.41%-476.38萬-304.92%-1,513.22萬-83.62%-286.05萬-52.48%-190.82萬
業務交易淨額 --0----100.00%-5--11.12萬---11.12萬---5-----133.33%-2,100萬--0--0
投資產品交易淨額 ---37.04萬---409.24萬---144.89萬----------0--0--0--------
已收到的利息(投資活動產生的現金流) 537.21%2.48萬160.54%1.45萬21.69%1.58萬-51.55%1,50345.40%4,86834.80%3,88951.76%5,550-66.73%1.3萬-19.87%3,10223.50%3,348
投資活動現金淨額 -21.31%-215.94萬-10.36%-525.1萬71.89%-1,015.43萬8.52%-261.41萬47.40%-100.19萬82.57%-178.01萬77.50%-475.83萬-184.45%-3,611.92萬72.93%-285.74萬-52.55%-190.49萬
融資活動現金流量
債務發行/償還的淨額 -24.55%-183.45萬-32.39%-189.58萬-140.34%-743.72萬13.55%-179.48萬-493.48%-273.75萬-1,127.80%-147.29萬-106.88%-143.2萬35,674.00%1,843.62萬-37,650.17%-207.61萬-1,482.18%-46.13萬
普通股發行/回購的淨額 --0--653.18萬--0----------0--0--5--------
租賃融資增減 0.88%-54.26萬-0.51%-48.73萬-34.85%-205.09萬-2.24%-48.23萬-206.56%-51.78萬-21.78%-54.74萬-250.48%-48.48萬-189.47%-152.08萬-180.40%-47.17萬-5.38%-16.89萬
已支付現金股息 -8.80%-314.92萬----23.12%-289.44萬--0-------289.44萬-----555.00%-376.5萬--0----
已付利息(籌資活動產生的現金流) -6.53%-24.84萬-18.97%-26.22萬-28.49%-101.25萬14.83%-32.13萬-36.60%-25.62萬-21.94%-23.31萬-589.79%-22.04萬-1,170.28%-78.8萬-1,306.37%-37.73萬-1,401.67%-18.75萬
其他籌資費用淨額 0.42%-2350.00%-25699.95%-9752.13%-2300.00%-25399.99%-236-5,220.00%-25657.35%-200.08萬98.98%-235---253
融資活動現金淨額 -12.18%-577.49萬281.81%388.62萬-229.29%-1,339.6萬11.17%-259.86萬-329.33%-351.18萬-86.46%-514.81萬-112.67%-213.75萬275.45%1,036.16萬-1,276.33%-292.54萬-305.10%-81.8萬
現金淨流量
期初現金流 -29.81%276.79萬-25.31%366.78萬-37.05%491.04萬-31.01%700.7萬-5.69%592.4萬-69.26%394.33萬-37.05%491.04萬-23.84%780.03萬-36.87%1,015.67萬8.80%628.14萬
現金變動 -130.82%-64.07萬17.52%-85.63萬65.87%-104.43萬41.11%-304.48萬-74.29%95.97萬131.34%207.9萬-120.72%-103.83萬-8.57%-306萬38.13%-517萬-63.44%373.33萬
匯率變動影響 353.34%24.9萬-161.33%-4.36萬-216.49%-19.83萬-286.28%-29.44萬-13.10%12.34萬-211.83%-9.83萬328.59%7.11萬-54.76%17.02萬-213.80%-7.62萬35.58%14.19萬
期末現金 -59.89%237.62萬-29.81%276.79萬-25.31%366.78萬-25.31%366.78萬-31.01%700.7萬-5.69%592.4萬-69.26%394.33萬-37.05%491.04萬-37.05%491.04萬-36.87%1,015.67萬
自由現金流 -25.00%540.17萬-165.47%-71.6萬84.91%1,374.6萬141.08%92.86萬0.33%452.18萬285.80%720.2萬-87.94%109.36萬-37.62%743.38萬-365.28%-226.04萬-56.24%450.67萬
貨幣單位 美元美元美元美元美元美元美元美元美元美元

分析

分析師評級

暫無數據

目標價預測

暫無數據

熱議
新加坡
綜合熱度
股票代碼
最新價
漲跌幅