美股市場個股詳情

TAWNF THAI AIRWAY INTL PUBLIC CO

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  • 0.008600
  • 0.0000000.00%
延時15分鐘行情收盤價 04/26 16:00 (美東)
1877.18萬總市值0.02市盈率TTM

THAI AIRWAY INTL PUBLIC CO關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
50.84%439.05億
-42.62%74.6億
25.33%118.27億
65.06%115.88億
3,828.77%130.31億
395.59%291.07億
774.28%130億
384.39%94.36億
417.71%70.2億
85.39%-3.49億
持續經營淨收入
11,277.31%281.23億
7.25%117.82億
132.35%15.46億
170.72%22.73億
486.11%125.23億
-100.46%-2.52億
174.73%109.85億
-111.95%-47.8億
-113.78%-32.13億
73.43%-32.43億
持續經營損益
-147.65%-13.99億
-0.40%-41.21億
-43.27%18.3億
-59.34%21.23億
12.49%-12.31億
-6.38%29.35億
-138.26%-41.04億
-38.24%32.26億
257.22%52.2億
-147.58%-14.06億
折舊和攤銷
15.26%113.89億
21.40%31.29億
26.58%29.57億
2.71%27.65億
11.55%25.38億
-21.23%98.81億
48.55%25.78億
-13.82%23.36億
-30.58%26.92億
-46.09%22.75億
遞延稅費
7.82%-13.22億
65.31%-6.83億
-52.68%-2.81億
-138.62%-3.07億
31.12%-5,106.19萬
48.41%-14.34億
39.52%-19.7億
-624.13%-1.84億
186.34%7.94億
-144.78%-7,412.71萬
其他非現金項目
-43.49%100.42億
-78.99%34.1億
54.36%47.54億
146.53%11.23億
-13.95%7.55億
133.05%177.71億
324.21%162.28億
106.10%30.8億
77.60%-24.14億
-76.22%8.78億
營運資金變化
-182.55%-50.98億
-109.04%-65.84億
-81.91%8.85億
-34.93%27.78億
-1,418.63%-21.77億
276.80%61.76億
41.15%-31.49億
452.61%48.91億
96.85%42.69億
113.81%1.65億
-應收款項(增)減
55.91%-35.11億
-159.43%-20.86億
-330.80%-5.3億
107.57%5.75億
64.22%-14.7億
-230.74%-79.63億
1,465.31%35.1億
144.08%2.3億
-563.92%-75.96億
-324.84%-41.07億
-存貨(增)減
-53.26%-4.94億
142.39%1.56億
-194.08%-4.29億
-86.78%-2.13億
97.38%-776.3萬
-260.04%-3.22億
-1,641.37%-3.68億
695.42%4.56億
-161.54%-1.14億
-672.17%-2.96億
-應付款項及應計費用(減)增
113.07%5.48億
74.29%-17.78億
93.87%-1.71億
-26.61%25.62億
-103.25%-6,571.57萬
-34.48%-41.89億
7.36%-69.14億
-237.84%-27.88億
60.76%34.91億
1,213.74%20.22億
-其他流動資產變化
-283.81%-29.63億
-424.90%-12.03億
-224.59%-3.81億
-207.11%-12.59億
49.76%-1.2億
42.33%16.12億
2,540.41%3.7億
366.94%3.06億
-24.18%11.76億
16.91%-2.4億
-其他流動負債變化
140.19%2.92億
-129.93%-7,241.62萬
98.19%-702.35萬
211.47%4.62億
45.16%-9,094.75萬
-235.65%-7.26億
-42.00%2.42億
-774.93%-3.88億
-392.11%-4.15億
-915.50%-1.66億
-其他營運資本變化
-94.20%10.31億
-16,139.95%-16.01億
-66.04%24.03億
-91.57%6.52億
-114.32%-4.23億
3,836.30%177.65億
-99.34%997.91萬
1,958.06%70.76億
1,621.93%77.27億
1,876.27%29.52億
非持續經營活動現金淨額
經營活動現金淨額
50.84%439.05億
-42.62%74.6億
25.33%118.27億
65.06%115.88億
3,828.77%130.31億
395.59%291.07億
774.28%130億
384.39%94.36億
417.71%70.2億
85.39%-3.49億
投資活動現金流量
持續投資活動現金淨額
-756.34%-157.59億
-7,433.04%-38.06億
-1,792.95%-74.83億
-364.86%-25.27億
-284.08%-19.43億
-67.72%24.01億
-102.42%-5,052.91萬
-79.38%4.42億
247.31%9.54億
-64.04%10.56億
固定資產交易的淨現金流
-2,329.18%-50.26億
-392.08%-4.07億
-2,540.06%-21.7億
936.43%2.56億
-23,489.84%-27.05億
-77.42%-2.07億
-206.13%-8,261.89萬
1.11%-8,219.51萬
-608.08%-3,061.36萬
-426.41%-1,146.85萬
無形資產交易淨現金流
-431.69%-1.47億
-765.71%-1.38億
77.12%-137.83萬
-363.71%-793.09萬
--0
-45.94%-2,771.88萬
-5.41%-1,594.85萬
-266.08%-602.36萬
-10.74%-171.03萬
-499.73%-403.64萬
投資產品交易的淨現金流
-22,051.42%-141.87億
-2,308.97%-43.98億
-64,464.27%-64.36億
-1,529.10%-33.03億
-924.01%-5,000萬
-98.26%6,462.96萬
-129.43%-1.83億
-93.24%1,000萬
-92.14%2.31億
--606.79萬
其他投資活動的淨現金流
-3.74%24.21億
252.93%6.37億
54.52%8.01億
-64.33%2.68億
-32.90%7.14億
-34.55%25.15億
-87.97%1.81億
-75.07%5.19億
128.12%7.51億
-63.68%10.65億
非持續投資活動現金淨額
投資活動現金淨額
-756.34%-157.59億
-7,433.04%-38.06億
-1,792.95%-74.83億
-364.86%-25.27億
-284.08%-19.43億
-67.72%24.01億
-102.42%-5,052.91萬
-79.38%4.42億
247.31%9.54億
-64.04%10.56億
融資活動現金流量
持續融資活動現金淨額
-425.59%-94.54億
-202.49%-27.84億
-832.34%-21.81億
-339.33%-20.91億
-1,324.52%-23.97億
-137.43%-17.99億
-1,453.45%-9.2億
-56.25%-2.34億
29.26%-4.76億
-5,477.49%-1.68億
債務發行/償還的淨現金流
-435.30%-94.4億
-203.77%-27.84億
-832.37%-21.81億
-367.13%-20.77億
-1,324.52%-23.97億
-256.62%-17.64億
-1,447.70%-9.17億
-56.24%-2.34億
-8.53%-4.45億
-5,493.36%-1.68億
現金股利支付
--0
--0
----
----
----
-79.64%-1.54萬
---7,692
----
----
----
其他融資活動的淨現金流額
61.47%-1,353.06萬
99.80%-7,692
---7,692
----
----
---3,511.52萬
---390萬
--0
----
----
非持續融資活動現金淨額
融資活動現金淨額
-425.59%-94.54億
-202.49%-27.84億
-832.34%-21.81億
-339.33%-20.91億
-1,324.52%-23.97億
-137.43%-17.99億
-1,453.45%-9.2億
-56.25%-2.34億
29.26%-4.76億
-5,477.49%-1.68億
現金淨流量
期初現金流
526.33%345.4億
129.94%535.94億
279.65%511.53億
613.22%429.15億
526.33%345.4億
-36.42%55.15億
328.63%233.08億
100.20%134.74億
-35.37%60.17億
-36.42%55.15億
當期現金流變化
-37.08%186.92億
-92.78%8.69億
-77.58%21.62億
-7.04%69.7億
1,515.53%86.91億
1,038.09%297.1億
5,277.35%120.29億
828.42%96.44億
387.53%74.98億
-0.56%5.38億
利率變動影響
57.64%-2.82億
-91.98%-15.24億
41.46%2.89億
3,123.90%12.62億
-784.29%-3.1億
-10,221.16%-6.66億
-435.25%-7.94億
545.19%2.05億
-248.46%-4,174.77萬
-136.91%-3,507.31萬
期末現金流
53.27%529.39億
53.27%529.39億
129.94%535.94億
279.65%511.53億
613.22%429.15億
526.33%345.4億
526.33%345.4億
328.63%233.08億
100.20%134.74億
-35.37%60.17億
自由現金流
34.15%387.32億
-46.40%69.15億
3.28%96.55億
69.38%118.36億
2,929.12%103.26億
389.23%288.73億
754.86%129.02億
374.72%93.48億
415.41%69.88億
84.76%-3.65億
貨幣單位
THB
THB
THB
THB
THB
THB
THB
THB
THB
THB
(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 50.84%439.05億-42.62%74.6億25.33%118.27億65.06%115.88億3,828.77%130.31億395.59%291.07億774.28%130億384.39%94.36億417.71%70.2億85.39%-3.49億
持續經營淨收入 11,277.31%281.23億7.25%117.82億132.35%15.46億170.72%22.73億486.11%125.23億-100.46%-2.52億174.73%109.85億-111.95%-47.8億-113.78%-32.13億73.43%-32.43億
持續經營損益 -147.65%-13.99億-0.40%-41.21億-43.27%18.3億-59.34%21.23億12.49%-12.31億-6.38%29.35億-138.26%-41.04億-38.24%32.26億257.22%52.2億-147.58%-14.06億
折舊和攤銷 15.26%113.89億21.40%31.29億26.58%29.57億2.71%27.65億11.55%25.38億-21.23%98.81億48.55%25.78億-13.82%23.36億-30.58%26.92億-46.09%22.75億
遞延稅費 7.82%-13.22億65.31%-6.83億-52.68%-2.81億-138.62%-3.07億31.12%-5,106.19萬48.41%-14.34億39.52%-19.7億-624.13%-1.84億186.34%7.94億-144.78%-7,412.71萬
其他非現金項目 -43.49%100.42億-78.99%34.1億54.36%47.54億146.53%11.23億-13.95%7.55億133.05%177.71億324.21%162.28億106.10%30.8億77.60%-24.14億-76.22%8.78億
營運資金變化 -182.55%-50.98億-109.04%-65.84億-81.91%8.85億-34.93%27.78億-1,418.63%-21.77億276.80%61.76億41.15%-31.49億452.61%48.91億96.85%42.69億113.81%1.65億
-應收款項(增)減 55.91%-35.11億-159.43%-20.86億-330.80%-5.3億107.57%5.75億64.22%-14.7億-230.74%-79.63億1,465.31%35.1億144.08%2.3億-563.92%-75.96億-324.84%-41.07億
-存貨(增)減 -53.26%-4.94億142.39%1.56億-194.08%-4.29億-86.78%-2.13億97.38%-776.3萬-260.04%-3.22億-1,641.37%-3.68億695.42%4.56億-161.54%-1.14億-672.17%-2.96億
-應付款項及應計費用(減)增 113.07%5.48億74.29%-17.78億93.87%-1.71億-26.61%25.62億-103.25%-6,571.57萬-34.48%-41.89億7.36%-69.14億-237.84%-27.88億60.76%34.91億1,213.74%20.22億
-其他流動資產變化 -283.81%-29.63億-424.90%-12.03億-224.59%-3.81億-207.11%-12.59億49.76%-1.2億42.33%16.12億2,540.41%3.7億366.94%3.06億-24.18%11.76億16.91%-2.4億
-其他流動負債變化 140.19%2.92億-129.93%-7,241.62萬98.19%-702.35萬211.47%4.62億45.16%-9,094.75萬-235.65%-7.26億-42.00%2.42億-774.93%-3.88億-392.11%-4.15億-915.50%-1.66億
-其他營運資本變化 -94.20%10.31億-16,139.95%-16.01億-66.04%24.03億-91.57%6.52億-114.32%-4.23億3,836.30%177.65億-99.34%997.91萬1,958.06%70.76億1,621.93%77.27億1,876.27%29.52億
非持續經營活動現金淨額
經營活動現金淨額 50.84%439.05億-42.62%74.6億25.33%118.27億65.06%115.88億3,828.77%130.31億395.59%291.07億774.28%130億384.39%94.36億417.71%70.2億85.39%-3.49億
投資活動現金流量
持續投資活動現金淨額 -756.34%-157.59億-7,433.04%-38.06億-1,792.95%-74.83億-364.86%-25.27億-284.08%-19.43億-67.72%24.01億-102.42%-5,052.91萬-79.38%4.42億247.31%9.54億-64.04%10.56億
固定資產交易的淨現金流 -2,329.18%-50.26億-392.08%-4.07億-2,540.06%-21.7億936.43%2.56億-23,489.84%-27.05億-77.42%-2.07億-206.13%-8,261.89萬1.11%-8,219.51萬-608.08%-3,061.36萬-426.41%-1,146.85萬
無形資產交易淨現金流 -431.69%-1.47億-765.71%-1.38億77.12%-137.83萬-363.71%-793.09萬--0-45.94%-2,771.88萬-5.41%-1,594.85萬-266.08%-602.36萬-10.74%-171.03萬-499.73%-403.64萬
投資產品交易的淨現金流 -22,051.42%-141.87億-2,308.97%-43.98億-64,464.27%-64.36億-1,529.10%-33.03億-924.01%-5,000萬-98.26%6,462.96萬-129.43%-1.83億-93.24%1,000萬-92.14%2.31億--606.79萬
其他投資活動的淨現金流 -3.74%24.21億252.93%6.37億54.52%8.01億-64.33%2.68億-32.90%7.14億-34.55%25.15億-87.97%1.81億-75.07%5.19億128.12%7.51億-63.68%10.65億
非持續投資活動現金淨額
投資活動現金淨額 -756.34%-157.59億-7,433.04%-38.06億-1,792.95%-74.83億-364.86%-25.27億-284.08%-19.43億-67.72%24.01億-102.42%-5,052.91萬-79.38%4.42億247.31%9.54億-64.04%10.56億
融資活動現金流量
持續融資活動現金淨額 -425.59%-94.54億-202.49%-27.84億-832.34%-21.81億-339.33%-20.91億-1,324.52%-23.97億-137.43%-17.99億-1,453.45%-9.2億-56.25%-2.34億29.26%-4.76億-5,477.49%-1.68億
債務發行/償還的淨現金流 -435.30%-94.4億-203.77%-27.84億-832.37%-21.81億-367.13%-20.77億-1,324.52%-23.97億-256.62%-17.64億-1,447.70%-9.17億-56.24%-2.34億-8.53%-4.45億-5,493.36%-1.68億
現金股利支付 --0--0-------------79.64%-1.54萬---7,692------------
其他融資活動的淨現金流額 61.47%-1,353.06萬99.80%-7,692---7,692-----------3,511.52萬---390萬--0--------
非持續融資活動現金淨額
融資活動現金淨額 -425.59%-94.54億-202.49%-27.84億-832.34%-21.81億-339.33%-20.91億-1,324.52%-23.97億-137.43%-17.99億-1,453.45%-9.2億-56.25%-2.34億29.26%-4.76億-5,477.49%-1.68億
現金淨流量
期初現金流 526.33%345.4億129.94%535.94億279.65%511.53億613.22%429.15億526.33%345.4億-36.42%55.15億328.63%233.08億100.20%134.74億-35.37%60.17億-36.42%55.15億
當期現金流變化 -37.08%186.92億-92.78%8.69億-77.58%21.62億-7.04%69.7億1,515.53%86.91億1,038.09%297.1億5,277.35%120.29億828.42%96.44億387.53%74.98億-0.56%5.38億
利率變動影響 57.64%-2.82億-91.98%-15.24億41.46%2.89億3,123.90%12.62億-784.29%-3.1億-10,221.16%-6.66億-435.25%-7.94億545.19%2.05億-248.46%-4,174.77萬-136.91%-3,507.31萬
期末現金流 53.27%529.39億53.27%529.39億129.94%535.94億279.65%511.53億613.22%429.15億526.33%345.4億526.33%345.4億328.63%233.08億100.20%134.74億-35.37%60.17億
自由現金流 34.15%387.32億-46.40%69.15億3.28%96.55億69.38%118.36億2,929.12%103.26億389.23%288.73億754.86%129.02億374.72%93.48億415.41%69.88億84.76%-3.65億
貨幣單位 THBTHBTHBTHBTHBTHBTHBTHBTHBTHB

分析

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目標價預測

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