新加坡市場個股詳情

40T 國際眼科中心

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延時10分鐘行情交易中 12/20 10:29 (北京)
2.30億總市值16.67市盈率TTM

國際眼科中心關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(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
資產
流動資產
現金及現金等價物與短期投資
17.12%1,705.6萬
-1.42%1,587.2萬
-16.75%1,927.4萬
-5.96%1,940.4萬
-5.96%1,940.4萬
-20.23%1,456.3萬
-15.59%1,610萬
-0.97%2,315.1萬
-8.27%2,063.3萬
-8.27%2,063.3萬
-現金及現金等價物
17.12%1,705.6萬
-1.42%1,587.2萬
-16.98%1,921.9萬
-5.96%1,940.4萬
-5.96%1,940.4萬
-20.23%1,456.3萬
-15.59%1,610萬
-0.97%2,315.1萬
-8.27%2,063.3萬
-8.27%2,063.3萬
-短期投資
----
----
--5.5萬
----
----
----
----
----
----
----
-應收賬款淨額
13.89%513.3萬
10.42%513.1萬
-5.71%450.6萬
6.07%426.6萬
6.07%426.6萬
14.62%450.7萬
13.81%464.7萬
67.80%477.9萬
7.40%402.2萬
7.40%402.2萬
-其中:應收賬款
----
----
----
6.07%426.6萬
6.07%426.6萬
----
----
----
--402.2萬
--402.2萬
-其他應收款
-24.74%71.2萬
-22.49%68.6萬
-24.24%67.2萬
-30.25%11.3萬
-30.25%11.3萬
31.02%94.6萬
31.89%88.5萬
19.38%88.7萬
--16.2萬
--16.2萬
存貨
21.15%265.2萬
13.22%242.4萬
6.86%249.4萬
19.26%223.5萬
19.26%223.5萬
14.01%218.9萬
21.79%214.1萬
49.81%233.4萬
47.44%187.4萬
47.44%187.4萬
預付費用
34.83%48萬
-8.79%30.1萬
12.04%36.3萬
10.26%94.6萬
10.26%94.6萬
14.84%35.6萬
17.02%33萬
50.00%32.4萬
216.61%85.8萬
216.61%85.8萬
流動資產合計
15.63%2,609.3萬
1.45%2,447.3萬
-13.32%2,731.2萬
-2.16%2,702.1萬
-2.16%2,702.1萬
-10.45%2,256.6萬
-6.95%2,412.3萬
9.40%3,151萬
-0.80%2,761.7萬
-0.80%2,761.7萬
非流動資產
物業廠房及設備淨額
43.12%3,752.2萬
8.98%2,799萬
1.21%2,680.1萬
-1.29%2,684.1萬
-1.29%2,684.1萬
4.94%2,621.8萬
7.32%2,568.3萬
66.43%2,648.1萬
72.00%2,719.3萬
72.00%2,719.3萬
-物業、廠房及設備
43.12%3,752.2萬
10.72%3,673.5萬
1.21%2,680.1萬
1.62%3,490萬
1.62%3,490萬
4.94%2,621.8萬
1.67%3,317.9萬
66.43%2,648.1萬
117.23%3,434.4萬
117.23%3,434.4萬
-累計折舊
----
-16.66%-874.5萬
----
-12.70%-805.9萬
-12.70%-805.9萬
----
13.87%-749.6萬
----
---715.1萬
---715.1萬
長期預付費用
----
--246.9萬
--244.2萬
----
----
----
----
----
----
----
投資總額
----
--0
--9.3萬
--0
--0
----
--0
----
--0
--0
-長期股權投資
----
--0
----
--0
--0
----
--0
----
--0
--0
商譽及其他無形資產
3.87%5,547.8萬
-0.93%5,284.6萬
-4.13%5,247.2萬
-4.38%5,287萬
-4.38%5,287萬
-4.50%5,341.2萬
-6.16%5,334.2萬
26.62%5,473.3萬
27.15%5,528.9萬
27.15%5,528.9萬
-商譽
4.45%5,501.5萬
-0.41%5,231萬
-3.39%5,196.1萬
-3.64%5,224.2萬
-3.64%5,224.2萬
-3.74%5,267.1萬
-5.36%5,252.4萬
28.85%5,378.7萬
29.50%5,421.5萬
29.50%5,421.5萬
-其他無形資產
-37.52%46.3萬
-34.47%53.6萬
-45.98%51.1萬
-41.53%62.8萬
-41.53%62.8萬
-38.76%74.1萬
-39.23%81.8萬
-36.17%94.6萬
-33.66%107.4萬
-33.66%107.4萬
非流動資產合計
16.98%9,336.7萬
5.62%8,366.4萬
0.83%8,208.5萬
-3.14%8,008.6萬
-3.14%8,008.6萬
-1.52%7,981.7萬
-2.37%7,921.2萬
36.43%8,140.8萬
38.15%8,267.8萬
38.15%8,267.8萬
總資產
16.68%1.19億
4.65%1.08億
-3.12%1.09億
-2.89%1.07億
-2.89%1.07億
-3.64%1.02億
-3.48%1.03億
27.63%1.13億
25.78%1.1億
25.78%1.1億
負債
流動負債
-短期借款及資本租賃負債
31.29%295萬
17.35%257.7萬
2.32%246.9萬
-0.85%245.7萬
-0.85%245.7萬
3.69%224.7萬
-5.79%219.6萬
11.35%241.3萬
2.86%247.8萬
2.86%247.8萬
-其中:短期借款
13.85%89.6萬
12.76%88.4萬
1.83%83.5萬
2.06%84.3萬
2.06%84.3萬
-5.97%78.7萬
-8.62%78.4萬
-2.84%82萬
-2.71%82.6萬
-2.71%82.6萬
-其中:資本租賃負債
40.68%205.4萬
19.90%169.3萬
2.57%163.4萬
-2.30%161.4萬
-2.30%161.4萬
9.77%146萬
-4.14%141.2萬
20.41%159.3萬
5.90%165.2萬
5.90%165.2萬
應付款項
44.36%1,296.1萬
4.91%1,022.2萬
-30.46%846.2萬
-15.39%1,049.5萬
-15.39%1,049.5萬
-23.72%897.8萬
-16.90%974.4萬
89.41%1,216.8萬
53.55%1,240.4萬
53.55%1,240.4萬
-應付帳款
32.55%197.9萬
1.81%197.3萬
-19.78%179.3萬
-7.83%182.5萬
-7.83%182.5萬
-25.65%149.3萬
0.10%193.8萬
33.91%223.5萬
-71.88%198萬
-71.88%198萬
-應交稅費
-1.79%98.8萬
-21.94%145.9萬
-17.17%162.6萬
-18.20%163.2萬
-18.20%163.2萬
-42.28%100.6萬
-6.88%186.9萬
43.91%196.3萬
92.57%199.5萬
92.57%199.5萬
-其他應付款
54.25%999.4萬
14.37%679萬
-36.73%504.3萬
-16.50%703.8萬
-16.50%703.8萬
-19.20%647.9萬
-23.71%593.7萬
135.03%797萬
--842.9萬
--842.9萬
現行撥備
----
----
----
----
----
----
----
-90.00%1,000
0.00%1萬
0.00%1萬
其他流動負債
----
----
155.81%200.3萬
----
----
----
----
--78.3萬
----
----
流動負債合計
37.79%1,744萬
6.73%1,421.9萬
-13.81%1,420萬
-10.11%1,446.9萬
-10.11%1,446.9萬
-20.10%1,265.7萬
-16.10%1,332.3萬
72.45%1,647.6萬
53.34%1,609.6萬
53.34%1,609.6萬
非流動負債
-長期借款及資本租賃
10.84%1,072.7萬
-4.09%940.2萬
-9.49%970.1萬
-10.91%1,010.3萬
-10.91%1,010.3萬
-10.44%967.8萬
-14.15%980.3萬
52.33%1,071.8萬
52.09%1,134萬
52.09%1,134萬
-其中:長期借款
-26.09%81.6萬
-30.91%89.4萬
-27.55%111.5萬
-24.90%132.7萬
-24.90%132.7萬
-44.80%110.4萬
-42.57%129.4萬
-23.89%153.9萬
-21.26%176.7萬
-21.26%176.7萬
-其中:長期資本租賃負債
15.59%991.1萬
-0.01%850.8萬
-6.46%858.6萬
-8.33%877.6萬
-8.33%877.6萬
-2.63%857.4萬
-7.17%850.9萬
83.07%917.9萬
83.67%957.3萬
83.67%957.3萬
長期應付帳款及其他應付款
----
----
----
----
----
-98.75%1.3萬
-99.72%3,000
--103.8萬
--104萬
--104萬
長期撥備
35.05%26.2萬
37.93%24萬
32.58%23.6萬
32.02%23.5萬
32.02%23.5萬
30.20%19.4萬
16.00%17.4萬
17.11%17.8萬
16.34%17.8萬
16.34%17.8萬
非流動負債合計
9.80%1,109萬
-4.50%975.9萬
-17.44%1,007.6萬
-18.43%1,048.8萬
-18.43%1,048.8萬
-17.43%1,010萬
-20.65%1,021.9萬
64.05%1,220.4萬
63.12%1,285.7萬
63.12%1,285.7萬
負債總額
25.37%2,853萬
1.85%2,397.8萬
-15.36%2,427.6萬
-13.80%2,495.7萬
-13.80%2,495.7萬
-18.94%2,275.7萬
-18.14%2,354.2萬
68.78%2,868萬
57.53%2,895.3萬
57.53%2,895.3萬
所有者權益
股本
0.39%7,638.1萬
0.60%7,638.1萬
0.87%7,613.8萬
0.87%7,613.8萬
0.87%7,613.8萬
0.74%7,608.5萬
0.53%7,592.8萬
7.73%7,548.4萬
7.73%7,548.4萬
7.73%7,548.4萬
-普通股
0.39%7,638.1萬
0.60%7,638.1萬
0.87%7,613.8萬
0.87%7,613.8萬
0.87%7,613.8萬
0.74%7,608.5萬
0.53%7,592.8萬
7.73%7,548.4萬
7.73%7,548.4萬
7.73%7,548.4萬
留存收益
50.27%2,169.5萬
27.62%1,915萬
12.12%2,064.3萬
16.09%1,747.6萬
16.09%1,747.6萬
24.07%1,443.7萬
39.39%1,500.5萬
99.34%1,841.1萬
117.17%1,505.4萬
117.17%1,505.4萬
其他股本權益
--14萬
15.52%13.4萬
-12.28%15萬
-9.86%12.8萬
-9.86%12.8萬
----
-27.50%11.6萬
12.50%17.1萬
--14.2萬
--14.2萬
股東權益
14.20%8,925.9萬
5.50%8,265.1萬
0.93%8,356.5萬
1.05%8,070.9萬
1.05%8,070.9萬
1.34%7,815.8萬
1.40%7,834.5萬
16.79%8,279.7萬
16.17%7,987.2萬
16.17%7,987.2萬
非控制性權益
13.83%167.1萬
4.14%150.8萬
7.98%155.6萬
-1.97%144.1萬
-1.97%144.1萬
39.28%146.8萬
39.10%144.8萬
146.32%144.1萬
165.82%147萬
165.82%147萬
總權益
14.20%9,093萬
5.47%8,415.9萬
1.05%8,512.1萬
0.99%8,215萬
0.99%8,215萬
1.85%7,962.6萬
1.90%7,979.3萬
17.85%8,423.8萬
17.36%8,134.2萬
17.36%8,134.2萬
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
(Q3)2024/09/30 (Q2)2024/06/30 (Q1)2024/03/31 (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
資產
流動資產
現金及現金等價物與短期投資 17.12%1,705.6萬 -1.42%1,587.2萬 -16.75%1,927.4萬 -5.96%1,940.4萬 -5.96%1,940.4萬 -20.23%1,456.3萬 -15.59%1,610萬 -0.97%2,315.1萬 -8.27%2,063.3萬 -8.27%2,063.3萬
-現金及現金等價物 17.12%1,705.6萬 -1.42%1,587.2萬 -16.98%1,921.9萬 -5.96%1,940.4萬 -5.96%1,940.4萬 -20.23%1,456.3萬 -15.59%1,610萬 -0.97%2,315.1萬 -8.27%2,063.3萬 -8.27%2,063.3萬
-短期投資 ---- ---- --5.5萬 ---- ---- ---- ---- ---- ---- ----
-應收賬款淨額 13.89%513.3萬 10.42%513.1萬 -5.71%450.6萬 6.07%426.6萬 6.07%426.6萬 14.62%450.7萬 13.81%464.7萬 67.80%477.9萬 7.40%402.2萬 7.40%402.2萬
-其中:應收賬款 ---- ---- ---- 6.07%426.6萬 6.07%426.6萬 ---- ---- ---- --402.2萬 --402.2萬
-其他應收款 -24.74%71.2萬 -22.49%68.6萬 -24.24%67.2萬 -30.25%11.3萬 -30.25%11.3萬 31.02%94.6萬 31.89%88.5萬 19.38%88.7萬 --16.2萬 --16.2萬
存貨 21.15%265.2萬 13.22%242.4萬 6.86%249.4萬 19.26%223.5萬 19.26%223.5萬 14.01%218.9萬 21.79%214.1萬 49.81%233.4萬 47.44%187.4萬 47.44%187.4萬
預付費用 34.83%48萬 -8.79%30.1萬 12.04%36.3萬 10.26%94.6萬 10.26%94.6萬 14.84%35.6萬 17.02%33萬 50.00%32.4萬 216.61%85.8萬 216.61%85.8萬
流動資產合計 15.63%2,609.3萬 1.45%2,447.3萬 -13.32%2,731.2萬 -2.16%2,702.1萬 -2.16%2,702.1萬 -10.45%2,256.6萬 -6.95%2,412.3萬 9.40%3,151萬 -0.80%2,761.7萬 -0.80%2,761.7萬
非流動資產
物業廠房及設備淨額 43.12%3,752.2萬 8.98%2,799萬 1.21%2,680.1萬 -1.29%2,684.1萬 -1.29%2,684.1萬 4.94%2,621.8萬 7.32%2,568.3萬 66.43%2,648.1萬 72.00%2,719.3萬 72.00%2,719.3萬
-物業、廠房及設備 43.12%3,752.2萬 10.72%3,673.5萬 1.21%2,680.1萬 1.62%3,490萬 1.62%3,490萬 4.94%2,621.8萬 1.67%3,317.9萬 66.43%2,648.1萬 117.23%3,434.4萬 117.23%3,434.4萬
-累計折舊 ---- -16.66%-874.5萬 ---- -12.70%-805.9萬 -12.70%-805.9萬 ---- 13.87%-749.6萬 ---- ---715.1萬 ---715.1萬
長期預付費用 ---- --246.9萬 --244.2萬 ---- ---- ---- ---- ---- ---- ----
投資總額 ---- --0 --9.3萬 --0 --0 ---- --0 ---- --0 --0
-長期股權投資 ---- --0 ---- --0 --0 ---- --0 ---- --0 --0
商譽及其他無形資產 3.87%5,547.8萬 -0.93%5,284.6萬 -4.13%5,247.2萬 -4.38%5,287萬 -4.38%5,287萬 -4.50%5,341.2萬 -6.16%5,334.2萬 26.62%5,473.3萬 27.15%5,528.9萬 27.15%5,528.9萬
-商譽 4.45%5,501.5萬 -0.41%5,231萬 -3.39%5,196.1萬 -3.64%5,224.2萬 -3.64%5,224.2萬 -3.74%5,267.1萬 -5.36%5,252.4萬 28.85%5,378.7萬 29.50%5,421.5萬 29.50%5,421.5萬
-其他無形資產 -37.52%46.3萬 -34.47%53.6萬 -45.98%51.1萬 -41.53%62.8萬 -41.53%62.8萬 -38.76%74.1萬 -39.23%81.8萬 -36.17%94.6萬 -33.66%107.4萬 -33.66%107.4萬
非流動資產合計 16.98%9,336.7萬 5.62%8,366.4萬 0.83%8,208.5萬 -3.14%8,008.6萬 -3.14%8,008.6萬 -1.52%7,981.7萬 -2.37%7,921.2萬 36.43%8,140.8萬 38.15%8,267.8萬 38.15%8,267.8萬
總資產 16.68%1.19億 4.65%1.08億 -3.12%1.09億 -2.89%1.07億 -2.89%1.07億 -3.64%1.02億 -3.48%1.03億 27.63%1.13億 25.78%1.1億 25.78%1.1億
負債
流動負債
-短期借款及資本租賃負債 31.29%295萬 17.35%257.7萬 2.32%246.9萬 -0.85%245.7萬 -0.85%245.7萬 3.69%224.7萬 -5.79%219.6萬 11.35%241.3萬 2.86%247.8萬 2.86%247.8萬
-其中:短期借款 13.85%89.6萬 12.76%88.4萬 1.83%83.5萬 2.06%84.3萬 2.06%84.3萬 -5.97%78.7萬 -8.62%78.4萬 -2.84%82萬 -2.71%82.6萬 -2.71%82.6萬
-其中:資本租賃負債 40.68%205.4萬 19.90%169.3萬 2.57%163.4萬 -2.30%161.4萬 -2.30%161.4萬 9.77%146萬 -4.14%141.2萬 20.41%159.3萬 5.90%165.2萬 5.90%165.2萬
應付款項 44.36%1,296.1萬 4.91%1,022.2萬 -30.46%846.2萬 -15.39%1,049.5萬 -15.39%1,049.5萬 -23.72%897.8萬 -16.90%974.4萬 89.41%1,216.8萬 53.55%1,240.4萬 53.55%1,240.4萬
-應付帳款 32.55%197.9萬 1.81%197.3萬 -19.78%179.3萬 -7.83%182.5萬 -7.83%182.5萬 -25.65%149.3萬 0.10%193.8萬 33.91%223.5萬 -71.88%198萬 -71.88%198萬
-應交稅費 -1.79%98.8萬 -21.94%145.9萬 -17.17%162.6萬 -18.20%163.2萬 -18.20%163.2萬 -42.28%100.6萬 -6.88%186.9萬 43.91%196.3萬 92.57%199.5萬 92.57%199.5萬
-其他應付款 54.25%999.4萬 14.37%679萬 -36.73%504.3萬 -16.50%703.8萬 -16.50%703.8萬 -19.20%647.9萬 -23.71%593.7萬 135.03%797萬 --842.9萬 --842.9萬
現行撥備 ---- ---- ---- ---- ---- ---- ---- -90.00%1,000 0.00%1萬 0.00%1萬
其他流動負債 ---- ---- 155.81%200.3萬 ---- ---- ---- ---- --78.3萬 ---- ----
流動負債合計 37.79%1,744萬 6.73%1,421.9萬 -13.81%1,420萬 -10.11%1,446.9萬 -10.11%1,446.9萬 -20.10%1,265.7萬 -16.10%1,332.3萬 72.45%1,647.6萬 53.34%1,609.6萬 53.34%1,609.6萬
非流動負債
-長期借款及資本租賃 10.84%1,072.7萬 -4.09%940.2萬 -9.49%970.1萬 -10.91%1,010.3萬 -10.91%1,010.3萬 -10.44%967.8萬 -14.15%980.3萬 52.33%1,071.8萬 52.09%1,134萬 52.09%1,134萬
-其中:長期借款 -26.09%81.6萬 -30.91%89.4萬 -27.55%111.5萬 -24.90%132.7萬 -24.90%132.7萬 -44.80%110.4萬 -42.57%129.4萬 -23.89%153.9萬 -21.26%176.7萬 -21.26%176.7萬
-其中:長期資本租賃負債 15.59%991.1萬 -0.01%850.8萬 -6.46%858.6萬 -8.33%877.6萬 -8.33%877.6萬 -2.63%857.4萬 -7.17%850.9萬 83.07%917.9萬 83.67%957.3萬 83.67%957.3萬
長期應付帳款及其他應付款 ---- ---- ---- ---- ---- -98.75%1.3萬 -99.72%3,000 --103.8萬 --104萬 --104萬
長期撥備 35.05%26.2萬 37.93%24萬 32.58%23.6萬 32.02%23.5萬 32.02%23.5萬 30.20%19.4萬 16.00%17.4萬 17.11%17.8萬 16.34%17.8萬 16.34%17.8萬
非流動負債合計 9.80%1,109萬 -4.50%975.9萬 -17.44%1,007.6萬 -18.43%1,048.8萬 -18.43%1,048.8萬 -17.43%1,010萬 -20.65%1,021.9萬 64.05%1,220.4萬 63.12%1,285.7萬 63.12%1,285.7萬
負債總額 25.37%2,853萬 1.85%2,397.8萬 -15.36%2,427.6萬 -13.80%2,495.7萬 -13.80%2,495.7萬 -18.94%2,275.7萬 -18.14%2,354.2萬 68.78%2,868萬 57.53%2,895.3萬 57.53%2,895.3萬
所有者權益
股本 0.39%7,638.1萬 0.60%7,638.1萬 0.87%7,613.8萬 0.87%7,613.8萬 0.87%7,613.8萬 0.74%7,608.5萬 0.53%7,592.8萬 7.73%7,548.4萬 7.73%7,548.4萬 7.73%7,548.4萬
-普通股 0.39%7,638.1萬 0.60%7,638.1萬 0.87%7,613.8萬 0.87%7,613.8萬 0.87%7,613.8萬 0.74%7,608.5萬 0.53%7,592.8萬 7.73%7,548.4萬 7.73%7,548.4萬 7.73%7,548.4萬
留存收益 50.27%2,169.5萬 27.62%1,915萬 12.12%2,064.3萬 16.09%1,747.6萬 16.09%1,747.6萬 24.07%1,443.7萬 39.39%1,500.5萬 99.34%1,841.1萬 117.17%1,505.4萬 117.17%1,505.4萬
其他股本權益 --14萬 15.52%13.4萬 -12.28%15萬 -9.86%12.8萬 -9.86%12.8萬 ---- -27.50%11.6萬 12.50%17.1萬 --14.2萬 --14.2萬
股東權益 14.20%8,925.9萬 5.50%8,265.1萬 0.93%8,356.5萬 1.05%8,070.9萬 1.05%8,070.9萬 1.34%7,815.8萬 1.40%7,834.5萬 16.79%8,279.7萬 16.17%7,987.2萬 16.17%7,987.2萬
非控制性權益 13.83%167.1萬 4.14%150.8萬 7.98%155.6萬 -1.97%144.1萬 -1.97%144.1萬 39.28%146.8萬 39.10%144.8萬 146.32%144.1萬 165.82%147萬 165.82%147萬
總權益 14.20%9,093萬 5.47%8,415.9萬 1.05%8,512.1萬 0.99%8,215萬 0.99%8,215萬 1.85%7,962.6萬 1.90%7,979.3萬 17.85%8,423.8萬 17.36%8,134.2萬 17.36%8,134.2萬
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