返回返回经营活动产生的现金流的S.A.I LEISURE GROUP CO LTD。
年度数据
2016
2017
2018
2019
2020
2021
2022
2023
净利率,TTM
−160.00 M
−80.00 M
0.00
80.00 M
160.00 M
净利率,TTM
−13.18 M
+45.72 M
+77.62%
2023
−58.90 M
+15.66 M
+21.01%
2022
−74.57 M
−84.93 M
−819.70%
2021
10.36 M
+37.13 M
-
2020
−26.77 M
−172.16 M
−118.41%
2019
145.39 M
+116.53 M
+403.81%
半年度数据
H2 '17
H1 '18
H2 '18
H1 '19
H2 '19
H1 '20
H2 '20
H1 '21
H2 '21
H1 '22
H2 '22
H1 '23
H2 '23
H1 '24
−90.00 M
−60.00 M
−30.00 M
0.00
30.00 M
H1 '24
−14.45 M
−15.72 M
−1.24 K%
H2 '23
1.27 M
+61.37 M
-
H1 '23
−60.10 M
+19.71 M
+24.70%
H2 '22
−79.81 M
−85.01 M
−1.64 K%