返回返回投资活动产生的现金流的STAR CM HOLDINGS LIMITED。
年度数据
2019
2020
2021
2022
2023
净利率,TTM
−3.00 B
−2.00 B
−1.00 B
0.00
1.00 B
净利率,TTM
94.78 M
+431.42 M
-
2023
−336.64 M
+386.54 M
+53.45%
2022
−723.18 M
+2.25 B
+75.67%
2021
−2.97 B
−2.96 B
−18.41 K%
2020
−16.06 M
−8.91 M
−124.71%
2019
−7.14 M
−305.27 M
−102.40%
半年度数据
H2 '20
H1 '21
H2 '21
H1 '22
H2 '22
H1 '23
H2 '23
H1 '24
−510.00 M
−340.00 M
−170.00 M
0.00
170.00 M
H1 '24
118.69 M
+142.59 M
-
H2 '23
−23.90 M
+281.32 M
+92.17%
H1 '23
−305.22 M
+189.85 M
+38.35%
H2 '22
−495.07 M
−292.33 M
−144.19%