马来西亚市场个股详情

1058 MANULFE

添加自选
  • 2.260
  • -0.040-1.74%
延时15分钟行情未开盘 03/25 16:51 (北京)
5.08亿总市值4.60市盈率TTM

MANULFE关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/12/31
(Q4)2024/12/31
(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
资产
金融资产投资
-61.01%17.27亿
-61.01%17.27亿
18.60%17.6亿
7.31%17.18亿
11.60%17.35亿
7.00%44.29亿
7.00%44.29亿
-49.75%14.84亿
-46.33%16.01亿
-45.65%15.55亿
-可供出售证券
-88.86%3.59亿
-88.86%3.59亿
52.36%4.47亿
6.44%4.56亿
46.21%4.81亿
10.45%32.22亿
10.45%32.22亿
-51.93%2.94亿
-43.10%4.28亿
-38.14%3.29亿
-以公允价值计量且其变动计入当期损益的金融资产总额
13.26%13.66亿
13.26%13.66亿
9.91%13.05亿
7.57%12.62亿
2.45%12.54亿
-1.17%12.06亿
-1.17%12.06亿
-49.29%11.88亿
-47.42%11.73亿
-47.44%12.24亿
-金融资产
75.46%202.3万
75.46%202.3万
182.19%697.3万
--64.1万
----
-38.18%115.3万
-38.18%115.3万
--247.1万
----
--170.8万
现金及现金等价物与短期投资
740.92%39.76亿
740.92%39.76亿
8.21%38.97亿
9.14%38.55亿
7.41%37.22亿
17.87%4.73亿
17.87%4.73亿
10.12%36.01亿
8.45%35.32亿
-0.13%34.66亿
-现金及现金等价物
13.46%2.36亿
13.46%2.36亿
-17.42%2.38亿
20.14%2.49亿
11.94%2.12亿
-15.11%2.08亿
-15.11%2.08亿
2.59%2.89亿
-23.74%2.07亿
-29.57%1.89亿
-短期投资
1,311.65%37.4亿
1,311.65%37.4亿
10.44%36.58亿
8.45%36.06亿
7.15%35.11亿
69.54%2.65亿
69.54%2.65亿
10.83%33.12亿
11.37%33.25亿
2.34%32.76亿
净贷款
----
----
----
----
----
0.42%2,778.4万
0.42%2,778.4万
----
----
----
再保险资产
598.02%211.5万
598.02%211.5万
--168.6万
1,050.00%112.7万
53.32%99.2万
-3.81%30.3万
-3.81%30.3万
--0
-99.11%9.8万
-95.91%64.7万
保险合同资产
16.00%16.31亿
16.00%16.31亿
14.74%15.88亿
23.10%16.23亿
16.19%15.51亿
6.18%14.06亿
6.18%14.06亿
--13.84亿
--13.18亿
--13.35亿
应收款项
-27.20%5,512.3万
-27.20%5,512.3万
-25.07%5,743.1万
-22.88%5,659.3万
-1.06%6,602万
19.58%7,571.4万
19.58%7,571.4万
152.50%7,664.3万
135.38%7,338.2万
117.83%6,673万
-其他应收款
-0.60%4,781.9万
-0.60%4,781.9万
7.09%4,869.8万
8.46%4,558.2万
5.45%4,638万
32.52%4,811万
32.52%4,811万
--4,547.2万
--4,202.8万
--4,398.4万
-应收款调整备抵金
----
----
----
----
----
0.00%-107.5万
0.00%-107.5万
----
----
----
-应收税款
-74.53%730.4万
-74.53%730.4万
-71.98%873.3万
-64.88%1,101.1万
-13.66%1,964万
2.11%2,867.9万
2.11%2,867.9万
35.96%3,117.1万
36.73%3,135.4万
-0.38%2,274.6万
承继再保险合同项下存款
----
----
----
----
----
-5.62%3.24亿
-5.62%3.24亿
----
----
----
物业、厂房及设备净额
-7.51%3,667万
-7.51%3,667万
4.19%4,002.4万
0.77%3,961.3万
-0.46%3,891万
0.21%3,964.8万
0.21%3,964.8万
-9.12%3,841.5万
-4.14%3,931.2万
-6.13%3,909.1万
-物业、厂房及设备
-50.44%3,667万
-50.44%3,667万
4.19%4,002.4万
0.77%3,961.3万
-0.46%3,891万
1.86%7,399.2万
1.86%7,399.2万
-9.12%3,841.5万
-4.14%3,931.2万
-6.13%3,909.1万
-累计折旧
----
----
----
----
----
-3.82%-3,434.4万
-3.82%-3,434.4万
----
----
----
投资物业
0.61%8,280万
0.61%8,280万
4.31%8,230万
4.31%8,230万
4.31%8,230万
4.31%8,230万
4.31%8,230万
7.23%7,890.2万
7.23%7,890.2万
7.23%7,890.2万
商誉及其他无形资产
-2.26%2.26亿
-2.26%2.26亿
-1.82%2.29亿
79.53%2.3亿
80.25%2.3亿
83.02%2.31亿
83.02%2.31亿
84.73%2.33亿
1.34%1.28亿
0.86%1.28亿
-其他无形资产
-2.26%2.26亿
-2.26%2.26亿
-1.82%2.29亿
79.53%2.3亿
80.25%2.3亿
83.02%2.31亿
83.02%2.31亿
84.73%2.33亿
1.34%1.28亿
0.86%1.28亿
其他资产
-6.49%1,390.7万
-6.49%1,390.7万
-9.28%1,584.8万
-3.45%1,378.1万
12.67%1,488.5万
27.59%1,487.3万
27.59%1,487.3万
--1,747万
--1,427.3万
--1,321.1万
总资产
9.11%77.51亿
9.11%77.51亿
10.95%76.7亿
12.28%76.19亿
11.38%74.42亿
8.36%71.04亿
8.36%71.04亿
5.94%69.13亿
3.79%67.85亿
0.94%66.82亿
负债
流动金融负债
----
----
----
----
----
-7.21%150.5万
-7.21%150.5万
----
----
----
-短期借款及资本租赁负债
----
----
----
----
----
-7.21%150.5万
-7.21%150.5万
----
----
----
-其中:短期资本租赁负债
----
----
----
----
----
-7.21%150.5万
-7.21%150.5万
----
----
----
保险合同负债
3.52%41.45亿
3.52%41.45亿
8.49%41.08亿
9.59%40.86亿
9.36%39.96亿
9.12%40.04亿
9.12%40.04亿
18.92%37.87亿
17.54%37.29亿
12.86%36.54亿
应付再保险余额
-43.59%1,980.6万
-43.59%1,980.6万
-30.55%2,215.1万
-5.33%3,187.7万
-33.54%3,031.3万
-36.14%3,510.8万
-36.14%3,510.8万
--3,189.7万
4,377.79%3,367.3万
4,332.85%4,561.4万
应付款项
-99.43%54.9万
-99.43%54.9万
-27.42%4.5万
--23.3万
--20.8万
-5.75%9,655万
-5.75%9,655万
-99.99%6.2万
----
----
-应交税费
417.92%54.9万
417.92%54.9万
-27.42%4.5万
--23.3万
--20.8万
--10.6万
--10.6万
-99.13%6.2万
----
----
-其他应付款
----
----
----
----
----
-5.85%9,644.4万
-5.85%9,644.4万
----
----
----
非流动金融负债
35.81%164.6万
35.81%164.6万
-60.17%201.6万
-59.52%220.6万
2.96%336.9万
-35.67%121.2万
-35.67%121.2万
14.24%506.2万
229.70%545万
91.46%327.2万
-长期借款及资本租赁负债
35.48%164.2万
35.48%164.2万
-22.19%201.6万
-29.23%220.6万
-20.26%260.9万
-35.67%121.2万
-35.67%121.2万
40.89%259.1万
101.62%311.7万
91.46%327.2万
-其中:长期资本租赁负债
35.48%164.2万
35.48%164.2万
-22.19%201.6万
-29.23%220.6万
-20.26%260.9万
-35.67%121.2万
-35.67%121.2万
40.89%259.1万
101.62%311.7万
91.46%327.2万
长期应计及递延收入
----
----
----
----
----
45.44%1.9亿
45.44%1.9亿
----
----
----
-长期应计费用
----
----
----
----
----
45.44%1.9亿
45.44%1.9亿
----
----
----
非流动递延所得税负债
19.95%1.44亿
19.95%1.44亿
22.59%1.4亿
24.89%1.26亿
30.18%1.25亿
14.70%1.2亿
14.70%1.2亿
218.33%1.14亿
181.22%1.01亿
139.42%9,578.8万
其他负债
46.46%20.6亿
46.46%20.6亿
15.80%20.48亿
22.55%20.89亿
19.43%20.08亿
6.18%14.06亿
6.18%14.06亿
--17.68亿
--17.05亿
--16.81亿
总负债
8.81%63.71亿
8.81%63.71亿
10.76%63.2亿
13.68%63.35亿
12.46%61.63亿
8.62%58.55亿
8.62%58.55亿
2.23%57.06亿
-0.91%55.73亿
-3.38%54.8亿
所有者权益
股本
7.84%1.47亿
7.84%1.47亿
7.84%1.47亿
4.18%1.37亿
4.18%1.37亿
4.18%1.37亿
4.18%1.37亿
4.18%1.37亿
7.98%1.31亿
7.98%1.31亿
-普通股
7.84%1.47亿
7.84%1.47亿
7.84%1.47亿
4.18%1.37亿
4.18%1.37亿
4.18%1.37亿
4.18%1.37亿
4.18%1.37亿
7.98%1.31亿
7.98%1.31亿
留存收益
8.45%12亿
8.45%12亿
10.18%11.77亿
8.52%11.41亿
8.48%11.37亿
6.93%11.07亿
6.93%11.07亿
29.57%10.68亿
31.30%10.51亿
28.61%10.48亿
固定资产重估储备
----
----
----
----
----
----
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-2.40%645.4万
-2.40%645.4万
----
其他储备
5.53%2,841.1万
5.53%2,841.1万
53.83%2,471.1万
-7.55%2,868.4万
-4.20%2,927.5万
98.53%2,692.2万
98.53%2,692.2万
185.35%1,606.4万
303.01%3,102.6万
550.70%3,055.7万
股东权益
8.32%13.76亿
8.32%13.76亿
9.91%13.49亿
7.07%13.06亿
7.69%13.03亿
7.68%12.7亿
7.68%12.7亿
30.11%12.27亿
33.55%12.2亿
27.66%12.1亿
非控制性权益
119.86%420.2万
119.86%420.2万
104.48%92万
-211.82%-2,260.4万
-189.27%-2,345.4万
-51.82%-2,115.6万
-51.82%-2,115.6万
---2,052.2万
---724.9万
---810.8万
总权益
10.49%13.8亿
10.49%13.8亿
11.85%13.5亿
5.85%12.83亿
6.46%12.79亿
7.15%12.49亿
7.15%12.49亿
27.94%12.07亿
32.76%12.13亿
26.80%12.02亿
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)2024/12/31(Q4)2024/12/31(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
资产
金融资产投资 -61.01%17.27亿-61.01%17.27亿18.60%17.6亿7.31%17.18亿11.60%17.35亿7.00%44.29亿7.00%44.29亿-49.75%14.84亿-46.33%16.01亿-45.65%15.55亿
-可供出售证券 -88.86%3.59亿-88.86%3.59亿52.36%4.47亿6.44%4.56亿46.21%4.81亿10.45%32.22亿10.45%32.22亿-51.93%2.94亿-43.10%4.28亿-38.14%3.29亿
-以公允价值计量且其变动计入当期损益的金融资产总额 13.26%13.66亿13.26%13.66亿9.91%13.05亿7.57%12.62亿2.45%12.54亿-1.17%12.06亿-1.17%12.06亿-49.29%11.88亿-47.42%11.73亿-47.44%12.24亿
-金融资产 75.46%202.3万75.46%202.3万182.19%697.3万--64.1万-----38.18%115.3万-38.18%115.3万--247.1万------170.8万
现金及现金等价物与短期投资 740.92%39.76亿740.92%39.76亿8.21%38.97亿9.14%38.55亿7.41%37.22亿17.87%4.73亿17.87%4.73亿10.12%36.01亿8.45%35.32亿-0.13%34.66亿
-现金及现金等价物 13.46%2.36亿13.46%2.36亿-17.42%2.38亿20.14%2.49亿11.94%2.12亿-15.11%2.08亿-15.11%2.08亿2.59%2.89亿-23.74%2.07亿-29.57%1.89亿
-短期投资 1,311.65%37.4亿1,311.65%37.4亿10.44%36.58亿8.45%36.06亿7.15%35.11亿69.54%2.65亿69.54%2.65亿10.83%33.12亿11.37%33.25亿2.34%32.76亿
净贷款 --------------------0.42%2,778.4万0.42%2,778.4万------------
再保险资产 598.02%211.5万598.02%211.5万--168.6万1,050.00%112.7万53.32%99.2万-3.81%30.3万-3.81%30.3万--0-99.11%9.8万-95.91%64.7万
保险合同资产 16.00%16.31亿16.00%16.31亿14.74%15.88亿23.10%16.23亿16.19%15.51亿6.18%14.06亿6.18%14.06亿--13.84亿--13.18亿--13.35亿
应收款项 -27.20%5,512.3万-27.20%5,512.3万-25.07%5,743.1万-22.88%5,659.3万-1.06%6,602万19.58%7,571.4万19.58%7,571.4万152.50%7,664.3万135.38%7,338.2万117.83%6,673万
-其他应收款 -0.60%4,781.9万-0.60%4,781.9万7.09%4,869.8万8.46%4,558.2万5.45%4,638万32.52%4,811万32.52%4,811万--4,547.2万--4,202.8万--4,398.4万
-应收款调整备抵金 --------------------0.00%-107.5万0.00%-107.5万------------
-应收税款 -74.53%730.4万-74.53%730.4万-71.98%873.3万-64.88%1,101.1万-13.66%1,964万2.11%2,867.9万2.11%2,867.9万35.96%3,117.1万36.73%3,135.4万-0.38%2,274.6万
承继再保险合同项下存款 ---------------------5.62%3.24亿-5.62%3.24亿------------
物业、厂房及设备净额 -7.51%3,667万-7.51%3,667万4.19%4,002.4万0.77%3,961.3万-0.46%3,891万0.21%3,964.8万0.21%3,964.8万-9.12%3,841.5万-4.14%3,931.2万-6.13%3,909.1万
-物业、厂房及设备 -50.44%3,667万-50.44%3,667万4.19%4,002.4万0.77%3,961.3万-0.46%3,891万1.86%7,399.2万1.86%7,399.2万-9.12%3,841.5万-4.14%3,931.2万-6.13%3,909.1万
-累计折旧 ---------------------3.82%-3,434.4万-3.82%-3,434.4万------------
投资物业 0.61%8,280万0.61%8,280万4.31%8,230万4.31%8,230万4.31%8,230万4.31%8,230万4.31%8,230万7.23%7,890.2万7.23%7,890.2万7.23%7,890.2万
商誉及其他无形资产 -2.26%2.26亿-2.26%2.26亿-1.82%2.29亿79.53%2.3亿80.25%2.3亿83.02%2.31亿83.02%2.31亿84.73%2.33亿1.34%1.28亿0.86%1.28亿
-其他无形资产 -2.26%2.26亿-2.26%2.26亿-1.82%2.29亿79.53%2.3亿80.25%2.3亿83.02%2.31亿83.02%2.31亿84.73%2.33亿1.34%1.28亿0.86%1.28亿
其他资产 -6.49%1,390.7万-6.49%1,390.7万-9.28%1,584.8万-3.45%1,378.1万12.67%1,488.5万27.59%1,487.3万27.59%1,487.3万--1,747万--1,427.3万--1,321.1万
总资产 9.11%77.51亿9.11%77.51亿10.95%76.7亿12.28%76.19亿11.38%74.42亿8.36%71.04亿8.36%71.04亿5.94%69.13亿3.79%67.85亿0.94%66.82亿
负债
流动金融负债 ---------------------7.21%150.5万-7.21%150.5万------------
-短期借款及资本租赁负债 ---------------------7.21%150.5万-7.21%150.5万------------
-其中:短期资本租赁负债 ---------------------7.21%150.5万-7.21%150.5万------------
保险合同负债 3.52%41.45亿3.52%41.45亿8.49%41.08亿9.59%40.86亿9.36%39.96亿9.12%40.04亿9.12%40.04亿18.92%37.87亿17.54%37.29亿12.86%36.54亿
应付再保险余额 -43.59%1,980.6万-43.59%1,980.6万-30.55%2,215.1万-5.33%3,187.7万-33.54%3,031.3万-36.14%3,510.8万-36.14%3,510.8万--3,189.7万4,377.79%3,367.3万4,332.85%4,561.4万
应付款项 -99.43%54.9万-99.43%54.9万-27.42%4.5万--23.3万--20.8万-5.75%9,655万-5.75%9,655万-99.99%6.2万--------
-应交税费 417.92%54.9万417.92%54.9万-27.42%4.5万--23.3万--20.8万--10.6万--10.6万-99.13%6.2万--------
-其他应付款 ---------------------5.85%9,644.4万-5.85%9,644.4万------------
非流动金融负债 35.81%164.6万35.81%164.6万-60.17%201.6万-59.52%220.6万2.96%336.9万-35.67%121.2万-35.67%121.2万14.24%506.2万229.70%545万91.46%327.2万
-长期借款及资本租赁负债 35.48%164.2万35.48%164.2万-22.19%201.6万-29.23%220.6万-20.26%260.9万-35.67%121.2万-35.67%121.2万40.89%259.1万101.62%311.7万91.46%327.2万
-其中:长期资本租赁负债 35.48%164.2万35.48%164.2万-22.19%201.6万-29.23%220.6万-20.26%260.9万-35.67%121.2万-35.67%121.2万40.89%259.1万101.62%311.7万91.46%327.2万
长期应计及递延收入 --------------------45.44%1.9亿45.44%1.9亿------------
-长期应计费用 --------------------45.44%1.9亿45.44%1.9亿------------
非流动递延所得税负债 19.95%1.44亿19.95%1.44亿22.59%1.4亿24.89%1.26亿30.18%1.25亿14.70%1.2亿14.70%1.2亿218.33%1.14亿181.22%1.01亿139.42%9,578.8万
其他负债 46.46%20.6亿46.46%20.6亿15.80%20.48亿22.55%20.89亿19.43%20.08亿6.18%14.06亿6.18%14.06亿--17.68亿--17.05亿--16.81亿
总负债 8.81%63.71亿8.81%63.71亿10.76%63.2亿13.68%63.35亿12.46%61.63亿8.62%58.55亿8.62%58.55亿2.23%57.06亿-0.91%55.73亿-3.38%54.8亿
所有者权益
股本 7.84%1.47亿7.84%1.47亿7.84%1.47亿4.18%1.37亿4.18%1.37亿4.18%1.37亿4.18%1.37亿4.18%1.37亿7.98%1.31亿7.98%1.31亿
-普通股 7.84%1.47亿7.84%1.47亿7.84%1.47亿4.18%1.37亿4.18%1.37亿4.18%1.37亿4.18%1.37亿4.18%1.37亿7.98%1.31亿7.98%1.31亿
留存收益 8.45%12亿8.45%12亿10.18%11.77亿8.52%11.41亿8.48%11.37亿6.93%11.07亿6.93%11.07亿29.57%10.68亿31.30%10.51亿28.61%10.48亿
固定资产重估储备 -----------------------------2.40%645.4万-2.40%645.4万----
其他储备 5.53%2,841.1万5.53%2,841.1万53.83%2,471.1万-7.55%2,868.4万-4.20%2,927.5万98.53%2,692.2万98.53%2,692.2万185.35%1,606.4万303.01%3,102.6万550.70%3,055.7万
股东权益 8.32%13.76亿8.32%13.76亿9.91%13.49亿7.07%13.06亿7.69%13.03亿7.68%12.7亿7.68%12.7亿30.11%12.27亿33.55%12.2亿27.66%12.1亿
非控制性权益 119.86%420.2万119.86%420.2万104.48%92万-211.82%-2,260.4万-189.27%-2,345.4万-51.82%-2,115.6万-51.82%-2,115.6万---2,052.2万---724.9万---810.8万
总权益 10.49%13.8亿10.49%13.8亿11.85%13.5亿5.85%12.83亿6.46%12.79亿7.15%12.49亿7.15%12.49亿27.94%12.07亿32.76%12.13亿26.80%12.02亿
会计准则 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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