馬來西亞市場個股詳情

0116 FOCUS

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延時15分鐘行情已收盤 11/22 15:16 (北京)
1.59億總市值8.33市盈率TTM

FOCUS關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2024/06/30
(Q2)2024/03/31
(Q1)2023/12/31
(FY)2023/09/30
(Q3)2023/03/31
(Q2)2022/12/31
(Q1)2022/09/30
(FY)2022/06/30
(Q3)2022/03/31
(Q3)2021/09/30
資產
流動資產
現金及現金等價物與短期投資
-35.98%2,257.1萬
--2,492萬
-43.45%2,885.3萬
-60.60%2,525.93萬
-55.44%3,525.4萬
-75.19%3,250.4萬
-67.87%5,102.1萬
--6,411.07萬
-35.85%7,911.73萬
272.74%1.23億
-現金及現金等價物
-56.02%1,043.6萬
--1,283.9萬
-61.79%1,565.9萬
-60.80%2,373.5萬
-67.99%2,373萬
-78.24%2,743.4萬
-73.36%4,098.1萬
--6,054.5萬
-37.38%7,412.95萬
291.98%1.18億
-其中:現金
-56.02%1,043.6萬
--1,283.9萬
-61.79%1,565.9萬
-60.80%2,373.5萬
-67.99%2,373萬
-78.24%2,743.4萬
-73.36%4,098.1萬
--6,054.5萬
-37.38%7,412.95萬
291.98%1.18億
-短期投資
5.30%1,213.5萬
--1,208.1萬
31.41%1,319.4萬
-57.25%152.43萬
131.04%1,152.4萬
2.63%507萬
104.00%1,004萬
--356.57萬
0.58%498.78萬
71.66%495.91萬
應收款項
-19.35%1,602.3萬
--1,618.6萬
51.70%2,369.1萬
-7.51%974.8萬
-27.18%1,986.7萬
41.85%1,659.8萬
96.87%1,561.7萬
--1,054萬
79.24%2,728.06萬
37.48%1,522.04萬
-應收賬款淨額
-24.92%238.9萬
--226.3萬
8.37%262.7萬
-57.70%399.7萬
-18.69%318.2萬
-25.21%464.9萬
-5.44%242.4萬
--945萬
-55.80%391.33萬
362.81%885.31萬
-其中:應收賬款
----
----
----
-18.81%791.4萬
----
----
----
--974.7萬
----
----
-其中:壞賬準備
----
----
----
-1,218.86%-391.7萬
----
----
----
---29.7萬
----
----
-其他應收款
-18.29%1,363.4萬
--1,392.3萬
59.66%2,106.4萬
427.61%575.1萬
-28.60%1,668.5萬
117.85%1,194.9萬
145.72%1,319.3萬
--109萬
266.99%2,336.73萬
-30.47%636.73萬
存貨
-19.09%1,607.2萬
--1,693.3萬
-18.35%1,340.1萬
-10.70%1,306.8萬
73.43%1,986.4萬
17.22%1,704.9萬
28.15%1,641.2萬
--1,463.3萬
-13.90%1,145.36萬
12.12%1,330.34萬
預付費用
----
----
----
-61.43%976.3萬
----
----
----
--2,531萬
----
----
受限制現金
----
----
----
699.41%1,159.37萬
----
----
----
--145.03萬
----
----
稅項資產
67.93%380.2萬
--305.6萬
-75.19%233.1萬
-79.08%173.9萬
-60.19%226.4萬
2,286.35%1,029.5萬
1,870.23%939.5萬
--831.3萬
609.03%568.72萬
-4.79%80.21萬
流動資產合計
-24.31%5,846.8萬
--6,109.5萬
-26.14%6,827.6萬
-42.77%7,117.1萬
-37.47%7,724.9萬
-51.52%7,644.6萬
-48.64%9,244.5萬
--1.24億
-19.08%1.24億
168.45%1.53億
非流動資產
物業廠房及設備淨額
-28.30%3,356.3萬
--3,573.5萬
-15.27%4,023.6萬
3.87%4,082.3萬
111.71%4,681.1萬
193.98%4,623.1萬
185.58%4,749萬
--3,930.1萬
56.19%2,211.05萬
-15.11%1,415.58萬
-物業、廠房及設備
-28.30%3,356.3萬
--3,573.5萬
-15.27%4,023.6萬
6.08%7,885.2萬
111.71%4,681.1萬
193.98%4,623.1萬
185.58%4,749萬
--7,433.3萬
56.19%2,211.05萬
-15.11%1,415.58萬
-累計折舊
----
----
----
-8.56%-3,802.9萬
----
----
----
---3,503.2萬
----
----
長期預付費用
57.06%1.14億
--9,315萬
50.26%8,966.3萬
155.90%8,900萬
119.49%7,277.9萬
134.33%6,837.3萬
150.87%5,967.1萬
--3,477.9萬
10.33%3,315.76萬
--3,005.19萬
投資總額
-18.80%2,321萬
--2,595.7萬
15.12%3,063.4萬
-27.76%2,555.3萬
-73.39%2,858.5萬
-64.74%3,191.6萬
-61.45%2,661萬
--3,537萬
11.01%1.07億
124,705.17%9,677.77萬
-長期股權投資
-21.21%1,291.3萬
--1,497.4萬
29.72%1,928.1萬
-33.32%1,246.3萬
-81.74%1,638.9萬
--1,710.2萬
--1,486.4萬
--1,869.2萬
64.32%8,977.42萬
70,357.57%5,463.49萬
-金融資產投資
-15.57%1,029.7萬
--1,098.3萬
-3.35%1,135.3萬
-21.51%1,309萬
-30.92%1,219.6萬
-83.63%1,481.4萬
-82.98%1,174.6萬
--1,667.8萬
-58.11%1,765.46萬
--4,214.28萬
-其中:可供出售證券
-15.57%1,029.7萬
--1,098.3萬
-3.35%1,135.3萬
-21.51%1,309萬
-30.92%1,219.6萬
-83.63%1,481.4萬
-82.98%1,174.6萬
--1,667.8萬
-58.11%1,765.46萬
--4,214.28萬
商譽及其他無形資產
-96.71%8.8萬
--8.8萬
0.00%8.8萬
0.00%8.8萬
2,935.32%267.5萬
2,778.73%253.7萬
-0.15%8.8萬
--8.8萬
0.00%8.81萬
-99.49%8.81萬
-商譽
-96.71%8.8萬
--8.8萬
0.00%8.8萬
0.00%8.8萬
2,935.32%267.5萬
2,778.73%253.7萬
-0.15%8.8萬
--8.8萬
0.00%8.81萬
0.00%8.81萬
非流動資產合計
13.47%1.71億
--1.55億
19.99%1.61億
41.93%1.55億
-7.33%1.51億
10.00%1.49億
22.21%1.34億
--1.1億
15.39%1.63億
313.90%1.41億
總資產
0.67%2.3億
--2.16億
1.15%2.29億
-3.10%2.27億
-20.34%2.28億
-23.09%2.26億
-21.84%2.26億
--2.34億
-2.52%2.86億
222.96%2.94億
負債
流動負債
金融負債
3.81%1,400.6萬
--1,333.7萬
44.44%1,323.1萬
28.98%1,424.2萬
358.32%1,349.2萬
71.31%353.4萬
319.95%916萬
--1,104.2萬
76.85%294.38萬
-1.27%166.46萬
-短期借款及資本租賃負債
3.81%1,400.6萬
--1,333.7萬
44.44%1,323.1萬
28.98%1,424.2萬
358.32%1,349.2萬
71.31%353.4萬
319.95%916萬
--1,104.2萬
76.85%294.38萬
-1.27%166.46萬
-其中:短期借款
0.04%1,120.8萬
--1,120萬
680.77%1,120.4萬
828.33%1,120.5萬
831.40%1,120.4萬
16.20%143.1萬
17.57%143.5萬
--120.7萬
-0.47%120.29萬
1.15%120.86萬
-其中:資本租賃負債
22.29%279.8萬
--213.7萬
-73.76%202.7萬
-69.12%303.7萬
31.43%228.8萬
152.94%210.3萬
704.10%772.5萬
--983.5萬
281.77%174.09萬
-7.18%45.6萬
應付款項
0.56%3,812.1萬
--4,370.4萬
15.50%5,165.2萬
14.58%5,060.8萬
-15.85%3,790.9萬
36.36%4,800.1萬
25.02%4,472.2萬
--4,416.8萬
30.30%4,505.16萬
-7.86%3,457.5萬
-應付帳款
-22.08%657.2萬
--1,414.2萬
213.31%1,899.9萬
342.72%2,343.3萬
-47.02%843.4萬
-20.59%931.6萬
-59.58%606.4萬
--529.3萬
49.88%1,591.91萬
-29.58%1,062.13萬
-應交稅費
-49.75%109.2萬
--126.3萬
17.94%101.9萬
-7.29%39.4萬
274.25%217.3萬
8.25%211.9萬
-58.07%86.4萬
--42.5萬
-83.65%58.06萬
-12.86%355.21萬
-其他應付款
11.56%3,045.7萬
--2,829.9萬
-16.30%3,163.4萬
-30.35%2,678.1萬
-4.38%2,730.2萬
69.98%3,656.6萬
102.00%3,779.4萬
--3,845萬
39.95%2,855.18萬
11.08%2,040.16萬
現行撥備
855.38%124.2萬
--117.9萬
806.92%117.9萬
114.51%124.2萬
-68.49%13萬
47.84%61萬
-68.49%13萬
--57.9萬
0.00%41.26萬
--41.26萬
應計及遞延所得
----
----
----
0.14%276.9萬
----
----
----
--276.5萬
----
----
流動負債合計
3.57%5,336.9萬
--5,822萬
22.31%6,606.2萬
17.60%6,886.1萬
6.45%5,153.1萬
38.40%5,214.5萬
40.78%5,401.2萬
--5,855.4萬
32.07%4,840.8萬
-6.53%3,665.22萬
非流動負債
非流動金融負債
-28.98%1,066.9萬
--1,207.8萬
-18.74%1,501.1萬
39.52%1,471萬
460.08%1,502.2萬
232.73%1,468.9萬
318.44%1,847.3萬
--1,054.3萬
-38.53%268.21萬
15.72%436.36萬
-長期借款及資本租賃
-28.98%1,066.9萬
--1,207.8萬
-18.74%1,501.1萬
39.52%1,471萬
460.08%1,502.2萬
232.73%1,468.9萬
318.44%1,847.3萬
--1,054.3萬
-38.53%268.21萬
15.72%436.36萬
-其中:長期借款
----
----
----
----
----
--341.3萬
--341.3萬
----
----
----
-其中:長期資本租賃負債
-28.98%1,066.9萬
--1,207.8萬
-0.33%1,501.1萬
39.52%1,471萬
460.08%1,502.2萬
155.42%1,127.6萬
241.13%1,506萬
--1,054.3萬
-38.53%268.21萬
15.72%436.36萬
長期應付帳款及其他應付款
--2,986.5萬
--519萬
--473.8萬
--473.8萬
----
----
----
----
----
----
非流動遞延所得稅負債
-77.54%3.1萬
--3.1萬
-84.34%3.1萬
-84.34%3.1萬
-5.68%13.8萬
859.18%27.8萬
583.16%19.8萬
--19.8萬
404.79%14.63萬
--2.9萬
非流動負債合計
167.58%4,056.5萬
--1,729.9萬
5.94%1,978萬
81.35%1,947.9萬
435.99%1,516萬
236.81%1,496.7萬
320.17%1,867.1萬
--1,074.1萬
-35.61%282.84萬
16.49%439.26萬
負債總額
40.85%9,393.4萬
--7,551.9萬
18.10%8,584.2萬
27.48%8,834萬
30.16%6,669.1萬
59.33%6,711.2萬
69.78%7,268.3萬
--6,929.5萬
24.83%5,123.64萬
-4.51%4,104.48萬
所有者權益
股本
0.00%2.68億
--2.68億
0.00%2.68億
0.00%2.68億
0.00%2.68億
0.00%2.68億
0.85%2.68億
--2.68億
0.00%2.68億
208.54%2.68億
-普通股
0.00%2.19億
--2.19億
0.00%2.19億
0.00%2.19億
0.00%2.19億
0.01%2.19億
33.20%2.19億
--2.19億
0.00%2.19億
151.41%2.19億
-優先股
0.00%4,968.5萬
--4,968.5萬
0.00%4,968.5萬
0.00%4,968.5萬
0.00%4,968.5萬
-0.02%4,968.5萬
-51.25%4,968.5萬
--4,968.5萬
0.00%4,968.5萬
--4,968.5萬
留存收益
-4.44%-5.21億
----
-1.64%-5.14億
-4.89%-5.19億
-17.81%-4.99億
-23.28%-5.02億
-23.62%-5.06億
---4.94億
-4.50%-4.24億
-906.72%-4.05億
其他儲備
-169.05%-11.6萬
---1.27億
325.00%5.4萬
-137.30%-6.9萬
444.39%16.8萬
342.49%17.9萬
-139.14%-2.4萬
--18.5萬
1,377.26%3.09萬
109.21%2,089
其他股本權益
0.00%3.89億
----
0.00%3.89億
0.00%3.89億
-0.00%3.89億
-0.00%3.89億
-0.00%3.89億
--3.89億
0.00%3.89億
--3.89億
股東權益
-14.13%1.36億
--1.41億
-5.43%1.43億
-14.96%1.39億
-32.19%1.59億
-37.79%1.56億
-38.42%1.51億
--1.63億
-7.22%2.34億
440.16%2.52億
非控制性權益
-119.40%-53.3萬
---32萬
-107.80%-16.9萬
-132.82%-46.6萬
144.04%274.7萬
298.01%259.4萬
178.21%216.7萬
--142萬
118.99%112.57萬
-59.94%51.4萬
總權益
-15.93%1.36億
--1.41億
-6.88%1.43億
-15.98%1.38億
-31.34%1.61億
-36.92%1.58億
-37.74%1.54億
--1.65億
-6.97%2.35億
426.78%2.53億
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q3)2024/06/30(Q2)2024/03/31(Q1)2023/12/31(FY)2023/09/30(Q3)2023/03/31(Q2)2022/12/31(Q1)2022/09/30(FY)2022/06/30(Q3)2022/03/31(Q3)2021/09/30
資產
流動資產
現金及現金等價物與短期投資 -35.98%2,257.1萬--2,492萬-43.45%2,885.3萬-60.60%2,525.93萬-55.44%3,525.4萬-75.19%3,250.4萬-67.87%5,102.1萬--6,411.07萬-35.85%7,911.73萬272.74%1.23億
-現金及現金等價物 -56.02%1,043.6萬--1,283.9萬-61.79%1,565.9萬-60.80%2,373.5萬-67.99%2,373萬-78.24%2,743.4萬-73.36%4,098.1萬--6,054.5萬-37.38%7,412.95萬291.98%1.18億
-其中:現金 -56.02%1,043.6萬--1,283.9萬-61.79%1,565.9萬-60.80%2,373.5萬-67.99%2,373萬-78.24%2,743.4萬-73.36%4,098.1萬--6,054.5萬-37.38%7,412.95萬291.98%1.18億
-短期投資 5.30%1,213.5萬--1,208.1萬31.41%1,319.4萬-57.25%152.43萬131.04%1,152.4萬2.63%507萬104.00%1,004萬--356.57萬0.58%498.78萬71.66%495.91萬
應收款項 -19.35%1,602.3萬--1,618.6萬51.70%2,369.1萬-7.51%974.8萬-27.18%1,986.7萬41.85%1,659.8萬96.87%1,561.7萬--1,054萬79.24%2,728.06萬37.48%1,522.04萬
-應收賬款淨額 -24.92%238.9萬--226.3萬8.37%262.7萬-57.70%399.7萬-18.69%318.2萬-25.21%464.9萬-5.44%242.4萬--945萬-55.80%391.33萬362.81%885.31萬
-其中:應收賬款 -------------18.81%791.4萬--------------974.7萬--------
-其中:壞賬準備 -------------1,218.86%-391.7萬---------------29.7萬--------
-其他應收款 -18.29%1,363.4萬--1,392.3萬59.66%2,106.4萬427.61%575.1萬-28.60%1,668.5萬117.85%1,194.9萬145.72%1,319.3萬--109萬266.99%2,336.73萬-30.47%636.73萬
存貨 -19.09%1,607.2萬--1,693.3萬-18.35%1,340.1萬-10.70%1,306.8萬73.43%1,986.4萬17.22%1,704.9萬28.15%1,641.2萬--1,463.3萬-13.90%1,145.36萬12.12%1,330.34萬
預付費用 -------------61.43%976.3萬--------------2,531萬--------
受限制現金 ------------699.41%1,159.37萬--------------145.03萬--------
稅項資產 67.93%380.2萬--305.6萬-75.19%233.1萬-79.08%173.9萬-60.19%226.4萬2,286.35%1,029.5萬1,870.23%939.5萬--831.3萬609.03%568.72萬-4.79%80.21萬
流動資產合計 -24.31%5,846.8萬--6,109.5萬-26.14%6,827.6萬-42.77%7,117.1萬-37.47%7,724.9萬-51.52%7,644.6萬-48.64%9,244.5萬--1.24億-19.08%1.24億168.45%1.53億
非流動資產
物業廠房及設備淨額 -28.30%3,356.3萬--3,573.5萬-15.27%4,023.6萬3.87%4,082.3萬111.71%4,681.1萬193.98%4,623.1萬185.58%4,749萬--3,930.1萬56.19%2,211.05萬-15.11%1,415.58萬
-物業、廠房及設備 -28.30%3,356.3萬--3,573.5萬-15.27%4,023.6萬6.08%7,885.2萬111.71%4,681.1萬193.98%4,623.1萬185.58%4,749萬--7,433.3萬56.19%2,211.05萬-15.11%1,415.58萬
-累計折舊 -------------8.56%-3,802.9萬---------------3,503.2萬--------
長期預付費用 57.06%1.14億--9,315萬50.26%8,966.3萬155.90%8,900萬119.49%7,277.9萬134.33%6,837.3萬150.87%5,967.1萬--3,477.9萬10.33%3,315.76萬--3,005.19萬
投資總額 -18.80%2,321萬--2,595.7萬15.12%3,063.4萬-27.76%2,555.3萬-73.39%2,858.5萬-64.74%3,191.6萬-61.45%2,661萬--3,537萬11.01%1.07億124,705.17%9,677.77萬
-長期股權投資 -21.21%1,291.3萬--1,497.4萬29.72%1,928.1萬-33.32%1,246.3萬-81.74%1,638.9萬--1,710.2萬--1,486.4萬--1,869.2萬64.32%8,977.42萬70,357.57%5,463.49萬
-金融資產投資 -15.57%1,029.7萬--1,098.3萬-3.35%1,135.3萬-21.51%1,309萬-30.92%1,219.6萬-83.63%1,481.4萬-82.98%1,174.6萬--1,667.8萬-58.11%1,765.46萬--4,214.28萬
-其中:可供出售證券 -15.57%1,029.7萬--1,098.3萬-3.35%1,135.3萬-21.51%1,309萬-30.92%1,219.6萬-83.63%1,481.4萬-82.98%1,174.6萬--1,667.8萬-58.11%1,765.46萬--4,214.28萬
商譽及其他無形資產 -96.71%8.8萬--8.8萬0.00%8.8萬0.00%8.8萬2,935.32%267.5萬2,778.73%253.7萬-0.15%8.8萬--8.8萬0.00%8.81萬-99.49%8.81萬
-商譽 -96.71%8.8萬--8.8萬0.00%8.8萬0.00%8.8萬2,935.32%267.5萬2,778.73%253.7萬-0.15%8.8萬--8.8萬0.00%8.81萬0.00%8.81萬
非流動資產合計 13.47%1.71億--1.55億19.99%1.61億41.93%1.55億-7.33%1.51億10.00%1.49億22.21%1.34億--1.1億15.39%1.63億313.90%1.41億
總資產 0.67%2.3億--2.16億1.15%2.29億-3.10%2.27億-20.34%2.28億-23.09%2.26億-21.84%2.26億--2.34億-2.52%2.86億222.96%2.94億
負債
流動負債
金融負債 3.81%1,400.6萬--1,333.7萬44.44%1,323.1萬28.98%1,424.2萬358.32%1,349.2萬71.31%353.4萬319.95%916萬--1,104.2萬76.85%294.38萬-1.27%166.46萬
-短期借款及資本租賃負債 3.81%1,400.6萬--1,333.7萬44.44%1,323.1萬28.98%1,424.2萬358.32%1,349.2萬71.31%353.4萬319.95%916萬--1,104.2萬76.85%294.38萬-1.27%166.46萬
-其中:短期借款 0.04%1,120.8萬--1,120萬680.77%1,120.4萬828.33%1,120.5萬831.40%1,120.4萬16.20%143.1萬17.57%143.5萬--120.7萬-0.47%120.29萬1.15%120.86萬
-其中:資本租賃負債 22.29%279.8萬--213.7萬-73.76%202.7萬-69.12%303.7萬31.43%228.8萬152.94%210.3萬704.10%772.5萬--983.5萬281.77%174.09萬-7.18%45.6萬
應付款項 0.56%3,812.1萬--4,370.4萬15.50%5,165.2萬14.58%5,060.8萬-15.85%3,790.9萬36.36%4,800.1萬25.02%4,472.2萬--4,416.8萬30.30%4,505.16萬-7.86%3,457.5萬
-應付帳款 -22.08%657.2萬--1,414.2萬213.31%1,899.9萬342.72%2,343.3萬-47.02%843.4萬-20.59%931.6萬-59.58%606.4萬--529.3萬49.88%1,591.91萬-29.58%1,062.13萬
-應交稅費 -49.75%109.2萬--126.3萬17.94%101.9萬-7.29%39.4萬274.25%217.3萬8.25%211.9萬-58.07%86.4萬--42.5萬-83.65%58.06萬-12.86%355.21萬
-其他應付款 11.56%3,045.7萬--2,829.9萬-16.30%3,163.4萬-30.35%2,678.1萬-4.38%2,730.2萬69.98%3,656.6萬102.00%3,779.4萬--3,845萬39.95%2,855.18萬11.08%2,040.16萬
現行撥備 855.38%124.2萬--117.9萬806.92%117.9萬114.51%124.2萬-68.49%13萬47.84%61萬-68.49%13萬--57.9萬0.00%41.26萬--41.26萬
應計及遞延所得 ------------0.14%276.9萬--------------276.5萬--------
流動負債合計 3.57%5,336.9萬--5,822萬22.31%6,606.2萬17.60%6,886.1萬6.45%5,153.1萬38.40%5,214.5萬40.78%5,401.2萬--5,855.4萬32.07%4,840.8萬-6.53%3,665.22萬
非流動負債
非流動金融負債 -28.98%1,066.9萬--1,207.8萬-18.74%1,501.1萬39.52%1,471萬460.08%1,502.2萬232.73%1,468.9萬318.44%1,847.3萬--1,054.3萬-38.53%268.21萬15.72%436.36萬
-長期借款及資本租賃 -28.98%1,066.9萬--1,207.8萬-18.74%1,501.1萬39.52%1,471萬460.08%1,502.2萬232.73%1,468.9萬318.44%1,847.3萬--1,054.3萬-38.53%268.21萬15.72%436.36萬
-其中:長期借款 ----------------------341.3萬--341.3萬------------
-其中:長期資本租賃負債 -28.98%1,066.9萬--1,207.8萬-0.33%1,501.1萬39.52%1,471萬460.08%1,502.2萬155.42%1,127.6萬241.13%1,506萬--1,054.3萬-38.53%268.21萬15.72%436.36萬
長期應付帳款及其他應付款 --2,986.5萬--519萬--473.8萬--473.8萬------------------------
非流動遞延所得稅負債 -77.54%3.1萬--3.1萬-84.34%3.1萬-84.34%3.1萬-5.68%13.8萬859.18%27.8萬583.16%19.8萬--19.8萬404.79%14.63萬--2.9萬
非流動負債合計 167.58%4,056.5萬--1,729.9萬5.94%1,978萬81.35%1,947.9萬435.99%1,516萬236.81%1,496.7萬320.17%1,867.1萬--1,074.1萬-35.61%282.84萬16.49%439.26萬
負債總額 40.85%9,393.4萬--7,551.9萬18.10%8,584.2萬27.48%8,834萬30.16%6,669.1萬59.33%6,711.2萬69.78%7,268.3萬--6,929.5萬24.83%5,123.64萬-4.51%4,104.48萬
所有者權益
股本 0.00%2.68億--2.68億0.00%2.68億0.00%2.68億0.00%2.68億0.00%2.68億0.85%2.68億--2.68億0.00%2.68億208.54%2.68億
-普通股 0.00%2.19億--2.19億0.00%2.19億0.00%2.19億0.00%2.19億0.01%2.19億33.20%2.19億--2.19億0.00%2.19億151.41%2.19億
-優先股 0.00%4,968.5萬--4,968.5萬0.00%4,968.5萬0.00%4,968.5萬0.00%4,968.5萬-0.02%4,968.5萬-51.25%4,968.5萬--4,968.5萬0.00%4,968.5萬--4,968.5萬
留存收益 -4.44%-5.21億-----1.64%-5.14億-4.89%-5.19億-17.81%-4.99億-23.28%-5.02億-23.62%-5.06億---4.94億-4.50%-4.24億-906.72%-4.05億
其他儲備 -169.05%-11.6萬---1.27億325.00%5.4萬-137.30%-6.9萬444.39%16.8萬342.49%17.9萬-139.14%-2.4萬--18.5萬1,377.26%3.09萬109.21%2,089
其他股本權益 0.00%3.89億----0.00%3.89億0.00%3.89億-0.00%3.89億-0.00%3.89億-0.00%3.89億--3.89億0.00%3.89億--3.89億
股東權益 -14.13%1.36億--1.41億-5.43%1.43億-14.96%1.39億-32.19%1.59億-37.79%1.56億-38.42%1.51億--1.63億-7.22%2.34億440.16%2.52億
非控制性權益 -119.40%-53.3萬---32萬-107.80%-16.9萬-132.82%-46.6萬144.04%274.7萬298.01%259.4萬178.21%216.7萬--142萬118.99%112.57萬-59.94%51.4萬
總權益 -15.93%1.36億--1.41億-6.88%1.43億-15.98%1.38億-31.34%1.61億-36.92%1.58億-37.74%1.54億--1.65億-6.97%2.35億426.78%2.53億
會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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