馬來西亞市場個股詳情

0227 EFRAME

添加自選
  • 0.565
  • 0.0000.00%
延時15分鐘行情未開盤 01/21 09:23 (北京)
2.08億總市值18.23市盈率TTM

EFRAME關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/08/31
(Q4)2024/08/31
(Q3)2024/05/31
(Q2)2024/02/29
(Q1)2023/11/30
(FY)2023/08/31
(Q4)2023/08/31
(Q3)2023/05/31
(Q2)2023/02/28
(Q1)2022/11/30
資產
流動資產
現金及現金等價物與短期投資
25.39%3,970.63萬
25.39%3,970.63萬
1.61%2,935.9萬
25.24%2,671.7萬
7.52%2,861.1萬
18.33%3,166.69萬
18.33%3,166.69萬
33.14%2,889.4萬
-4.69%2,133.2萬
8.70%2,660.9萬
-現金及現金等價物
25.39%3,970.63萬
25.39%3,970.63萬
84.53%1,484.9萬
38.90%1,321.8萬
40.74%1,453.1萬
18.33%3,166.69萬
18.33%3,166.69萬
53.48%804.7萬
58.23%951.6萬
66.37%1,032.5萬
-其中:現金
17.41%1,612.2萬
17.41%1,612.2萬
84.53%1,484.9萬
38.90%1,321.8萬
40.74%1,453.1萬
30.68%1,373.11萬
30.68%1,373.11萬
53.48%804.7萬
58.23%951.6萬
66.37%1,032.5萬
-其中:現金等價物
31.49%2,358.43萬
31.49%2,358.43萬
----
----
----
10.35%1,793.58萬
10.35%1,793.58萬
----
----
----
-短期投資
----
----
-30.40%1,451萬
14.24%1,349.9萬
-13.53%1,408萬
----
----
26.66%2,084.7萬
-27.81%1,181.6萬
-10.89%1,628.4萬
應收款項
40.29%3,644.33萬
40.29%3,644.33萬
49.38%4,205.2萬
63.10%4,283.8萬
62.86%3,854.7萬
26.49%2,597.76萬
26.49%2,597.76萬
26.64%2,815.1萬
22.06%2,626.5萬
17.47%2,366.9萬
-應收賬款淨額
17.94%3,063.9萬
17.94%3,063.9萬
54.69%3,648.1萬
31.05%2,890.1萬
54.04%3,093.6萬
26.64%2,597.76萬
26.64%2,597.76萬
22.75%2,358.4萬
18.44%2,205.3萬
27.36%2,008.3萬
-其中:應收賬款
24.76%3,249.32萬
24.76%3,249.32萬
----
----
----
26.97%2,604.39萬
26.97%2,604.39萬
----
----
----
-其中:壞賬準備
-2,700.66%-185.41萬
-2,700.66%-185.41萬
----
----
----
---6.62萬
---6.62萬
----
----
----
-其他應收款
--580.42萬
--580.42萬
21.98%557.1萬
230.89%1,393.7萬
112.24%761.1萬
----
----
51.38%456.7萬
45.29%421.2萬
-18.13%358.6萬
存貨
40.90%1,729.52萬
40.90%1,729.52萬
77.18%2,039.7萬
68.40%2,226.2萬
18.65%1,865.1萬
-16.47%1,227.5萬
-16.47%1,227.5萬
-21.37%1,151.2萬
-5.58%1,322萬
76.19%1,572萬
預付費用
-61.60%152.88萬
-61.60%152.88萬
----
----
----
58.92%398.17萬
58.92%398.17萬
----
----
----
稅項資產
--4,200
--4,200
----
--1.3萬
--33.8萬
--0
--0
----
----
----
流動資產合計
28.52%9,497.78萬
28.52%9,497.78萬
33.91%9,180.8萬
50.99%9,183萬
30.53%8,614.7萬
14.58%7,390.12萬
14.58%7,390.12萬
17.05%6,855.7萬
5.04%6,081.7萬
23.24%6,599.8萬
非流動資產
物業廠房及設備淨額
74.87%3,720.28萬
74.87%3,720.28萬
48.73%2,989.9萬
41.67%2,836.2萬
189.06%2,824.4萬
118.31%2,127.46萬
118.31%2,127.46萬
112.69%2,010.3萬
111.52%2,002萬
3.03%977.1萬
-物業、廠房及設備
85.15%4,842.66萬
85.15%4,842.66萬
----
----
----
87.27%2,615.57萬
87.27%2,615.57萬
----
----
----
-累計折舊
-129.94%-1,122.38萬
-129.94%-1,122.38萬
----
----
----
-15.62%-488.12萬
-15.62%-488.12萬
----
----
----
投資物業
-10.00%27萬
-10.00%27萬
327.33%128.2萬
329.33%128.8萬
331.33%129.4萬
0.00%30萬
0.00%30萬
0.00%30萬
0.00%30萬
0.00%30萬
投資總額
--0
--0
----
----
----
--0
--0
----
----
----
-長期股權投資
--0
--0
----
----
----
--0
--0
----
----
----
商譽及其他無形資產
--1,569.45萬
--1,569.45萬
--1,646.4萬
--1,428萬
--1,428萬
--0
--0
----
----
----
-商譽
--1,006.88萬
--1,006.88萬
--1,016.1萬
--1,428萬
--1,428萬
--0
--0
----
----
----
-其他無形資產
--562.58萬
--562.58萬
--630.3萬
----
----
----
----
----
----
----
非流動資產合計
146.44%5,316.73萬
146.44%5,316.73萬
133.52%4,764.5萬
116.19%4,393萬
335.09%4,381.8萬
114.77%2,157.46萬
114.77%2,157.46萬
109.22%2,040.3萬
108.09%2,032萬
2.93%1,007.1萬
總資產
55.17%1.48億
55.17%1.48億
56.76%1.39億
67.32%1.36億
70.85%1.3億
28.08%9,547.58萬
28.08%9,547.58萬
30.20%8,896萬
19.91%8,113.7萬
20.11%7,606.9萬
負債
流動負債
金融負債
3,644.47%728.74萬
3,644.47%728.74萬
2,247.09%523.4萬
2,167.92%544.3萬
2,388.33%639.5萬
-28.52%19.46萬
-28.52%19.46萬
-6.30%22.3萬
-4.38%24萬
-6.55%25.7萬
-短期借款及資本租賃負債
3,644.47%728.74萬
3,644.47%728.74萬
2,247.09%523.4萬
2,167.92%544.3萬
2,388.33%639.5萬
-28.52%19.46萬
-28.52%19.46萬
-6.30%22.3萬
-4.38%24萬
-6.55%25.7萬
-其中:短期借款
8,350.83%676.95萬
8,350.83%676.95萬
4,166.36%469.3萬
3,829.46%506.9萬
4,198.59%610.4萬
-48.12%8.01萬
-48.12%8.01萬
-32.93%11萬
-29.12%12.9萬
-30.39%14.2萬
-其中:資本租賃負債
352.27%51.79萬
352.27%51.79萬
378.76%54.1萬
236.94%37.4萬
153.04%29.1萬
-2.84%11.45萬
-2.84%11.45萬
52.70%11.3萬
60.87%11.1萬
61.97%11.5萬
應付款項
38.86%821.47萬
38.86%821.47萬
108.49%1,416.5萬
176.96%1,629.1萬
90.93%1,620萬
-21.47%591.6萬
-21.47%591.6萬
11.87%679.4萬
-12.95%588.2萬
83.02%848.5萬
-應付帳款
100.52%721.85萬
100.52%721.85萬
316.56%1,338萬
388.62%1,048.1萬
65.83%943.4萬
-40.48%360萬
-40.48%360萬
-7.73%321.2萬
-49.91%214.5萬
96.10%568.9萬
-應交稅費
-82.52%23.4萬
-82.52%23.4萬
-40.03%78.5萬
10.71%170.6萬
70.86%164.2萬
46.06%133.87萬
46.06%133.87萬
38.37%130.9萬
65.52%154.1萬
84.81%96.1萬
-其他應付款
-22.02%76.22萬
-22.02%76.22萬
----
86.89%410.4萬
179.24%512.4萬
71.90%97.73萬
71.90%97.73萬
38.09%227.3萬
42.23%219.6萬
51.03%183.5萬
應計及遞延所得
241.10%661.3萬
241.10%661.3萬
--101萬
--129萬
--124.6萬
14.88%193.87萬
14.88%193.87萬
----
----
----
流動負債合計
174.75%2,211.51萬
174.75%2,211.51萬
190.85%2,040.9萬
276.09%2,302.4萬
172.72%2,384.1萬
-15.21%804.93萬
-15.21%804.93萬
11.19%701.7萬
-12.64%612.2萬
67.02%874.2萬
非流動負債
非流動金融負債
1,033.07%186.3萬
1,033.07%186.3萬
1,519.83%196萬
1,333.83%190.7萬
837.77%176.3萬
-32.90%16.44萬
-32.90%16.44萬
-32.40%12.1萬
-38.14%13.3萬
-31.64%18.8萬
-長期借款及資本租賃
1,033.07%186.3萬
1,033.07%186.3萬
1,519.83%196萬
1,333.83%190.7萬
837.77%176.3萬
-32.90%16.44萬
-32.90%16.44萬
-32.40%12.1萬
-38.14%13.3萬
-31.64%18.8萬
-其中:長期借款
--104.68萬
--104.68萬
--110.4萬
6,005.26%116萬
2,355.10%120.3萬
--0
--0
--0
-87.07%1.9萬
-74.35%4.9萬
-其中:長期資本租賃負債
396.39%81.62萬
396.39%81.62萬
607.44%85.6萬
555.26%74.7萬
302.88%56萬
-0.57%16.44萬
-0.57%16.44萬
83.33%12.1萬
67.65%11.4萬
65.48%13.9萬
非流動遞延所得稅負債
181.08%514.23萬
181.08%514.23萬
155.28%437.3萬
73.09%285.6萬
121.17%286.2萬
41.40%182.95萬
41.40%182.95萬
33.31%171.3萬
27.91%165萬
0.23%129.4萬
非流動負債合計
251.33%700.52萬
251.33%700.52萬
245.31%633.3萬
167.13%476.3萬
212.08%462.5萬
29.57%199.39萬
29.57%199.39萬
25.27%183.4萬
18.47%178.3萬
-5.36%148.2萬
負債總額
189.95%2,912.04萬
189.95%2,912.04萬
202.14%2,674.2萬
251.51%2,778.7萬
178.42%2,846.6萬
-8.96%1,004.32萬
-8.96%1,004.32萬
13.84%885.1萬
-7.14%790.5萬
50.35%1,022.4萬
所有者權益
股本
28.65%6,512.64萬
28.65%6,512.64萬
30.53%6,443.1萬
37.54%6,325.5萬
40.15%6,072.5萬
16.83%5,062.39萬
16.83%5,062.39萬
13.92%4,936.1萬
6.14%4,599萬
0.00%4,333萬
-普通股
28.65%6,512.64萬
28.65%6,512.64萬
30.53%6,443.1萬
37.54%6,325.5萬
40.15%6,072.5萬
16.83%5,062.39萬
16.83%5,062.39萬
13.92%4,936.1萬
6.14%4,599萬
0.00%4,333萬
留存收益
20.16%6,585.76萬
20.16%6,585.76萬
26.41%6,412萬
32.68%6,262.7萬
34.55%5,923.8萬
31.50%5,480.68萬
31.50%5,480.68萬
31.07%5,072.4萬
26.61%4,720.2萬
26.94%4,402.7萬
固定資產重估價值準備
55.83%912.24萬
55.83%912.24萬
-8.29%538.8萬
-8.18%540.8萬
25.04%542.8萬
34.42%585.42萬
34.42%585.42萬
34.47%587.5萬
34.38%589萬
-1.27%434.1萬
其他儲備
0.00%-2,582.51萬
0.00%-2,582.51萬
0.00%-2,582.5萬
0.00%-2,582.5萬
0.00%-2,582.5萬
0.00%-2,582.51萬
0.00%-2,582.51萬
0.00%-2,582.5萬
0.00%-2,582.5萬
0.00%-2,582.5萬
股東權益
33.73%1.14億
33.73%1.14億
34.91%1.08億
43.97%1.05億
51.15%9,956.6萬
34.50%8,545.98萬
34.50%8,545.98萬
32.29%8,013.5萬
23.81%7,325.7萬
16.41%6,587.3萬
非控制性權益
17,495.13%474.35萬
17,495.13%474.35萬
17,780.77%459.7萬
10,132.00%250.8萬
7,003.57%193.3萬
-2.22%-2.73萬
-2.22%-2.73萬
-8.33%-2.6萬
-47.06%-2.5萬
44.00%-2.8萬
總權益
39.32%1.19億
39.32%1.19億
40.70%1.13億
47.44%1.08億
54.15%1.01億
34.52%8,543.25萬
34.52%8,543.25萬
32.30%8,010.9萬
23.80%7,323.2萬
16.47%6,584.5萬
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)2024/08/31(Q4)2024/08/31(Q3)2024/05/31(Q2)2024/02/29(Q1)2023/11/30(FY)2023/08/31(Q4)2023/08/31(Q3)2023/05/31(Q2)2023/02/28(Q1)2022/11/30
資產
流動資產
現金及現金等價物與短期投資 25.39%3,970.63萬25.39%3,970.63萬1.61%2,935.9萬25.24%2,671.7萬7.52%2,861.1萬18.33%3,166.69萬18.33%3,166.69萬33.14%2,889.4萬-4.69%2,133.2萬8.70%2,660.9萬
-現金及現金等價物 25.39%3,970.63萬25.39%3,970.63萬84.53%1,484.9萬38.90%1,321.8萬40.74%1,453.1萬18.33%3,166.69萬18.33%3,166.69萬53.48%804.7萬58.23%951.6萬66.37%1,032.5萬
-其中:現金 17.41%1,612.2萬17.41%1,612.2萬84.53%1,484.9萬38.90%1,321.8萬40.74%1,453.1萬30.68%1,373.11萬30.68%1,373.11萬53.48%804.7萬58.23%951.6萬66.37%1,032.5萬
-其中:現金等價物 31.49%2,358.43萬31.49%2,358.43萬------------10.35%1,793.58萬10.35%1,793.58萬------------
-短期投資 ---------30.40%1,451萬14.24%1,349.9萬-13.53%1,408萬--------26.66%2,084.7萬-27.81%1,181.6萬-10.89%1,628.4萬
應收款項 40.29%3,644.33萬40.29%3,644.33萬49.38%4,205.2萬63.10%4,283.8萬62.86%3,854.7萬26.49%2,597.76萬26.49%2,597.76萬26.64%2,815.1萬22.06%2,626.5萬17.47%2,366.9萬
-應收賬款淨額 17.94%3,063.9萬17.94%3,063.9萬54.69%3,648.1萬31.05%2,890.1萬54.04%3,093.6萬26.64%2,597.76萬26.64%2,597.76萬22.75%2,358.4萬18.44%2,205.3萬27.36%2,008.3萬
-其中:應收賬款 24.76%3,249.32萬24.76%3,249.32萬------------26.97%2,604.39萬26.97%2,604.39萬------------
-其中:壞賬準備 -2,700.66%-185.41萬-2,700.66%-185.41萬---------------6.62萬---6.62萬------------
-其他應收款 --580.42萬--580.42萬21.98%557.1萬230.89%1,393.7萬112.24%761.1萬--------51.38%456.7萬45.29%421.2萬-18.13%358.6萬
存貨 40.90%1,729.52萬40.90%1,729.52萬77.18%2,039.7萬68.40%2,226.2萬18.65%1,865.1萬-16.47%1,227.5萬-16.47%1,227.5萬-21.37%1,151.2萬-5.58%1,322萬76.19%1,572萬
預付費用 -61.60%152.88萬-61.60%152.88萬------------58.92%398.17萬58.92%398.17萬------------
稅項資產 --4,200--4,200------1.3萬--33.8萬--0--0------------
流動資產合計 28.52%9,497.78萬28.52%9,497.78萬33.91%9,180.8萬50.99%9,183萬30.53%8,614.7萬14.58%7,390.12萬14.58%7,390.12萬17.05%6,855.7萬5.04%6,081.7萬23.24%6,599.8萬
非流動資產
物業廠房及設備淨額 74.87%3,720.28萬74.87%3,720.28萬48.73%2,989.9萬41.67%2,836.2萬189.06%2,824.4萬118.31%2,127.46萬118.31%2,127.46萬112.69%2,010.3萬111.52%2,002萬3.03%977.1萬
-物業、廠房及設備 85.15%4,842.66萬85.15%4,842.66萬------------87.27%2,615.57萬87.27%2,615.57萬------------
-累計折舊 -129.94%-1,122.38萬-129.94%-1,122.38萬-------------15.62%-488.12萬-15.62%-488.12萬------------
投資物業 -10.00%27萬-10.00%27萬327.33%128.2萬329.33%128.8萬331.33%129.4萬0.00%30萬0.00%30萬0.00%30萬0.00%30萬0.00%30萬
投資總額 --0--0--------------0--0------------
-長期股權投資 --0--0--------------0--0------------
商譽及其他無形資產 --1,569.45萬--1,569.45萬--1,646.4萬--1,428萬--1,428萬--0--0------------
-商譽 --1,006.88萬--1,006.88萬--1,016.1萬--1,428萬--1,428萬--0--0------------
-其他無形資產 --562.58萬--562.58萬--630.3萬----------------------------
非流動資產合計 146.44%5,316.73萬146.44%5,316.73萬133.52%4,764.5萬116.19%4,393萬335.09%4,381.8萬114.77%2,157.46萬114.77%2,157.46萬109.22%2,040.3萬108.09%2,032萬2.93%1,007.1萬
總資產 55.17%1.48億55.17%1.48億56.76%1.39億67.32%1.36億70.85%1.3億28.08%9,547.58萬28.08%9,547.58萬30.20%8,896萬19.91%8,113.7萬20.11%7,606.9萬
負債
流動負債
金融負債 3,644.47%728.74萬3,644.47%728.74萬2,247.09%523.4萬2,167.92%544.3萬2,388.33%639.5萬-28.52%19.46萬-28.52%19.46萬-6.30%22.3萬-4.38%24萬-6.55%25.7萬
-短期借款及資本租賃負債 3,644.47%728.74萬3,644.47%728.74萬2,247.09%523.4萬2,167.92%544.3萬2,388.33%639.5萬-28.52%19.46萬-28.52%19.46萬-6.30%22.3萬-4.38%24萬-6.55%25.7萬
-其中:短期借款 8,350.83%676.95萬8,350.83%676.95萬4,166.36%469.3萬3,829.46%506.9萬4,198.59%610.4萬-48.12%8.01萬-48.12%8.01萬-32.93%11萬-29.12%12.9萬-30.39%14.2萬
-其中:資本租賃負債 352.27%51.79萬352.27%51.79萬378.76%54.1萬236.94%37.4萬153.04%29.1萬-2.84%11.45萬-2.84%11.45萬52.70%11.3萬60.87%11.1萬61.97%11.5萬
應付款項 38.86%821.47萬38.86%821.47萬108.49%1,416.5萬176.96%1,629.1萬90.93%1,620萬-21.47%591.6萬-21.47%591.6萬11.87%679.4萬-12.95%588.2萬83.02%848.5萬
-應付帳款 100.52%721.85萬100.52%721.85萬316.56%1,338萬388.62%1,048.1萬65.83%943.4萬-40.48%360萬-40.48%360萬-7.73%321.2萬-49.91%214.5萬96.10%568.9萬
-應交稅費 -82.52%23.4萬-82.52%23.4萬-40.03%78.5萬10.71%170.6萬70.86%164.2萬46.06%133.87萬46.06%133.87萬38.37%130.9萬65.52%154.1萬84.81%96.1萬
-其他應付款 -22.02%76.22萬-22.02%76.22萬----86.89%410.4萬179.24%512.4萬71.90%97.73萬71.90%97.73萬38.09%227.3萬42.23%219.6萬51.03%183.5萬
應計及遞延所得 241.10%661.3萬241.10%661.3萬--101萬--129萬--124.6萬14.88%193.87萬14.88%193.87萬------------
流動負債合計 174.75%2,211.51萬174.75%2,211.51萬190.85%2,040.9萬276.09%2,302.4萬172.72%2,384.1萬-15.21%804.93萬-15.21%804.93萬11.19%701.7萬-12.64%612.2萬67.02%874.2萬
非流動負債
非流動金融負債 1,033.07%186.3萬1,033.07%186.3萬1,519.83%196萬1,333.83%190.7萬837.77%176.3萬-32.90%16.44萬-32.90%16.44萬-32.40%12.1萬-38.14%13.3萬-31.64%18.8萬
-長期借款及資本租賃 1,033.07%186.3萬1,033.07%186.3萬1,519.83%196萬1,333.83%190.7萬837.77%176.3萬-32.90%16.44萬-32.90%16.44萬-32.40%12.1萬-38.14%13.3萬-31.64%18.8萬
-其中:長期借款 --104.68萬--104.68萬--110.4萬6,005.26%116萬2,355.10%120.3萬--0--0--0-87.07%1.9萬-74.35%4.9萬
-其中:長期資本租賃負債 396.39%81.62萬396.39%81.62萬607.44%85.6萬555.26%74.7萬302.88%56萬-0.57%16.44萬-0.57%16.44萬83.33%12.1萬67.65%11.4萬65.48%13.9萬
非流動遞延所得稅負債 181.08%514.23萬181.08%514.23萬155.28%437.3萬73.09%285.6萬121.17%286.2萬41.40%182.95萬41.40%182.95萬33.31%171.3萬27.91%165萬0.23%129.4萬
非流動負債合計 251.33%700.52萬251.33%700.52萬245.31%633.3萬167.13%476.3萬212.08%462.5萬29.57%199.39萬29.57%199.39萬25.27%183.4萬18.47%178.3萬-5.36%148.2萬
負債總額 189.95%2,912.04萬189.95%2,912.04萬202.14%2,674.2萬251.51%2,778.7萬178.42%2,846.6萬-8.96%1,004.32萬-8.96%1,004.32萬13.84%885.1萬-7.14%790.5萬50.35%1,022.4萬
所有者權益
股本 28.65%6,512.64萬28.65%6,512.64萬30.53%6,443.1萬37.54%6,325.5萬40.15%6,072.5萬16.83%5,062.39萬16.83%5,062.39萬13.92%4,936.1萬6.14%4,599萬0.00%4,333萬
-普通股 28.65%6,512.64萬28.65%6,512.64萬30.53%6,443.1萬37.54%6,325.5萬40.15%6,072.5萬16.83%5,062.39萬16.83%5,062.39萬13.92%4,936.1萬6.14%4,599萬0.00%4,333萬
留存收益 20.16%6,585.76萬20.16%6,585.76萬26.41%6,412萬32.68%6,262.7萬34.55%5,923.8萬31.50%5,480.68萬31.50%5,480.68萬31.07%5,072.4萬26.61%4,720.2萬26.94%4,402.7萬
固定資產重估價值準備 55.83%912.24萬55.83%912.24萬-8.29%538.8萬-8.18%540.8萬25.04%542.8萬34.42%585.42萬34.42%585.42萬34.47%587.5萬34.38%589萬-1.27%434.1萬
其他儲備 0.00%-2,582.51萬0.00%-2,582.51萬0.00%-2,582.5萬0.00%-2,582.5萬0.00%-2,582.5萬0.00%-2,582.51萬0.00%-2,582.51萬0.00%-2,582.5萬0.00%-2,582.5萬0.00%-2,582.5萬
股東權益 33.73%1.14億33.73%1.14億34.91%1.08億43.97%1.05億51.15%9,956.6萬34.50%8,545.98萬34.50%8,545.98萬32.29%8,013.5萬23.81%7,325.7萬16.41%6,587.3萬
非控制性權益 17,495.13%474.35萬17,495.13%474.35萬17,780.77%459.7萬10,132.00%250.8萬7,003.57%193.3萬-2.22%-2.73萬-2.22%-2.73萬-8.33%-2.6萬-47.06%-2.5萬44.00%-2.8萬
總權益 39.32%1.19億39.32%1.19億40.70%1.13億47.44%1.08億54.15%1.01億34.52%8,543.25萬34.52%8,543.25萬32.30%8,010.9萬23.80%7,323.2萬16.47%6,584.5萬
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。

马来股市場投資機會
2024年馬來西亞股票漲幅排行榜 2024年馬來西亞股票漲幅排行榜

馬來西亞股票市場中,2024年股價漲幅Top10的企業 馬來西亞股票市場中,2024年股價漲幅Top10的企業