馬來西亞市場個股詳情

03019 MPSOL

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延時15分鐘行情已收盤 08/28 11:04 (北京)
2228.51萬總市值25.00市盈率TTM

MPSOL關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2024/06/30
(FY)2023/12/31
(Q4)2023/12/31
(Q2)2023/06/30
(FY)2022/12/31
(Q4)2022/12/31
(Q2)2022/06/30
(FY)2021/12/31
(Q4)2021/12/31
(Q2)2021/06/30
資產
流動資產
現金及現金等價物與短期投資
54.05%262.87萬
-8.70%208.55萬
-8.70%208.55萬
-19.74%170.64萬
49.29%228.43萬
49.29%228.43萬
28.78%212.6萬
-33.61%153.01萬
-33.61%153.01萬
29.69%165.09萬
-現金及現金等價物
66.86%148.68萬
-26.75%125.6萬
-26.75%125.6萬
26.95%89.11萬
376.46%171.47萬
376.46%171.47萬
134.94%70.19萬
-41.44%35.99萬
-41.44%35.99萬
-74.70%29.88萬
-其中:現金
66.86%148.68萬
-26.75%125.6萬
-26.75%125.6萬
26.95%89.11萬
376.46%171.47萬
376.46%171.47萬
134.94%70.19萬
-41.44%35.99萬
-41.44%35.99萬
-74.70%29.88萬
-短期投資
40.05%114.19萬
45.62%82.95萬
45.62%82.95萬
-42.75%81.54萬
-51.33%56.96萬
-51.33%56.96萬
5.32%142.41萬
-30.76%117.02萬
-30.76%117.02萬
1,368.23%135.21萬
應收款項
14.88%474.99萬
94.39%313.51萬
94.39%313.51萬
26.32%413.48萬
12.94%161.27萬
12.94%161.27萬
13.00%327.33萬
-1.97%142.79萬
-1.97%142.79萬
-32.54%289.68萬
-應收賬款淨額
406.15%474.99萬
98.89%58.38萬
98.89%58.38萬
207.81%93.84萬
-7.04%29.35萬
-7.04%29.35萬
-4.65%30.49萬
25.29%31.57萬
25.29%31.57萬
-62.71%31.97萬
-其中:應收賬款
----
81.59%58.38萬
81.59%58.38萬
----
-7.55%32.15萬
-7.55%32.15萬
----
22.82%34.77萬
22.82%34.77萬
----
-其中:壞賬準備
----
--0
--0
----
12.61%-2.8萬
12.61%-2.8萬
----
-2.82%-3.2萬
-2.82%-3.2萬
----
-其他應收款
----
93.39%255.13萬
93.39%255.13萬
7.68%319.64萬
18.61%131.92萬
18.61%131.92萬
15.19%296.85萬
-7.67%111.22萬
-7.67%111.22萬
-25.01%257.71萬
預付費用
----
-13.70%125萬
-13.70%125萬
----
-3.67%144.83萬
-3.67%144.83萬
----
1.86%150.35萬
1.86%150.35萬
----
受限制現金
----
----
----
----
----
----
----
--0
--0
----
稅項資產
----
--0
--0
----
-7.63%35.69萬
-7.63%35.69萬
--0
79.42%38.63萬
79.42%38.63萬
--48.26萬
其他流動資產
--1
----
----
----
----
----
----
----
----
--7.78萬
流動資產合計
26.32%737.86萬
13.47%647.05萬
13.47%647.05萬
8.18%584.12萬
17.62%570.23萬
17.62%570.23萬
5.70%539.93萬
-11.09%484.79萬
-11.09%484.79萬
-8.24%510.81萬
非流動資產
物業廠房及設備淨額
35.30%1,377.39萬
28.16%1,564.09萬
28.16%1,564.09萬
-21.69%1,018.02萬
-15.74%1,220.41萬
-15.74%1,220.41萬
7.20%1,299.96萬
-1.26%1,448.31萬
-1.26%1,448.31萬
-32.01%1,212.64萬
-物業、廠房及設備
35.30%1,377.39萬
11.72%3,506.96萬
11.72%3,506.96萬
-21.69%1,018.02萬
-0.15%3,139.14萬
-0.15%3,139.14萬
7.20%1,299.96萬
2.34%3,143.97萬
2.34%3,143.97萬
-32.01%1,212.64萬
-累計折舊
----
-1.26%-1,942.86萬
-1.26%-1,942.86萬
----
-13.15%-1,918.72萬
-13.15%-1,918.72萬
----
-5.62%-1,695.67萬
-5.62%-1,695.67萬
----
投資總額
-86.29%22.56萬
-15.02%139.77萬
-15.02%139.77萬
-23.60%164.48萬
-20.95%164.48萬
-20.95%164.48萬
-23.46%215.29萬
-10.04%208.07萬
-10.04%208.07萬
--281.29萬
-長期股權投資
-72.28%9.56萬
-71.66%9.77萬
-71.66%9.77萬
-83.98%34.48萬
-55.84%34.48萬
-55.84%34.48萬
-23.46%215.29萬
-66.24%78.07萬
-66.24%78.07萬
--281.29萬
-金融資產投資
----
0.00%130萬
0.00%130萬
----
0.00%130萬
0.00%130萬
----
--130萬
--130萬
----
-其中:以公允價值計量且其變動計入當期損益的金融資產總額
----
0.00%130萬
0.00%130萬
----
0.00%130萬
0.00%130萬
----
--130萬
--130萬
----
-其他投資
-90.00%13萬
----
----
--130萬
----
----
----
----
----
----
商譽及其他無形資產
----
--0
--0
----
--0
--0
----
----
----
----
-商譽
----
--0
--0
----
--0
--0
----
----
----
----
其他非流動資產
--117萬
----
----
----
----
----
----
----
----
----
非流動資產合計
28.28%1,516.95萬
23.03%1,703.87萬
23.03%1,703.87萬
-21.96%1,182.5萬
-16.39%1,384.89萬
-16.39%1,384.89萬
1.43%1,515.24萬
-2.46%1,656.38萬
-2.46%1,656.38萬
-16.24%1,493.93萬
總資產
27.63%2,254.81萬
20.24%2,350.92萬
20.24%2,350.92萬
-14.04%1,766.63萬
-8.69%1,955.12萬
-8.69%1,955.12萬
2.52%2,055.18萬
-4.56%2,141.17萬
-4.56%2,141.17萬
-14.34%2,004.74萬
負債
流動負債
金融負債
128.32%422.01萬
44.76%469.44萬
44.76%469.44萬
-28.79%184.83萬
-43.38%324.3萬
-43.38%324.3萬
-8.23%259.57萬
9.21%572.74萬
9.21%572.74萬
-40.23%282.85萬
-短期借款及資本租賃負債
128.32%422.01萬
44.76%469.44萬
44.76%469.44萬
-28.79%184.83萬
-43.38%324.3萬
-43.38%324.3萬
-8.23%259.57萬
9.21%572.74萬
9.21%572.74萬
-40.23%282.85萬
-其中:短期借款
3.41%50.26萬
-17.09%60.68萬
-17.09%60.68萬
25.18%48.6萬
-19.92%73.19萬
-19.92%73.19萬
-2.02%38.82萬
27.73%91.4萬
27.73%91.4萬
100.98%39.62萬
-其中:資本租賃負債
172.89%371.75萬
62.78%408.76萬
62.78%408.76萬
-38.29%136.23萬
-47.83%251.11萬
-47.83%251.11萬
-9.24%220.75萬
6.29%481.34萬
6.29%481.34萬
-46.37%243.22萬
應付款項
24.38%514.65萬
85.08%330.11萬
85.08%330.11萬
51.12%413.78萬
78.78%178.36萬
78.78%178.36萬
-22.28%273.82萬
10.20%99.77萬
10.20%99.77萬
104.04%352.3萬
-應付帳款
11.30%444.7萬
117.31%75.48萬
117.31%75.48萬
45.92%399.56萬
45.83%34.74萬
45.83%34.74萬
-19.07%273.82萬
29.32%23.82萬
29.32%23.82萬
--338.33萬
-應交稅費
391.63%69.95萬
--16.88萬
--16.88萬
--14.23萬
----
----
--0
----
----
379.26%13.97萬
-其他應付款
----
65.53%237.74萬
65.53%237.74萬
----
89.11%143.63萬
89.11%143.63萬
----
5.31%75.95萬
5.31%75.95萬
----
應計及遞延所得
----
100.58%144.64萬
100.58%144.64萬
----
13.03%72.11萬
13.03%72.11萬
----
-60.78%63.8萬
-60.78%63.8萬
----
流動負債合計
56.47%936.66萬
64.27%944.19萬
64.27%944.19萬
12.23%598.62萬
-21.94%574.77萬
-21.94%574.77萬
-16.02%533.39萬
-5.31%736.3萬
-5.31%736.3萬
-1.66%635.15萬
非流動負債
非流動金融負債
4.35%418.61萬
-8.82%563.7萬
-8.82%563.7萬
-41.15%401.15萬
10.97%618.21萬
10.97%618.21萬
2.55%681.66萬
-25.74%557.09萬
-25.74%557.09萬
-37.65%664.7萬
-長期借款及資本租賃
4.35%418.61萬
-8.82%563.7萬
-8.82%563.7萬
-41.15%401.15萬
10.97%618.21萬
10.97%618.21萬
2.55%681.66萬
-25.74%557.09萬
-25.74%557.09萬
-37.65%664.7萬
-其中:長期借款
-16.15%166.91萬
-22.52%163.03萬
-22.52%163.03萬
-24.94%199.05萬
-12.28%210.43萬
-12.28%210.43萬
-8.44%265.19萬
-14.92%239.88萬
-14.92%239.88萬
79.83%289.64萬
-其中:長期資本租賃負債
24.54%251.7萬
-1.74%400.67萬
-1.74%400.67萬
-51.47%202.1萬
28.55%407.78萬
28.55%407.78萬
11.04%416.47萬
-32.25%317.21萬
-32.25%317.21萬
-58.56%375.06萬
非流動遞延所得稅負債
136.35%36.54萬
6.89%50.39萬
6.89%50.39萬
-76.86%15.46萬
1.33%47.15萬
1.33%47.15萬
43.61%66.82萬
0.00%46.53萬
0.00%46.53萬
-4.21%46.53萬
其他非流動負債
---1
----
----
----
----
----
--1
----
----
----
非流動負債合計
9.25%455.15萬
-7.70%614.1萬
-7.70%614.1萬
-44.34%416.61萬
10.23%665.35萬
10.23%665.35萬
5.24%748.48萬
-24.23%603.62萬
-24.23%603.62萬
-36.20%711.23萬
負債總額
37.09%1,391.81萬
25.66%1,558.28萬
25.66%1,558.28萬
-20.80%1,015.22萬
-7.45%1,240.12萬
-7.45%1,240.12萬
-4.79%1,281.86萬
-14.89%1,339.92萬
-14.89%1,339.92萬
-23.53%1,346.38萬
所有者權益
股本
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
65.27%925.7萬
-普通股
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
0.00%925.7萬
65.27%925.7萬
留存收益
75.35%-35.37萬
55.14%-81.4萬
55.14%-81.4萬
-33.88%-143.51萬
-97.88%-181.46萬
-97.88%-181.46萬
51.75%-107.2萬
56.63%-91.7萬
56.63%-91.7萬
-562.44%-222.15萬
固定資產重估價值準備
--140.19萬
----
----
----
1.37%145.07萬
1.37%145.07萬
----
9.53%143.12萬
9.53%143.12萬
----
其他儲備
-471.20%-175.86萬
65.99%-59.81萬
65.99%-59.81萬
31.87%-30.79萬
0.00%-175.86萬
0.00%-175.86萬
0.00%-45.19萬
0.00%-175.86萬
0.00%-175.86萬
74.30%-45.19萬
股東權益
13.74%854.65萬
9.96%784.49萬
9.96%784.49萬
-2.83%751.4萬
-10.96%713.45萬
-10.96%713.45萬
17.46%773.31萬
19.75%801.25萬
19.75%801.25萬
13.58%658.36萬
非控制性權益
--8.35萬
424.67%8.14萬
424.67%8.14萬
----
--1.55萬
--1.55萬
----
----
----
----
總權益
14.85%863萬
10.86%792.63萬
10.86%792.63萬
-2.83%751.4萬
-10.76%715萬
-10.76%715萬
17.46%773.31萬
19.75%801.25萬
19.75%801.25萬
13.58%658.36萬
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)2024/06/30(FY)2023/12/31(Q4)2023/12/31(Q2)2023/06/30(FY)2022/12/31(Q4)2022/12/31(Q2)2022/06/30(FY)2021/12/31(Q4)2021/12/31(Q2)2021/06/30
資產
流動資產
現金及現金等價物與短期投資 54.05%262.87萬-8.70%208.55萬-8.70%208.55萬-19.74%170.64萬49.29%228.43萬49.29%228.43萬28.78%212.6萬-33.61%153.01萬-33.61%153.01萬29.69%165.09萬
-現金及現金等價物 66.86%148.68萬-26.75%125.6萬-26.75%125.6萬26.95%89.11萬376.46%171.47萬376.46%171.47萬134.94%70.19萬-41.44%35.99萬-41.44%35.99萬-74.70%29.88萬
-其中:現金 66.86%148.68萬-26.75%125.6萬-26.75%125.6萬26.95%89.11萬376.46%171.47萬376.46%171.47萬134.94%70.19萬-41.44%35.99萬-41.44%35.99萬-74.70%29.88萬
-短期投資 40.05%114.19萬45.62%82.95萬45.62%82.95萬-42.75%81.54萬-51.33%56.96萬-51.33%56.96萬5.32%142.41萬-30.76%117.02萬-30.76%117.02萬1,368.23%135.21萬
應收款項 14.88%474.99萬94.39%313.51萬94.39%313.51萬26.32%413.48萬12.94%161.27萬12.94%161.27萬13.00%327.33萬-1.97%142.79萬-1.97%142.79萬-32.54%289.68萬
-應收賬款淨額 406.15%474.99萬98.89%58.38萬98.89%58.38萬207.81%93.84萬-7.04%29.35萬-7.04%29.35萬-4.65%30.49萬25.29%31.57萬25.29%31.57萬-62.71%31.97萬
-其中:應收賬款 ----81.59%58.38萬81.59%58.38萬-----7.55%32.15萬-7.55%32.15萬----22.82%34.77萬22.82%34.77萬----
-其中:壞賬準備 ------0--0----12.61%-2.8萬12.61%-2.8萬-----2.82%-3.2萬-2.82%-3.2萬----
-其他應收款 ----93.39%255.13萬93.39%255.13萬7.68%319.64萬18.61%131.92萬18.61%131.92萬15.19%296.85萬-7.67%111.22萬-7.67%111.22萬-25.01%257.71萬
預付費用 -----13.70%125萬-13.70%125萬-----3.67%144.83萬-3.67%144.83萬----1.86%150.35萬1.86%150.35萬----
受限制現金 ------------------------------0--0----
稅項資產 ------0--0-----7.63%35.69萬-7.63%35.69萬--079.42%38.63萬79.42%38.63萬--48.26萬
其他流動資產 --1----------------------------------7.78萬
流動資產合計 26.32%737.86萬13.47%647.05萬13.47%647.05萬8.18%584.12萬17.62%570.23萬17.62%570.23萬5.70%539.93萬-11.09%484.79萬-11.09%484.79萬-8.24%510.81萬
非流動資產
物業廠房及設備淨額 35.30%1,377.39萬28.16%1,564.09萬28.16%1,564.09萬-21.69%1,018.02萬-15.74%1,220.41萬-15.74%1,220.41萬7.20%1,299.96萬-1.26%1,448.31萬-1.26%1,448.31萬-32.01%1,212.64萬
-物業、廠房及設備 35.30%1,377.39萬11.72%3,506.96萬11.72%3,506.96萬-21.69%1,018.02萬-0.15%3,139.14萬-0.15%3,139.14萬7.20%1,299.96萬2.34%3,143.97萬2.34%3,143.97萬-32.01%1,212.64萬
-累計折舊 -----1.26%-1,942.86萬-1.26%-1,942.86萬-----13.15%-1,918.72萬-13.15%-1,918.72萬-----5.62%-1,695.67萬-5.62%-1,695.67萬----
投資總額 -86.29%22.56萬-15.02%139.77萬-15.02%139.77萬-23.60%164.48萬-20.95%164.48萬-20.95%164.48萬-23.46%215.29萬-10.04%208.07萬-10.04%208.07萬--281.29萬
-長期股權投資 -72.28%9.56萬-71.66%9.77萬-71.66%9.77萬-83.98%34.48萬-55.84%34.48萬-55.84%34.48萬-23.46%215.29萬-66.24%78.07萬-66.24%78.07萬--281.29萬
-金融資產投資 ----0.00%130萬0.00%130萬----0.00%130萬0.00%130萬------130萬--130萬----
-其中:以公允價值計量且其變動計入當期損益的金融資產總額 ----0.00%130萬0.00%130萬----0.00%130萬0.00%130萬------130萬--130萬----
-其他投資 -90.00%13萬----------130萬------------------------
商譽及其他無形資產 ------0--0------0--0----------------
-商譽 ------0--0------0--0----------------
其他非流動資產 --117萬------------------------------------
非流動資產合計 28.28%1,516.95萬23.03%1,703.87萬23.03%1,703.87萬-21.96%1,182.5萬-16.39%1,384.89萬-16.39%1,384.89萬1.43%1,515.24萬-2.46%1,656.38萬-2.46%1,656.38萬-16.24%1,493.93萬
總資產 27.63%2,254.81萬20.24%2,350.92萬20.24%2,350.92萬-14.04%1,766.63萬-8.69%1,955.12萬-8.69%1,955.12萬2.52%2,055.18萬-4.56%2,141.17萬-4.56%2,141.17萬-14.34%2,004.74萬
負債
流動負債
金融負債 128.32%422.01萬44.76%469.44萬44.76%469.44萬-28.79%184.83萬-43.38%324.3萬-43.38%324.3萬-8.23%259.57萬9.21%572.74萬9.21%572.74萬-40.23%282.85萬
-短期借款及資本租賃負債 128.32%422.01萬44.76%469.44萬44.76%469.44萬-28.79%184.83萬-43.38%324.3萬-43.38%324.3萬-8.23%259.57萬9.21%572.74萬9.21%572.74萬-40.23%282.85萬
-其中:短期借款 3.41%50.26萬-17.09%60.68萬-17.09%60.68萬25.18%48.6萬-19.92%73.19萬-19.92%73.19萬-2.02%38.82萬27.73%91.4萬27.73%91.4萬100.98%39.62萬
-其中:資本租賃負債 172.89%371.75萬62.78%408.76萬62.78%408.76萬-38.29%136.23萬-47.83%251.11萬-47.83%251.11萬-9.24%220.75萬6.29%481.34萬6.29%481.34萬-46.37%243.22萬
應付款項 24.38%514.65萬85.08%330.11萬85.08%330.11萬51.12%413.78萬78.78%178.36萬78.78%178.36萬-22.28%273.82萬10.20%99.77萬10.20%99.77萬104.04%352.3萬
-應付帳款 11.30%444.7萬117.31%75.48萬117.31%75.48萬45.92%399.56萬45.83%34.74萬45.83%34.74萬-19.07%273.82萬29.32%23.82萬29.32%23.82萬--338.33萬
-應交稅費 391.63%69.95萬--16.88萬--16.88萬--14.23萬----------0--------379.26%13.97萬
-其他應付款 ----65.53%237.74萬65.53%237.74萬----89.11%143.63萬89.11%143.63萬----5.31%75.95萬5.31%75.95萬----
應計及遞延所得 ----100.58%144.64萬100.58%144.64萬----13.03%72.11萬13.03%72.11萬-----60.78%63.8萬-60.78%63.8萬----
流動負債合計 56.47%936.66萬64.27%944.19萬64.27%944.19萬12.23%598.62萬-21.94%574.77萬-21.94%574.77萬-16.02%533.39萬-5.31%736.3萬-5.31%736.3萬-1.66%635.15萬
非流動負債
非流動金融負債 4.35%418.61萬-8.82%563.7萬-8.82%563.7萬-41.15%401.15萬10.97%618.21萬10.97%618.21萬2.55%681.66萬-25.74%557.09萬-25.74%557.09萬-37.65%664.7萬
-長期借款及資本租賃 4.35%418.61萬-8.82%563.7萬-8.82%563.7萬-41.15%401.15萬10.97%618.21萬10.97%618.21萬2.55%681.66萬-25.74%557.09萬-25.74%557.09萬-37.65%664.7萬
-其中:長期借款 -16.15%166.91萬-22.52%163.03萬-22.52%163.03萬-24.94%199.05萬-12.28%210.43萬-12.28%210.43萬-8.44%265.19萬-14.92%239.88萬-14.92%239.88萬79.83%289.64萬
-其中:長期資本租賃負債 24.54%251.7萬-1.74%400.67萬-1.74%400.67萬-51.47%202.1萬28.55%407.78萬28.55%407.78萬11.04%416.47萬-32.25%317.21萬-32.25%317.21萬-58.56%375.06萬
非流動遞延所得稅負債 136.35%36.54萬6.89%50.39萬6.89%50.39萬-76.86%15.46萬1.33%47.15萬1.33%47.15萬43.61%66.82萬0.00%46.53萬0.00%46.53萬-4.21%46.53萬
其他非流動負債 ---1----------------------1------------
非流動負債合計 9.25%455.15萬-7.70%614.1萬-7.70%614.1萬-44.34%416.61萬10.23%665.35萬10.23%665.35萬5.24%748.48萬-24.23%603.62萬-24.23%603.62萬-36.20%711.23萬
負債總額 37.09%1,391.81萬25.66%1,558.28萬25.66%1,558.28萬-20.80%1,015.22萬-7.45%1,240.12萬-7.45%1,240.12萬-4.79%1,281.86萬-14.89%1,339.92萬-14.89%1,339.92萬-23.53%1,346.38萬
所有者權益
股本 0.00%925.7萬0.00%925.7萬0.00%925.7萬0.00%925.7萬0.00%925.7萬0.00%925.7萬0.00%925.7萬0.00%925.7萬0.00%925.7萬65.27%925.7萬
-普通股 0.00%925.7萬0.00%925.7萬0.00%925.7萬0.00%925.7萬0.00%925.7萬0.00%925.7萬0.00%925.7萬0.00%925.7萬0.00%925.7萬65.27%925.7萬
留存收益 75.35%-35.37萬55.14%-81.4萬55.14%-81.4萬-33.88%-143.51萬-97.88%-181.46萬-97.88%-181.46萬51.75%-107.2萬56.63%-91.7萬56.63%-91.7萬-562.44%-222.15萬
固定資產重估價值準備 --140.19萬------------1.37%145.07萬1.37%145.07萬----9.53%143.12萬9.53%143.12萬----
其他儲備 -471.20%-175.86萬65.99%-59.81萬65.99%-59.81萬31.87%-30.79萬0.00%-175.86萬0.00%-175.86萬0.00%-45.19萬0.00%-175.86萬0.00%-175.86萬74.30%-45.19萬
股東權益 13.74%854.65萬9.96%784.49萬9.96%784.49萬-2.83%751.4萬-10.96%713.45萬-10.96%713.45萬17.46%773.31萬19.75%801.25萬19.75%801.25萬13.58%658.36萬
非控制性權益 --8.35萬424.67%8.14萬424.67%8.14萬------1.55萬--1.55萬----------------
總權益 14.85%863萬10.86%792.63萬10.86%792.63萬-2.83%751.4萬-10.76%715萬-10.76%715萬17.46%773.31萬19.75%801.25萬19.75%801.25萬13.58%658.36萬
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。

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