馬來西亞市場個股詳情

7216 KAWAN

添加自選
  • 1.770
  • -0.010-0.56%
延時15分鐘行情休市中 07/12 16:19 (北京)
6.15億總市值20.34市盈率TTM

KAWAN關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
資產
流動資產
現金及現金等價物與短期投資
27.04%1.27億
12.00%1.14億
12.00%1.14億
50.61%1.26億
44.74%1.22億
20.92%1億
10.80%1.01億
10.80%1.01億
-8.06%8,353.8萬
2.77%8,435.1萬
-現金及現金等價物
20.86%1.18億
5.80%1.04億
5.80%1.04億
46.43%1.16億
40.47%1.12億
23.02%9,735.5萬
11.27%9,858.17萬
11.27%9,858.17萬
169.26%7,943.1萬
101.84%7,997.4萬
-其中:現金
----
43.44%6,328.69萬
43.44%6,328.69萬
----
----
----
71.71%4,412.14萬
71.71%4,412.14萬
----
----
-其中:現金等價物
----
-24.69%4,101.48萬
-24.69%4,101.48萬
----
----
----
-13.43%5,446.03萬
-13.43%5,446.03萬
----
----
-短期投資
242.72%956.2萬
230.12%924.02萬
230.12%924.02萬
131.60%951.2萬
122.73%974.9萬
-24.25%279萬
-3.29%279.9萬
-3.29%279.9萬
-93.31%410.7萬
-89.69%437.7萬
應收款項
14.72%8,624.1萬
8.46%7,868.21萬
8.46%7,868.21萬
-21.78%6,595.4萬
-25.04%5,796.5萬
20.10%7,517.7萬
29.66%7,254.72萬
29.66%7,254.72萬
61.58%8,431.6萬
80.88%7,733萬
-應收賬款淨額
14.72%8,624.1萬
14.10%7,570.72萬
14.10%7,570.72萬
-21.78%6,595.4萬
-25.04%5,796.5萬
20.10%7,517.7萬
19.60%6,635.44萬
19.60%6,635.44萬
61.58%8,431.6萬
80.88%7,733萬
-其中:應收賬款
----
13.91%7,736.89萬
13.91%7,736.89萬
----
----
----
21.17%6,792.33萬
21.17%6,792.33萬
----
----
-其中:壞賬準備
----
-5.91%-166.17萬
-5.91%-166.17萬
----
----
----
-171.56%-156.89萬
-171.56%-156.89萬
----
----
-其他應收款
----
-51.96%297.48萬
-51.96%297.48萬
----
----
----
1,213.39%619.28萬
1,213.39%619.28萬
----
----
存貨
-16.67%3,190.6萬
-13.33%3,642.96萬
-13.33%3,642.96萬
2.77%3,961.3萬
15.42%4,273.9萬
8.69%3,828.7萬
28.42%4,203.38萬
28.42%4,203.38萬
42.10%3,854.4萬
41.24%3,702.9萬
預付費用
117.03%976.2萬
71.83%534.53萬
71.83%534.53萬
-42.43%533.6萬
-34.67%572.3萬
-30.78%449.8萬
-28.84%311.08萬
-28.84%311.08萬
139.11%926.8萬
245.97%876萬
稅項資產
-74.99%97.8萬
-27.19%310.61萬
-27.19%310.61萬
-61.08%253.9萬
-57.91%261.4萬
-22.44%391萬
9.46%426.63萬
9.46%426.63萬
233.49%652.3萬
262.58%621.1萬
流動資產合計
15.36%2.56億
6.16%2.37億
6.16%2.37億
7.68%2.39億
8.17%2.31億
15.53%2.22億
18.52%2.23億
18.52%2.23億
26.24%2.22億
37.60%2.14億
非流動資產
物業廠房及設備淨額
-6.90%2.08億
-6.50%2.1億
-6.50%2.1億
-4.91%2.16億
-4.53%2.2億
-4.49%2.24億
-4.59%2.25億
-4.59%2.25億
-5.62%2.27億
-5.63%2.3億
-物業、廠房及設備
-6.90%2.08億
1.54%3.49億
1.54%3.49億
-4.91%2.16億
-4.53%2.2億
-4.49%2.24億
2.41%3.43億
2.41%3.43億
-5.62%2.27億
-5.63%2.3億
-累計折舊
----
-16.77%-1.39億
-16.77%-1.39億
----
----
----
-18.95%-1.19億
-18.95%-1.19億
----
----
投資物業
--766.6萬
-1.86%770.21萬
-1.86%770.21萬
-1.85%773.8萬
-1.84%777.5萬
----
-1.82%784.79萬
-1.82%784.79萬
-1.85%788.4萬
-1.85%792.1萬
投資總額
-72.14%260萬
51.52%260萬
51.52%260萬
--70萬
--94.3萬
--933.3萬
--171.59萬
--171.59萬
----
----
-長期股權投資
-72.14%260萬
51.52%260萬
51.52%260萬
--70萬
--94.3萬
--933.3萬
--171.59萬
--171.59萬
----
----
商譽及其他無形資產
----
1.33%279.22萬
1.33%279.22萬
----
----
--10萬
7.82%275.55萬
7.82%275.55萬
----
----
-其他無形資產
----
1.33%279.22萬
1.33%279.22萬
----
----
----
7.82%275.55萬
7.82%275.55萬
----
----
非流動遞延所得稅資產
--46.4萬
0.00%46.41萬
0.00%46.41萬
0.00%46.4萬
0.00%46.4萬
--0
0.00%46.41萬
0.00%46.41萬
0.00%46.4萬
0.00%46.4萬
非流動資產合計
-6.06%2.19億
-5.82%2.24億
-5.82%2.24億
-4.50%2.25億
-4.04%2.29億
-3.92%2.33億
-3.67%2.37億
-3.67%2.37億
-5.49%2.36億
-5.71%2.38億
總資產
4.38%4.75億
-0.01%4.61億
-0.01%4.61億
1.41%4.64億
1.73%4.6億
4.67%4.55億
5.94%4.61億
5.94%4.61億
7.64%4.58億
10.77%4.52億
負債
流動負債
金融負債
43.62%654.6萬
-44.36%356萬
-44.36%356萬
-62.13%354.5萬
-54.55%440.7萬
-50.56%455.8萬
-36.05%639.88萬
-36.05%639.88萬
-4.63%936.2萬
-1.22%969.6萬
-短期借款及資本租賃負債
43.62%654.6萬
-44.36%356萬
-44.36%356萬
-62.13%354.5萬
-54.55%440.7萬
-50.56%455.8萬
-36.05%639.88萬
-36.05%639.88萬
-4.63%936.2萬
-1.22%969.6萬
-其中:短期借款
43.62%654.6萬
-44.36%356萬
-44.36%356萬
-62.13%354.5萬
-54.55%440.7萬
-50.56%455.8萬
-36.05%639.88萬
-36.05%639.88萬
-4.63%936.2萬
-1.22%969.6萬
應付款項
10.98%5,206.9萬
26.41%3,490.14萬
26.41%3,490.14萬
-4.83%4,385.8萬
-11.66%4,583.7萬
2.74%4,691.6萬
-4.77%2,760.94萬
-4.77%2,760.94萬
7.95%4,608.2萬
39.34%5,188.6萬
-應付帳款
11.14%5,197.4萬
29.59%2,709.06萬
29.59%2,709.06萬
1.32%4,357.1萬
-7.46%4,583.7萬
3.59%4,676.4萬
-7.49%2,090.53萬
-7.49%2,090.53萬
12.17%4,300.3萬
45.24%4,953.1萬
-應交稅費
-37.50%9.5萬
0.00%19.18萬
0.00%19.18萬
-90.68%28.7萬
--0
-70.88%15.2萬
0.00%19.18萬
0.00%19.18萬
-29.20%307.9萬
-24.83%235.5萬
-其他應付款
----
16.99%761.9萬
16.99%761.9萬
----
----
----
4.97%651.23萬
4.97%651.23萬
----
----
應計及遞延所得
----
-6.43%1,612.38萬
-6.43%1,612.38萬
----
----
----
53.50%1,723.17萬
53.50%1,723.17萬
----
----
流動負債合計
13.87%5,861.5萬
6.53%5,458.52萬
6.53%5,458.52萬
-14.50%4,740.3萬
-18.41%5,024.4萬
-6.21%5,147.4萬
2.02%5,123.99萬
2.02%5,123.99萬
5.60%5,544.4萬
30.88%6,158.2萬
非流動負債
非流動金融負債
----
----
----
----
----
----
----
----
--0
-92.30%30.2萬
-長期借款及資本租賃
----
----
----
----
----
----
----
----
--0
-92.30%30.2萬
-其中:長期借款
----
----
----
----
----
----
----
----
--0
-92.30%30.2萬
非流動遞延所得稅負債
12.36%1,319.5萬
2.39%1,300.57萬
2.39%1,300.57萬
-2.04%1,246.2萬
-8.50%1,285.8萬
-16.85%1,174.3萬
-6.72%1,270.27萬
-6.72%1,270.27萬
42.10%1,272.1萬
56.96%1,405.3萬
非流動負債合計
12.36%1,319.5萬
2.39%1,300.57萬
2.39%1,300.57萬
-2.04%1,246.2萬
-10.43%1,285.8萬
-22.06%1,174.3萬
-19.25%1,270.27萬
-19.25%1,270.27萬
4.71%1,272.1萬
11.48%1,435.5萬
負債總額
13.59%7,181萬
5.71%6,759.09萬
5.71%6,759.09萬
-12.18%5,986.5萬
-16.90%6,310.2萬
-9.63%6,321.7萬
-3.05%6,394.26萬
-3.05%6,394.26萬
5.43%6,816.5萬
26.71%7,593.7萬
所有者權益
股本
0.85%1.86億
0.00%1.85億
0.00%1.85億
2.41%1.85億
3.62%1.85億
3.63%1.85億
2.85%1.85億
2.85%1.85億
0.44%1.81億
-0.74%1.78億
-普通股
0.85%1.86億
0.00%1.85億
0.00%1.85億
2.41%1.85億
3.62%1.85億
3.63%1.85億
2.85%1.85億
2.85%1.85億
0.44%1.81億
-0.74%1.78億
留存收益
15.74%2.31億
8.34%2.22億
8.34%2.22億
8.67%2.13億
10.62%2.06億
14.21%2億
15.72%2.05億
15.72%2.05億
17.83%1.96億
19.52%1.86億
減:庫存股
1,731.00%2,462.7萬
1,702.02%2,424.49萬
1,702.02%2,424.49萬
--134.5萬
--134.5萬
--134.5萬
--134.54萬
--134.54萬
----
----
其他儲備
-5.05%817.1萬
-1.22%814.77萬
-1.22%814.77萬
-36.28%762.5萬
-28.38%768.7萬
-17.41%860.6萬
-24.21%824.83萬
-24.21%824.83萬
-5.82%1,196.6萬
-4.48%1,073.3萬
其他股本權益
--202.5萬
--219.05萬
--219.05萬
-86.04%4.9萬
----
----
----
----
-68.52%35.1萬
-53.90%51.4萬
股東權益
2.90%4.03億
-0.93%3.93億
-0.93%3.93億
3.95%4.05億
5.67%3.97億
7.61%3.92億
7.74%3.97億
7.74%3.97億
8.05%3.89億
8.03%3.76億
非控制性權益
--0
----
----
--0
--0
--0
----
----
-0.80%62萬
1.76%63.7萬
總權益
2.90%4.03億
-0.93%3.93億
-0.93%3.93億
3.79%4.05億
5.49%3.97億
7.41%3.92億
7.55%3.97億
7.55%3.97億
8.03%3.9億
8.02%3.76億
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30
資產
流動資產
現金及現金等價物與短期投資 27.04%1.27億12.00%1.14億12.00%1.14億50.61%1.26億44.74%1.22億20.92%1億10.80%1.01億10.80%1.01億-8.06%8,353.8萬2.77%8,435.1萬
-現金及現金等價物 20.86%1.18億5.80%1.04億5.80%1.04億46.43%1.16億40.47%1.12億23.02%9,735.5萬11.27%9,858.17萬11.27%9,858.17萬169.26%7,943.1萬101.84%7,997.4萬
-其中:現金 ----43.44%6,328.69萬43.44%6,328.69萬------------71.71%4,412.14萬71.71%4,412.14萬--------
-其中:現金等價物 -----24.69%4,101.48萬-24.69%4,101.48萬-------------13.43%5,446.03萬-13.43%5,446.03萬--------
-短期投資 242.72%956.2萬230.12%924.02萬230.12%924.02萬131.60%951.2萬122.73%974.9萬-24.25%279萬-3.29%279.9萬-3.29%279.9萬-93.31%410.7萬-89.69%437.7萬
應收款項 14.72%8,624.1萬8.46%7,868.21萬8.46%7,868.21萬-21.78%6,595.4萬-25.04%5,796.5萬20.10%7,517.7萬29.66%7,254.72萬29.66%7,254.72萬61.58%8,431.6萬80.88%7,733萬
-應收賬款淨額 14.72%8,624.1萬14.10%7,570.72萬14.10%7,570.72萬-21.78%6,595.4萬-25.04%5,796.5萬20.10%7,517.7萬19.60%6,635.44萬19.60%6,635.44萬61.58%8,431.6萬80.88%7,733萬
-其中:應收賬款 ----13.91%7,736.89萬13.91%7,736.89萬------------21.17%6,792.33萬21.17%6,792.33萬--------
-其中:壞賬準備 -----5.91%-166.17萬-5.91%-166.17萬-------------171.56%-156.89萬-171.56%-156.89萬--------
-其他應收款 -----51.96%297.48萬-51.96%297.48萬------------1,213.39%619.28萬1,213.39%619.28萬--------
存貨 -16.67%3,190.6萬-13.33%3,642.96萬-13.33%3,642.96萬2.77%3,961.3萬15.42%4,273.9萬8.69%3,828.7萬28.42%4,203.38萬28.42%4,203.38萬42.10%3,854.4萬41.24%3,702.9萬
預付費用 117.03%976.2萬71.83%534.53萬71.83%534.53萬-42.43%533.6萬-34.67%572.3萬-30.78%449.8萬-28.84%311.08萬-28.84%311.08萬139.11%926.8萬245.97%876萬
稅項資產 -74.99%97.8萬-27.19%310.61萬-27.19%310.61萬-61.08%253.9萬-57.91%261.4萬-22.44%391萬9.46%426.63萬9.46%426.63萬233.49%652.3萬262.58%621.1萬
流動資產合計 15.36%2.56億6.16%2.37億6.16%2.37億7.68%2.39億8.17%2.31億15.53%2.22億18.52%2.23億18.52%2.23億26.24%2.22億37.60%2.14億
非流動資產
物業廠房及設備淨額 -6.90%2.08億-6.50%2.1億-6.50%2.1億-4.91%2.16億-4.53%2.2億-4.49%2.24億-4.59%2.25億-4.59%2.25億-5.62%2.27億-5.63%2.3億
-物業、廠房及設備 -6.90%2.08億1.54%3.49億1.54%3.49億-4.91%2.16億-4.53%2.2億-4.49%2.24億2.41%3.43億2.41%3.43億-5.62%2.27億-5.63%2.3億
-累計折舊 -----16.77%-1.39億-16.77%-1.39億-------------18.95%-1.19億-18.95%-1.19億--------
投資物業 --766.6萬-1.86%770.21萬-1.86%770.21萬-1.85%773.8萬-1.84%777.5萬-----1.82%784.79萬-1.82%784.79萬-1.85%788.4萬-1.85%792.1萬
投資總額 -72.14%260萬51.52%260萬51.52%260萬--70萬--94.3萬--933.3萬--171.59萬--171.59萬--------
-長期股權投資 -72.14%260萬51.52%260萬51.52%260萬--70萬--94.3萬--933.3萬--171.59萬--171.59萬--------
商譽及其他無形資產 ----1.33%279.22萬1.33%279.22萬----------10萬7.82%275.55萬7.82%275.55萬--------
-其他無形資產 ----1.33%279.22萬1.33%279.22萬------------7.82%275.55萬7.82%275.55萬--------
非流動遞延所得稅資產 --46.4萬0.00%46.41萬0.00%46.41萬0.00%46.4萬0.00%46.4萬--00.00%46.41萬0.00%46.41萬0.00%46.4萬0.00%46.4萬
非流動資產合計 -6.06%2.19億-5.82%2.24億-5.82%2.24億-4.50%2.25億-4.04%2.29億-3.92%2.33億-3.67%2.37億-3.67%2.37億-5.49%2.36億-5.71%2.38億
總資產 4.38%4.75億-0.01%4.61億-0.01%4.61億1.41%4.64億1.73%4.6億4.67%4.55億5.94%4.61億5.94%4.61億7.64%4.58億10.77%4.52億
負債
流動負債
金融負債 43.62%654.6萬-44.36%356萬-44.36%356萬-62.13%354.5萬-54.55%440.7萬-50.56%455.8萬-36.05%639.88萬-36.05%639.88萬-4.63%936.2萬-1.22%969.6萬
-短期借款及資本租賃負債 43.62%654.6萬-44.36%356萬-44.36%356萬-62.13%354.5萬-54.55%440.7萬-50.56%455.8萬-36.05%639.88萬-36.05%639.88萬-4.63%936.2萬-1.22%969.6萬
-其中:短期借款 43.62%654.6萬-44.36%356萬-44.36%356萬-62.13%354.5萬-54.55%440.7萬-50.56%455.8萬-36.05%639.88萬-36.05%639.88萬-4.63%936.2萬-1.22%969.6萬
應付款項 10.98%5,206.9萬26.41%3,490.14萬26.41%3,490.14萬-4.83%4,385.8萬-11.66%4,583.7萬2.74%4,691.6萬-4.77%2,760.94萬-4.77%2,760.94萬7.95%4,608.2萬39.34%5,188.6萬
-應付帳款 11.14%5,197.4萬29.59%2,709.06萬29.59%2,709.06萬1.32%4,357.1萬-7.46%4,583.7萬3.59%4,676.4萬-7.49%2,090.53萬-7.49%2,090.53萬12.17%4,300.3萬45.24%4,953.1萬
-應交稅費 -37.50%9.5萬0.00%19.18萬0.00%19.18萬-90.68%28.7萬--0-70.88%15.2萬0.00%19.18萬0.00%19.18萬-29.20%307.9萬-24.83%235.5萬
-其他應付款 ----16.99%761.9萬16.99%761.9萬------------4.97%651.23萬4.97%651.23萬--------
應計及遞延所得 -----6.43%1,612.38萬-6.43%1,612.38萬------------53.50%1,723.17萬53.50%1,723.17萬--------
流動負債合計 13.87%5,861.5萬6.53%5,458.52萬6.53%5,458.52萬-14.50%4,740.3萬-18.41%5,024.4萬-6.21%5,147.4萬2.02%5,123.99萬2.02%5,123.99萬5.60%5,544.4萬30.88%6,158.2萬
非流動負債
非流動金融負債 ----------------------------------0-92.30%30.2萬
-長期借款及資本租賃 ----------------------------------0-92.30%30.2萬
-其中:長期借款 ----------------------------------0-92.30%30.2萬
非流動遞延所得稅負債 12.36%1,319.5萬2.39%1,300.57萬2.39%1,300.57萬-2.04%1,246.2萬-8.50%1,285.8萬-16.85%1,174.3萬-6.72%1,270.27萬-6.72%1,270.27萬42.10%1,272.1萬56.96%1,405.3萬
非流動負債合計 12.36%1,319.5萬2.39%1,300.57萬2.39%1,300.57萬-2.04%1,246.2萬-10.43%1,285.8萬-22.06%1,174.3萬-19.25%1,270.27萬-19.25%1,270.27萬4.71%1,272.1萬11.48%1,435.5萬
負債總額 13.59%7,181萬5.71%6,759.09萬5.71%6,759.09萬-12.18%5,986.5萬-16.90%6,310.2萬-9.63%6,321.7萬-3.05%6,394.26萬-3.05%6,394.26萬5.43%6,816.5萬26.71%7,593.7萬
所有者權益
股本 0.85%1.86億0.00%1.85億0.00%1.85億2.41%1.85億3.62%1.85億3.63%1.85億2.85%1.85億2.85%1.85億0.44%1.81億-0.74%1.78億
-普通股 0.85%1.86億0.00%1.85億0.00%1.85億2.41%1.85億3.62%1.85億3.63%1.85億2.85%1.85億2.85%1.85億0.44%1.81億-0.74%1.78億
留存收益 15.74%2.31億8.34%2.22億8.34%2.22億8.67%2.13億10.62%2.06億14.21%2億15.72%2.05億15.72%2.05億17.83%1.96億19.52%1.86億
減:庫存股 1,731.00%2,462.7萬1,702.02%2,424.49萬1,702.02%2,424.49萬--134.5萬--134.5萬--134.5萬--134.54萬--134.54萬--------
其他儲備 -5.05%817.1萬-1.22%814.77萬-1.22%814.77萬-36.28%762.5萬-28.38%768.7萬-17.41%860.6萬-24.21%824.83萬-24.21%824.83萬-5.82%1,196.6萬-4.48%1,073.3萬
其他股本權益 --202.5萬--219.05萬--219.05萬-86.04%4.9萬-----------------68.52%35.1萬-53.90%51.4萬
股東權益 2.90%4.03億-0.93%3.93億-0.93%3.93億3.95%4.05億5.67%3.97億7.61%3.92億7.74%3.97億7.74%3.97億8.05%3.89億8.03%3.76億
非控制性權益 --0----------0--0--0---------0.80%62萬1.76%63.7萬
總權益 2.90%4.03億-0.93%3.93億-0.93%3.93億3.79%4.05億5.49%3.97億7.41%3.92億7.55%3.97億7.55%3.97億8.03%3.9億8.02%3.76億
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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