馬來西亞市場個股詳情

8966 TECHBASE

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  • 0.140
  • +0.010+7.69%
延時15分鐘行情休市中 12/27 16:23 (北京)
4205.08萬總市值-1.39市盈率TTM

TECHBASE關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2024/10/31
(FY)2024/07/31
(Q4)2024/07/31
(Q3)2024/04/30
(Q2)2024/01/31
(Q1)2023/10/31
(FY)2023/07/31
(Q4)2023/07/31
(Q3)2023/04/30
(Q2)2023/01/31
經營活動現金流量(間接法)
經營活動產生的現金
-353.61%-1,904.1萬
-15.11%2,386.6萬
-101.44%-38.2萬
370.81%2,140.2萬
-292.80%-466.2萬
6.24%750.8萬
293.46%2,811.4萬
299.46%2,653.2萬
43.00%-790.3萬
2,679.31%241.8萬
扣除非現金調整前淨利潤
16.73%-894.7萬
-233.30%-3,204.7萬
-33,098.67%-2,489.9萬
178.23%1,082萬
-131.11%-722.4萬
-172.94%-1,074.4萬
60.06%2,404.1萬
-100.67%-7.5萬
-1,126.15%-1,383.1萬
539.44%2,321.8萬
非現金項目調整總額
-47.96%517.3萬
351.08%2,837.4萬
1,026.15%1,855.9萬
-198.69%-1,375.6萬
177.01%1,363萬
208.18%994.1萬
-274.75%-1,130.1萬
183.02%164.8萬
563.45%1,393.9萬
-984.51%-1,769.9萬
-折舊與攤銷
-32.85%230.4萬
-26.21%963.9萬
-95.21%17.7萬
-6.95%301.2萬
-0.85%301.9萬
11.18%343.1萬
1.84%1,306.3萬
-10.88%369.5萬
14.26%323.7萬
4.03%304.5萬
-在損益中確認的減值損失回撥
-99.74%1,000
697.52%483.3萬
319.95%359.9萬
435.69%85.6萬
---1,000
9,375.00%37.9萬
230.04%60.6萬
150.58%85.7萬
-12,850.00%-25.5萬
--0
-聯營企業份額
----
--0
--0
--0
----
----
-57.81%2.7萬
--0
-87.50%2,000
-20.00%1.2萬
-處置利潤
-6.30%416.4萬
138.82%1,136.8萬
488.61%1,518.7萬
-263.04%-1,818.4萬
140.42%992.1萬
137.06%444.4萬
-312.55%-2,928.7萬
44.27%-390.8萬
17,603.17%1,115.3萬
-28,772.94%-2,454.2萬
-匯兌損益淨額
-270.02%-148.6萬
-97.20%3.6萬
-101.32%-3,000
83.64%-14.1萬
-124.40%-69.4萬
194.79%87.4萬
199.69%128.7萬
249.34%22.7萬
38.16%-86.2萬
532.22%284.4萬
-其他非現金項目
-76.63%19萬
-16.82%249.8萬
-151.61%-40.1萬
5.57%70.1萬
47.03%138.5萬
31.13%81.3萬
23.48%300.3萬
15.28%77.7萬
14.29%66.4萬
53.92%94.2萬
營運資本變動
-283.70%-1,526.7萬
79.13%2,753.9萬
-76.13%595.8萬
403.81%2,433.8萬
-256.92%-1,106.8萬
444.27%831.1萬
142.68%1,537.4萬
1,088.48%2,495.9萬
46.01%-801.1萬
44.08%-310.1萬
-應收款(增)減
-148.15%-870.8萬
44.51%2,880.2萬
-26.03%849.2萬
1,010.72%2,279.2萬
-397.05%-2,056.8萬
71.64%1,808.6萬
155.20%1,993.1萬
513.10%1,148萬
118.75%205.2萬
-17,141.67%-413.8萬
-存貨(增)減
22.70%-1,175.2萬
-46.52%218.2萬
-92.42%65.1萬
152.03%133.5萬
83.29%1,540萬
-46.96%-1,520.4萬
1,379.00%408萬
345.31%859萬
-0.39%-256.6萬
457.38%840.2萬
-應付款(減)增
-10.91%529.4萬
64.86%-285.6萬
-162.82%-335.6萬
109.09%71.6萬
6.67%-615.8萬
493.01%594.2萬
-549.75%-812.7萬
9,271.93%534.2萬
-894.07%-787.3萬
-82.92%-659.8萬
-其他流動資產變動
80.31%-10.1萬
-15.49%-58.9萬
137.75%17.1萬
-234.31%-50.5萬
133.64%25.8萬
-253.59%-51.3萬
63.52%-51萬
73.85%-45.3萬
168.74%37.6萬
-275.51%-76.7萬
已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流)
已付利息(經營活動產生的現金流)
20.77%-74萬
-6.2萬
-8.92%271.5萬
13.65%-84.8萬
9.46%-99.5萬
-3.78%-93.4萬
0
298.1萬
-36.39%-98.2萬
-41.99%-109.9萬
已收到的利息(經營活動產生的現金流)
26.85%127.1萬
52.74%100.2萬
已支付退稅
64.08%-78.8萬
39.29%-309.5萬
106.26%56.4萬
-129.87%-180萬
138.95%33.5萬
-75.66%-219.4萬
-22.87%-509.8萬
-1,048.54%-901.6萬
969.70%602.7萬
18.71%-86萬
其他經營現金流入(流出)
0
0
0
0
0
0
0
0
0
0
經營活動現金淨額
-569.61%-2,056.9萬
-8.49%2,198萬
-80.61%416.8萬
756.19%1,875.4萬
-1,259.48%-532.2萬
-10.94%438萬
214.34%2,401.8萬
270.35%2,149.9萬
81.29%-285.8萬
126.30%45.9萬
投資活動現金流量
物業、廠房及設備交易淨額
-1,251.85%-219萬
-47.09%-957.1萬
-949.63%-809.7萬
90.52%-49.6萬
44.79%-81.6萬
78.34%-16.2萬
-21.76%-650.7萬
117.88%95.3萬
-515.04%-523.4萬
38.00%-147.8萬
無形資產交易淨額
----
--0
----
----
----
----
---326萬
----
----
----
投資產品交易淨額
86.57%-94.2萬
-204.96%-1,867.3萬
-246.20%-511.7萬
61.96%-112.3萬
48.37%-541.8萬
-283.49%-701.5萬
67.96%-612.3萬
116.08%350萬
-3,456.63%-295.2萬
-483.27%-1,049.4萬
已收到的利息(投資活動產生的現金流)
52.67%42.9萬
--0
-13.09%-70萬
-54.05%14.2萬
84.67%27.7萬
6.44%28.1萬
--10.4萬
-23.06%-61.9萬
159.66%30.9萬
-9.64%15萬
投資活動現金淨額
60.80%-270.3萬
-78.92%-2,824.4萬
-2,524.04%-1,391.4萬
81.25%-147.7萬
49.61%-595.7萬
-306.53%-689.6萬
25.38%-1,578.6萬
102.36%57.4萬
-866.50%-787.7萬
-2,373.46%-1,182.2萬
融資活動現金流量
債務發行/償還的淨額
-283.75%-463.6萬
10.65%-1,472萬
-358.45%-4,951.7萬
1,024.33%3,082.9萬
123.12%144.5萬
216.48%252.3萬
-660.37%-1,647.5萬
-288.83%-1,080.1萬
464.63%274.2萬
-603.83%-625萬
普通股發行/回購的淨額
----
2,126.72%4,041.5萬
--4,041.5萬
--0
----
----
-26.58%181.5萬
--0
--0
--72.6萬
租賃融資增減
81.43%-10.4萬
16.56%-77.1萬
134.30%22.4萬
14.52%-5.3萬
-165.28%-38.2萬
-761.54%-56萬
-15.50%-92.4萬
-24.38%-65.3萬
-26.53%-6.2萬
-105.71%-14.4萬
已付利息(籌資活動產生的現金流)
----
4.90%-382.1萬
----
----
----
----
-6,486.89%-401.8萬
----
----
----
其他籌資費用淨額
--1,000
405.56%11萬
----
----
----
----
-56.52%-3.6萬
----
----
----
融資活動現金淨額
-341.42%-473.9萬
208.02%2,121.3萬
18.82%-1,258.9萬
1,048.36%3,077.6萬
118.75%106.3萬
271.89%196.3萬
-650.08%-1,963.8萬
-355.57%-1,550.8萬
380.29%268萬
-222.05%-566.8萬
現金淨流量
期初現金流
23.93%8,064.1萬
-14.28%6,506.8萬
79.36%1.04億
-17.06%5,565.9萬
-22.17%6,607.9萬
-14.29%6,506.8萬
-32.83%7,591萬
-34.08%5,796萬
-34.42%6,710.4萬
-19.10%8,490.1萬
現金變動
-4,965.28%-2,801.1萬
231.06%1,494.9萬
-440.21%-2,233.5萬
696.56%4,805.3萬
40.02%-1,021.6萬
-107.77%-55.3萬
70.44%-1,140.6萬
152.83%656.5萬
48.15%-805.5萬
-470.55%-1,703.1萬
匯率變動影響
-180.37%-125.7萬
10.64%62.4萬
-279.20%-98.2萬
122.59%24.6萬
73.37%-20.4萬
-16.41%156.4萬
-62.20%56.4萬
31.41%54.8萬
-196.20%-108.9萬
-312.19%-76.6萬
期末現金
-22.26%5,137.3萬
23.93%8,064.1萬
23.93%8,064.1萬
79.36%1.04億
-17.06%5,565.9萬
-22.17%6,607.9萬
-14.28%6,506.8萬
-14.28%6,506.8萬
-34.08%5,796萬
-34.42%6,710.4萬
自由現金流
-658.23%-2,275.9萬
-17.23%1,172.1萬
-122.45%-428.9萬
325.71%1,826.2萬
-520.49%-632.9萬
-2.23%407.7萬
153.65%1,416.1萬
406.01%1,910.2萬
49.98%-809.1萬
75.30%-102萬
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q1)2024/10/31(FY)2024/07/31(Q4)2024/07/31(Q3)2024/04/30(Q2)2024/01/31(Q1)2023/10/31(FY)2023/07/31(Q4)2023/07/31(Q3)2023/04/30(Q2)2023/01/31
經營活動現金流量(間接法)
經營活動產生的現金 -353.61%-1,904.1萬-15.11%2,386.6萬-101.44%-38.2萬370.81%2,140.2萬-292.80%-466.2萬6.24%750.8萬293.46%2,811.4萬299.46%2,653.2萬43.00%-790.3萬2,679.31%241.8萬
扣除非現金調整前淨利潤 16.73%-894.7萬-233.30%-3,204.7萬-33,098.67%-2,489.9萬178.23%1,082萬-131.11%-722.4萬-172.94%-1,074.4萬60.06%2,404.1萬-100.67%-7.5萬-1,126.15%-1,383.1萬539.44%2,321.8萬
非現金項目調整總額 -47.96%517.3萬351.08%2,837.4萬1,026.15%1,855.9萬-198.69%-1,375.6萬177.01%1,363萬208.18%994.1萬-274.75%-1,130.1萬183.02%164.8萬563.45%1,393.9萬-984.51%-1,769.9萬
-折舊與攤銷 -32.85%230.4萬-26.21%963.9萬-95.21%17.7萬-6.95%301.2萬-0.85%301.9萬11.18%343.1萬1.84%1,306.3萬-10.88%369.5萬14.26%323.7萬4.03%304.5萬
-在損益中確認的減值損失回撥 -99.74%1,000697.52%483.3萬319.95%359.9萬435.69%85.6萬---1,0009,375.00%37.9萬230.04%60.6萬150.58%85.7萬-12,850.00%-25.5萬--0
-聯營企業份額 ------0--0--0---------57.81%2.7萬--0-87.50%2,000-20.00%1.2萬
-處置利潤 -6.30%416.4萬138.82%1,136.8萬488.61%1,518.7萬-263.04%-1,818.4萬140.42%992.1萬137.06%444.4萬-312.55%-2,928.7萬44.27%-390.8萬17,603.17%1,115.3萬-28,772.94%-2,454.2萬
-匯兌損益淨額 -270.02%-148.6萬-97.20%3.6萬-101.32%-3,00083.64%-14.1萬-124.40%-69.4萬194.79%87.4萬199.69%128.7萬249.34%22.7萬38.16%-86.2萬532.22%284.4萬
-其他非現金項目 -76.63%19萬-16.82%249.8萬-151.61%-40.1萬5.57%70.1萬47.03%138.5萬31.13%81.3萬23.48%300.3萬15.28%77.7萬14.29%66.4萬53.92%94.2萬
營運資本變動 -283.70%-1,526.7萬79.13%2,753.9萬-76.13%595.8萬403.81%2,433.8萬-256.92%-1,106.8萬444.27%831.1萬142.68%1,537.4萬1,088.48%2,495.9萬46.01%-801.1萬44.08%-310.1萬
-應收款(增)減 -148.15%-870.8萬44.51%2,880.2萬-26.03%849.2萬1,010.72%2,279.2萬-397.05%-2,056.8萬71.64%1,808.6萬155.20%1,993.1萬513.10%1,148萬118.75%205.2萬-17,141.67%-413.8萬
-存貨(增)減 22.70%-1,175.2萬-46.52%218.2萬-92.42%65.1萬152.03%133.5萬83.29%1,540萬-46.96%-1,520.4萬1,379.00%408萬345.31%859萬-0.39%-256.6萬457.38%840.2萬
-應付款(減)增 -10.91%529.4萬64.86%-285.6萬-162.82%-335.6萬109.09%71.6萬6.67%-615.8萬493.01%594.2萬-549.75%-812.7萬9,271.93%534.2萬-894.07%-787.3萬-82.92%-659.8萬
-其他流動資產變動 80.31%-10.1萬-15.49%-58.9萬137.75%17.1萬-234.31%-50.5萬133.64%25.8萬-253.59%-51.3萬63.52%-51萬73.85%-45.3萬168.74%37.6萬-275.51%-76.7萬
已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流)
已付利息(經營活動產生的現金流) 20.77%-74萬-6.2萬-8.92%271.5萬13.65%-84.8萬9.46%-99.5萬-3.78%-93.4萬0298.1萬-36.39%-98.2萬-41.99%-109.9萬
已收到的利息(經營活動產生的現金流) 26.85%127.1萬52.74%100.2萬
已支付退稅 64.08%-78.8萬39.29%-309.5萬106.26%56.4萬-129.87%-180萬138.95%33.5萬-75.66%-219.4萬-22.87%-509.8萬-1,048.54%-901.6萬969.70%602.7萬18.71%-86萬
其他經營現金流入(流出) 0000000000
經營活動現金淨額 -569.61%-2,056.9萬-8.49%2,198萬-80.61%416.8萬756.19%1,875.4萬-1,259.48%-532.2萬-10.94%438萬214.34%2,401.8萬270.35%2,149.9萬81.29%-285.8萬126.30%45.9萬
投資活動現金流量
物業、廠房及設備交易淨額 -1,251.85%-219萬-47.09%-957.1萬-949.63%-809.7萬90.52%-49.6萬44.79%-81.6萬78.34%-16.2萬-21.76%-650.7萬117.88%95.3萬-515.04%-523.4萬38.00%-147.8萬
無形資產交易淨額 ------0-------------------326萬------------
投資產品交易淨額 86.57%-94.2萬-204.96%-1,867.3萬-246.20%-511.7萬61.96%-112.3萬48.37%-541.8萬-283.49%-701.5萬67.96%-612.3萬116.08%350萬-3,456.63%-295.2萬-483.27%-1,049.4萬
已收到的利息(投資活動產生的現金流) 52.67%42.9萬--0-13.09%-70萬-54.05%14.2萬84.67%27.7萬6.44%28.1萬--10.4萬-23.06%-61.9萬159.66%30.9萬-9.64%15萬
投資活動現金淨額 60.80%-270.3萬-78.92%-2,824.4萬-2,524.04%-1,391.4萬81.25%-147.7萬49.61%-595.7萬-306.53%-689.6萬25.38%-1,578.6萬102.36%57.4萬-866.50%-787.7萬-2,373.46%-1,182.2萬
融資活動現金流量
債務發行/償還的淨額 -283.75%-463.6萬10.65%-1,472萬-358.45%-4,951.7萬1,024.33%3,082.9萬123.12%144.5萬216.48%252.3萬-660.37%-1,647.5萬-288.83%-1,080.1萬464.63%274.2萬-603.83%-625萬
普通股發行/回購的淨額 ----2,126.72%4,041.5萬--4,041.5萬--0---------26.58%181.5萬--0--0--72.6萬
租賃融資增減 81.43%-10.4萬16.56%-77.1萬134.30%22.4萬14.52%-5.3萬-165.28%-38.2萬-761.54%-56萬-15.50%-92.4萬-24.38%-65.3萬-26.53%-6.2萬-105.71%-14.4萬
已付利息(籌資活動產生的現金流) ----4.90%-382.1萬-----------------6,486.89%-401.8萬------------
其他籌資費用淨額 --1,000405.56%11萬-----------------56.52%-3.6萬------------
融資活動現金淨額 -341.42%-473.9萬208.02%2,121.3萬18.82%-1,258.9萬1,048.36%3,077.6萬118.75%106.3萬271.89%196.3萬-650.08%-1,963.8萬-355.57%-1,550.8萬380.29%268萬-222.05%-566.8萬
現金淨流量
期初現金流 23.93%8,064.1萬-14.28%6,506.8萬79.36%1.04億-17.06%5,565.9萬-22.17%6,607.9萬-14.29%6,506.8萬-32.83%7,591萬-34.08%5,796萬-34.42%6,710.4萬-19.10%8,490.1萬
現金變動 -4,965.28%-2,801.1萬231.06%1,494.9萬-440.21%-2,233.5萬696.56%4,805.3萬40.02%-1,021.6萬-107.77%-55.3萬70.44%-1,140.6萬152.83%656.5萬48.15%-805.5萬-470.55%-1,703.1萬
匯率變動影響 -180.37%-125.7萬10.64%62.4萬-279.20%-98.2萬122.59%24.6萬73.37%-20.4萬-16.41%156.4萬-62.20%56.4萬31.41%54.8萬-196.20%-108.9萬-312.19%-76.6萬
期末現金 -22.26%5,137.3萬23.93%8,064.1萬23.93%8,064.1萬79.36%1.04億-17.06%5,565.9萬-22.17%6,607.9萬-14.28%6,506.8萬-14.28%6,506.8萬-34.08%5,796萬-34.42%6,710.4萬
自由現金流 -658.23%-2,275.9萬-17.23%1,172.1萬-122.45%-428.9萬325.71%1,826.2萬-520.49%-632.9萬-2.23%407.7萬153.65%1,416.1萬406.01%1,910.2萬49.98%-809.1萬75.30%-102萬
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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