馬來西亞市場個股詳情

ALLIANZ (1163)

添加自選
  • 21.480
  • -0.160-0.74%
延時15分鐘行情休市中 05/15 16:50 (北京)
39.58億總市值7.70市盈率TTM

1163 ALLIANZ

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
經營活動現金流(間接法)
經營活動產生的現金
-26.09%11億
139.48%8.57億
-124.38%-1.12億
-75.81%5,251.3萬
-33.49%3.02億
20.73%14.88億
-21.30%3.58億
2,824.36%4.58億
-57.18%2.17億
78.05%4.55億
扣除非現金調整前淨利潤
15.94%11.66億
5.08%2.99億
21.85%2.99億
26.52%2.84億
13.02%2.84億
5.07%10.05億
18.86%2.85億
-6.58%2.45億
0.86%2.25億
8.05%2.51億
非現金項目調整總額
36.73%-9.74億
183.65%2.62億
-212.63%-8.34億
-24.80%-4.89億
115.32%8,696.7萬
-40.60%-15.39億
-4.17%-3.13億
24.81%-2.67億
-137.56%-3.92億
-106.81%-5.67億
-折舊與攤銷
23.68%8,194萬
40.57%2,413.4萬
31.21%2,215.7萬
19.85%1,990.9萬
0.98%1,574萬
1.87%6,625.4萬
-0.91%1,716.9萬
0.28%1,688.7萬
4.37%1,661.1萬
4.23%1,558.7萬
-資產準備及勾銷
96.67%141.8萬
74.90%-50.2萬
323.88%45萬
-73.79%58.5萬
28.26%88.5萬
433.80%72.1萬
35.88%-200萬
63.85%-20.1萬
-7.31%223.2萬
-34.35%69萬
-處置利潤
31.42%-11.23億
162.68%1.8億
-136.99%-8.57億
-23.21%-5.11億
111.46%6,580萬
-43.38%-16.37億
11.66%-2.87億
3.20%-3.62億
-167.78%-4.15億
-98.73%-5.74億
-匯兌損益淨額
112.78%6,400.1萬
239.07%5,832.3萬
-99.61%30.5萬
-70.47%114.3萬
142.74%423萬
264.17%3,007.9萬
-551.05%-4,193.9萬
3,114.37%7,804.5萬
113.61%387萬
-511.68%-989.7萬
-其他非現金項目
45.23%162.8萬
75.48%36.5萬
71.37%43.7萬
52.07%51.4萬
-2.50%31.2萬
48.87%112.1萬
-23.53%20.8萬
6.25%25.5萬
204.50%33.8萬
146.15%32萬
營運資本變動
-55.09%9.08億
-23.44%2.96億
-11.80%4.23億
-33.09%2.57億
-108.84%-6,816.5萬
47.54%20.22億
-25.09%3.86億
344.36%4.8億
-14.48%3.84億
159.23%7.71億
-保險合同負債(減)增
-45.49%10.32億
-27.92%2.55億
15.96%4.33億
-12.99%3.96億
-107.15%-5,088.5萬
54.95%18.93億
-34.99%3.53億
6.32%3.73億
125.73%4.55億
465.53%7.12億
-其他流動資產變動
148.07%2,597.8萬
268.27%2,887.7萬
-88.26%731.7萬
-112.01%-606.2萬
97.22%-415.4萬
-2,113.52%-5,404.3萬
-139.08%-1,716.1萬
323.19%6,230.7萬
173.00%5,047萬
-370.68%-1.5億
-其他流動負債變動
-182.33%-1.5億
-75.76%1,212萬
-136.75%-1,645.1萬
-9.46%-1.33億
-106.29%-1,312.6萬
25.17%1.82億
169.58%5,000.5萬
120.83%4,476.6萬
-152.92%-1.21億
2.66%2.09億
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)
-9.95%1.38億
-40.13%1,848.7萬
-8.43%4,574.8萬
-8.27%2,437.8萬
7.60%4,973.7萬
4.14%1.54億
28.29%3,087.8萬
-12.56%4,996萬
5.00%2,657.5萬
12.71%4,622.6萬
已付利息(經營活動產生的現金流)
-45.23%-162.8萬
-75.48%-36.5萬
-71.37%-43.7萬
-52.07%-51.4萬
2.50%-31.2萬
-48.87%-112.1萬
23.53%-20.8萬
-6.25%-25.5萬
-204.50%-33.8萬
-146.15%-32萬
已收到的利息(經營活動產生的現金流)
2.49%8.84億
-14.10%1.92億
7.24%2.33億
10.34%2.35億
7.27%2.24億
11.33%8.62億
16.91%2.23億
9.15%2.17億
9.51%2.13億
9.88%2.09億
已支付退稅
1.52%-2.34億
20.54%-7,166.3萬
-6.91%-6,185.1萬
-12.48%-4,772.4萬
-11.83%-5,303.8萬
-12.29%-2.38億
-57.05%-9,019.1萬
-21.14%-5,785.5萬
2.89%-4,242.7萬
24.69%-4,742.9萬
其他經營現金流入/流出
-30.96%-17.99億
-622.58%-8.42億
85.98%-9,956.8萬
16.69%-2.54億
-16.12%-6.04億
37.05%-13.74億
197.57%1.61億
-64.77%-7.1億
52.92%-3.05億
44.60%-5.2億
經營活動現金淨額
-90.26%8,678.8萬
-77.57%1.53億
112.60%531.7萬
-91.54%918.1萬
-156.80%-8,079.9萬
470.69%8.91億
52.78%6.83億
79.60%-4,218.7萬
211.92%1.09億
127.62%1.42億
投資活動
物業、廠房及設備交易淨額
-70.72%-5,246.3萬
-17.68%-2,198.5萬
-373.42%-1,442.5萬
-71.10%-835.3萬
-86.89%-770萬
3.51%-3,073.1萬
-59.73%-1,868.2萬
44.83%-304.7萬
47.02%-488.2萬
23.92%-412萬
無形資產交易淨額
72.09%-325.2萬
-41.94%127.2萬
89.44%-65.4萬
4.93%-273.7萬
76.25%-113.3萬
46.80%-1,165.3萬
156.15%219.1萬
53.60%-619.4萬
-3.41%-287.9萬
-155.41%-477.1萬
投資活動現金淨額
-31.45%-5,571.5萬
-25.60%-2,071.3萬
-63.17%-1,507.9萬
-42.89%-1,109萬
0.65%-883.3萬
21.15%-4,238.4萬
-5.73%-1,649.1萬
51.04%-924.1萬
35.32%-776.1萬
-22.08%-889.1萬
融資活動
融資租賃增減
-46.27%-3,069.6萬
-117.18%-582.7萬
-57.91%-871.2萬
-48.07%-853.6萬
-8.55%-762.1萬
1.98%-2,098.6萬
30.87%-268.3萬
5.45%-551.7萬
2.42%-576.5萬
-21.34%-702.1萬
已支付現金股息
34.14%-2.39億
--0
----
----
----
4.97%-3.63億
--0
--0
15.87%-1.01億
0.00%-2.62億
融資活動現金淨額
29.75%-2.7億
-117.18%-582.7萬
-4,388.24%-2.48億
91.98%-853.6萬
97.17%-762.1萬
4.82%-3.84億
30.85%-268.3萬
5.45%-551.7萬
15.24%-1.06億
-0.46%-2.69億
現金淨流量
期初現金流
29.77%20.27億
21.88%16.62億
35.11%19.19億
35.31%19.29億
29.77%20.27億
-30.87%15.62億
20.18%13.63億
3.98%14.2億
-2.91%14.26億
-30.87%15.62億
現金變動
-151.30%-2.39億
-80.92%1.27億
-351.98%-2.57億
-84.64%-1,044.5萬
28.37%-9,725.3萬
166.68%4.65億
55.25%6.63億
75.40%-5,694.5萬
94.50%-565.7萬
82.82%-1.36億
期末現金
-11.77%17.88億
-11.77%17.88億
21.88%16.62億
35.11%19.19億
35.31%19.29億
29.77%20.27億
29.77%20.27億
20.18%13.63億
3.98%14.2億
-2.91%14.26億
自由現金流
-96.36%3,083萬
-80.11%1.32億
81.02%-976.3萬
-102.00%-201.1萬
-167.21%-8,963.2萬
387.72%8.47億
54.32%6.65億
77.21%-5,142.8萬
342.14%1.01億
125.53%1.33億
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31
經營活動現金流(間接法)
經營活動產生的現金 -26.09%11億139.48%8.57億-124.38%-1.12億-75.81%5,251.3萬-33.49%3.02億20.73%14.88億-21.30%3.58億2,824.36%4.58億-57.18%2.17億78.05%4.55億
扣除非現金調整前淨利潤 15.94%11.66億5.08%2.99億21.85%2.99億26.52%2.84億13.02%2.84億5.07%10.05億18.86%2.85億-6.58%2.45億0.86%2.25億8.05%2.51億
非現金項目調整總額 36.73%-9.74億183.65%2.62億-212.63%-8.34億-24.80%-4.89億115.32%8,696.7萬-40.60%-15.39億-4.17%-3.13億24.81%-2.67億-137.56%-3.92億-106.81%-5.67億
-折舊與攤銷 23.68%8,194萬40.57%2,413.4萬31.21%2,215.7萬19.85%1,990.9萬0.98%1,574萬1.87%6,625.4萬-0.91%1,716.9萬0.28%1,688.7萬4.37%1,661.1萬4.23%1,558.7萬
-資產準備及勾銷 96.67%141.8萬74.90%-50.2萬323.88%45萬-73.79%58.5萬28.26%88.5萬433.80%72.1萬35.88%-200萬63.85%-20.1萬-7.31%223.2萬-34.35%69萬
-處置利潤 31.42%-11.23億162.68%1.8億-136.99%-8.57億-23.21%-5.11億111.46%6,580萬-43.38%-16.37億11.66%-2.87億3.20%-3.62億-167.78%-4.15億-98.73%-5.74億
-匯兌損益淨額 112.78%6,400.1萬239.07%5,832.3萬-99.61%30.5萬-70.47%114.3萬142.74%423萬264.17%3,007.9萬-551.05%-4,193.9萬3,114.37%7,804.5萬113.61%387萬-511.68%-989.7萬
-其他非現金項目 45.23%162.8萬75.48%36.5萬71.37%43.7萬52.07%51.4萬-2.50%31.2萬48.87%112.1萬-23.53%20.8萬6.25%25.5萬204.50%33.8萬146.15%32萬
營運資本變動 -55.09%9.08億-23.44%2.96億-11.80%4.23億-33.09%2.57億-108.84%-6,816.5萬47.54%20.22億-25.09%3.86億344.36%4.8億-14.48%3.84億159.23%7.71億
-保險合同負債(減)增 -45.49%10.32億-27.92%2.55億15.96%4.33億-12.99%3.96億-107.15%-5,088.5萬54.95%18.93億-34.99%3.53億6.32%3.73億125.73%4.55億465.53%7.12億
-其他流動資產變動 148.07%2,597.8萬268.27%2,887.7萬-88.26%731.7萬-112.01%-606.2萬97.22%-415.4萬-2,113.52%-5,404.3萬-139.08%-1,716.1萬323.19%6,230.7萬173.00%5,047萬-370.68%-1.5億
-其他流動負債變動 -182.33%-1.5億-75.76%1,212萬-136.75%-1,645.1萬-9.46%-1.33億-106.29%-1,312.6萬25.17%1.82億169.58%5,000.5萬120.83%4,476.6萬-152.92%-1.21億2.66%2.09億
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) -9.95%1.38億-40.13%1,848.7萬-8.43%4,574.8萬-8.27%2,437.8萬7.60%4,973.7萬4.14%1.54億28.29%3,087.8萬-12.56%4,996萬5.00%2,657.5萬12.71%4,622.6萬
已付利息(經營活動產生的現金流) -45.23%-162.8萬-75.48%-36.5萬-71.37%-43.7萬-52.07%-51.4萬2.50%-31.2萬-48.87%-112.1萬23.53%-20.8萬-6.25%-25.5萬-204.50%-33.8萬-146.15%-32萬
已收到的利息(經營活動產生的現金流) 2.49%8.84億-14.10%1.92億7.24%2.33億10.34%2.35億7.27%2.24億11.33%8.62億16.91%2.23億9.15%2.17億9.51%2.13億9.88%2.09億
已支付退稅 1.52%-2.34億20.54%-7,166.3萬-6.91%-6,185.1萬-12.48%-4,772.4萬-11.83%-5,303.8萬-12.29%-2.38億-57.05%-9,019.1萬-21.14%-5,785.5萬2.89%-4,242.7萬24.69%-4,742.9萬
其他經營現金流入/流出 -30.96%-17.99億-622.58%-8.42億85.98%-9,956.8萬16.69%-2.54億-16.12%-6.04億37.05%-13.74億197.57%1.61億-64.77%-7.1億52.92%-3.05億44.60%-5.2億
經營活動現金淨額 -90.26%8,678.8萬-77.57%1.53億112.60%531.7萬-91.54%918.1萬-156.80%-8,079.9萬470.69%8.91億52.78%6.83億79.60%-4,218.7萬211.92%1.09億127.62%1.42億
投資活動
物業、廠房及設備交易淨額 -70.72%-5,246.3萬-17.68%-2,198.5萬-373.42%-1,442.5萬-71.10%-835.3萬-86.89%-770萬3.51%-3,073.1萬-59.73%-1,868.2萬44.83%-304.7萬47.02%-488.2萬23.92%-412萬
無形資產交易淨額 72.09%-325.2萬-41.94%127.2萬89.44%-65.4萬4.93%-273.7萬76.25%-113.3萬46.80%-1,165.3萬156.15%219.1萬53.60%-619.4萬-3.41%-287.9萬-155.41%-477.1萬
投資活動現金淨額 -31.45%-5,571.5萬-25.60%-2,071.3萬-63.17%-1,507.9萬-42.89%-1,109萬0.65%-883.3萬21.15%-4,238.4萬-5.73%-1,649.1萬51.04%-924.1萬35.32%-776.1萬-22.08%-889.1萬
融資活動
融資租賃增減 -46.27%-3,069.6萬-117.18%-582.7萬-57.91%-871.2萬-48.07%-853.6萬-8.55%-762.1萬1.98%-2,098.6萬30.87%-268.3萬5.45%-551.7萬2.42%-576.5萬-21.34%-702.1萬
已支付現金股息 34.14%-2.39億--0------------4.97%-3.63億--0--015.87%-1.01億0.00%-2.62億
融資活動現金淨額 29.75%-2.7億-117.18%-582.7萬-4,388.24%-2.48億91.98%-853.6萬97.17%-762.1萬4.82%-3.84億30.85%-268.3萬5.45%-551.7萬15.24%-1.06億-0.46%-2.69億
現金淨流量
期初現金流 29.77%20.27億21.88%16.62億35.11%19.19億35.31%19.29億29.77%20.27億-30.87%15.62億20.18%13.63億3.98%14.2億-2.91%14.26億-30.87%15.62億
現金變動 -151.30%-2.39億-80.92%1.27億-351.98%-2.57億-84.64%-1,044.5萬28.37%-9,725.3萬166.68%4.65億55.25%6.63億75.40%-5,694.5萬94.50%-565.7萬82.82%-1.36億
期末現金 -11.77%17.88億-11.77%17.88億21.88%16.62億35.11%19.19億35.31%19.29億29.77%20.27億29.77%20.27億20.18%13.63億3.98%14.2億-2.91%14.26億
自由現金流 -96.36%3,083萬-80.11%1.32億81.02%-976.3萬-102.00%-201.1萬-167.21%-8,963.2萬387.72%8.47億54.32%6.65億77.21%-5,142.8萬342.14%1.01億125.53%1.33億
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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