马来西亚市场个股详情

KRONO (0176)

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延时15分钟行情交易中 03/27 09:04 (北京)
1.07亿总市值10.00市盈率TTM

0176 KRONO

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2025/10/31
(Q2)2025/07/31
(Q1)2025/04/30
(FY)2025/01/31
(Q4)2025/01/31
(Q3)2024/10/31
(Q2)2024/07/31
(Q1)2024/04/30
(FY)2024/01/31
(Q4)2024/01/31
经营活动现金流量(间接法)
经营活动产生的现金
-101.92%-71.2万
96.57%-194.9万
276.44%496.5万
-9.10%5,494.46万
383.21%7,745.46万
5.89%3,706.5万
-613.44%-5,676.1万
-116.21%-281.4万
113.54%6,044.2万
143.05%1,602.9万
扣除非现金调整前净利润
-89.45%35.7万
207.70%191.7万
42.15%162.9万
-22.26%1,008.63万
115.87%493.23万
88.06%338.5万
-88.67%62.3万
-66.21%114.6万
-55.59%1,297.38万
-83.42%228.48万
非现金项目调整总额
-20.15%443.1万
-0.82%398.1万
100.45%579.1万
-46.03%2,013.72万
-13.91%768.52万
-39.17%554.9万
-53.39%401.4万
-72.87%288.9万
30.17%3,730.96万
49.05%892.66万
-折旧与摊销
0.57%422.1万
42.12%425.5万
64.72%496.3万
-46.07%1,721.15万
-22.99%700.75万
-47.08%419.7万
-61.33%299.4万
-57.82%301.3万
25.18%3,191.54万
2.13%909.94万
-在损益中确认的减值损失回拨
--5,000
-71.43%4,000
--0
121.83%5.54万
107.70%3.14万
--0
--1.4万
--1万
-722.57%-25.37万
-23,345.32%-40.77万
-处置利润
-2,100.00%-4万
-60.29%-10.9万
---1,000
-128.73%-13.83万
-59.01%-7.23万
113.33%2,000
---6.8万
--0
18.18%-6.04万
-37,661.16%-4.54万
-汇兑损益净额
68.72%-7.6万
-163.57%-53.4万
155.90%28.9万
-118.67%-19.33万
82.28%-27.33万
-1,156.52%-24.3万
19.66%84万
-127.90%-51.7万
0.25%103.57万
55.18%-154.23万
-以股票支付的报酬
----
----
----
--0
--0
--0
----
----
--188万
--96.8万
-其他非现金项目
-79.85%32.1万
55.98%36.5万
40.99%54万
-31.48%320.19万
-63.73%99.19万
122.18%159.3万
-68.29%23.4万
-20.70%38.3万
115.70%467.27万
427.67%273.47万
营运资本变动
-119.55%-550万
87.22%-784.7万
64.16%-245.5万
143.35%2,472.12万
1,245.85%6,483.72万
16.81%2,813.1万
-178.26%-6,139.8万
-306.05%-684.9万
134.35%1,015.86万
136.57%481.76万
-应收款(增)减
-134.91%-1,244.1万
124.83%1,957.8万
-28.63%1,311.7万
1,649.63%1,233.34万
195.89%3,714.84万
-2.23%3,564.2万
-101.90%-7,883.7万
-54.66%1,838万
95.21%-79.59万
-166.98%-3,873.99万
-存货(增)减
411.64%149.9万
132.04%209.3万
-173.16%-393.9万
252.13%741.37万
46.88%843.47万
-537.27%-48.1万
118.85%90.2万
75.73%-144.2万
-320.48%-487.34万
68.44%574.26万
-应付款(减)增
397.24%914.3万
-256.45%-2,790.4万
77.07%-579万
-116.70%-111.31万
-68.87%938.09万
77.26%-307.6万
-16.62%1,783.6万
19.41%-2,525.4万
168.78%666.61万
7,483.76%3,013.91万
-其他流动资产变动
6.40%-370.1万
-24.25%-161.4万
-498.30%-584.3万
-33.56%608.71万
28.63%987.31万
-478.74%-395.4万
-444.56%-129.9万
2,156.92%146.7万
267.87%916.17万
410.57%767.57万
已付股息(经营活动产生的现金流)
已收到的股息(经营活动产生的现金流)
已付利息(经营活动产生的现金流)
已收到的利息(经营活动产生的现金流)
-70.31%8.7万
-52.27%20万
-36.01%31.1万
33.79%168万
111.68%48.2万
89.03%29.3万
-0.95%41.9万
8.00%48.6万
150.84%125.57万
-39.54%22.77万
已支付退税
-6,737.50%-54.7万
-7,202.63%-277.5万
25.81%-2.3万
115.46%55.92万
1,372.61%63.62万
99.33%-8,000
98.40%-3.8万
65.17%-3.1万
-10.07%-361.78万
108.09%4.32万
其他经营现金流入(流出)
0
0
0
0
0
0
0
0
0
0
经营活动现金净额
-103.14%-117.2万
91.98%-452.4万
322.68%525.3万
-1.54%5,718.38万
382.04%7,857.28万
10.00%3,735万
-469.38%-5,638万
-113.31%-235.9万
127.60%5,807.99万
153.20%1,629.99万
投资活动现金流量
物业、厂房及设备交易净额
82.85%-45.7万
-102.00%-154.8万
99.48%-1万
212.47%6,762.48万
19.26%-501.52万
93.59%-266.4万
10,128.31%7,721.8万
83.53%-191.4万
-78.02%-6,012.96万
79.10%-621.16万
已收到的股息(投资活动产生的现金流)
----
----
----
-95.64%32
112.03%32
--0
--0
--0
-90.76%734
-366.67%-266
投资活动现金净额
82.85%-45.7万
-102.00%-154.8万
99.48%-1万
212.47%6,762.48万
19.26%-501.52万
93.58%-266.4万
10,128.31%7,721.8万
83.53%-191.4万
-78.06%-6,012.88万
79.10%-621.18万
融资活动现金流量
债务发行/偿还的净额
-678.36%-1,089.7万
-233.02%-494.7万
105.27%27.2万
99.97%-8,163
134.87%283.88万
-46.60%-140万
134.49%371.9万
5.26%-516.6万
-360.80%-2,533.22万
-139.12%-814.12万
租赁融资增减
97.66%-99.5万
102.19%6.4万
-1,851.49%-2,888.2万
-15,737.46%-1.13亿
-3,207.50%-6,658.62万
-354,308.33%-4,250.5万
-88.35%-292.7万
-134.57%-148万
110.84%72.58万
27.10%-201.32万
已付利息(筹资活动产生的现金流)
77.57%-42.3万
13.48%-56.5万
2.07%-85.1万
-20.66%-488.49万
-36.45%-147.69万
-116.28%-188.6万
43.76%-65.3万
6.86%-86.9万
-51.81%-404.84万
-20.96%-108.24万
融资活动现金净额
73.11%-1,231.5万
-4,019.42%-544.8万
-292.03%-2,946.1万
-313.16%-1.18亿
-480.45%-6,522.43万
-2,422.92%-4,579.1万
101.03%13.9万
-257.01%-751.5万
-8,338.06%-2,865.48万
-165.49%-1,123.68万
现金净流量
期初现金流
-43.91%4,933.9万
-13.84%6,158.5万
2.97%8,579.9万
-21.71%8,332.64万
-7.53%7,611.5万
-0.72%8,797万
-36.44%7,147.6万
-21.71%8,332.6万
-9.48%1.06亿
-29.38%8,231.4万
现金变动
-25.57%-1,394.4万
-154.92%-1,152万
-105.45%-2,421.8万
120.90%641.73万
825.46%833.33万
-18.31%-1,110.5万
186.79%2,097.7万
-394.63%-1,178.8万
-288.56%-3,070.37万
81.24%-114.87万
汇率变动影响
25.07%-56.2万
83.81%-72.6万
106.45%4,000
-151.92%-394.45万
-37.51%135.05万
-124.26%-75万
-1,450.30%-448.3万
-103.08%-6.2万
334.18%759.71万
153.95%216.11万
期末现金
-54.24%3,483.3万
-43.91%4,933.9万
-13.84%6,158.5万
2.97%8,579.92万
2.97%8,579.92万
-7.53%7,611.5万
-0.72%8,797万
-36.44%7,147.6万
-21.71%8,332.64万
-21.71%8,332.64万
自由现金流
-104.53%-168.2万
89.01%-627.5万
222.21%522.2万
2,634.30%5,428.57万
684.57%7,855.87万
588.83%3,709.7万
-435.02%-5,709.7万
-169.98%-427.3万
74.27%-214.2万
143.01%1,001.3万
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q3)2025/10/31(Q2)2025/07/31(Q1)2025/04/30(FY)2025/01/31(Q4)2025/01/31(Q3)2024/10/31(Q2)2024/07/31(Q1)2024/04/30(FY)2024/01/31(Q4)2024/01/31
经营活动现金流量(间接法)
经营活动产生的现金 -101.92%-71.2万96.57%-194.9万276.44%496.5万-9.10%5,494.46万383.21%7,745.46万5.89%3,706.5万-613.44%-5,676.1万-116.21%-281.4万113.54%6,044.2万143.05%1,602.9万
扣除非现金调整前净利润 -89.45%35.7万207.70%191.7万42.15%162.9万-22.26%1,008.63万115.87%493.23万88.06%338.5万-88.67%62.3万-66.21%114.6万-55.59%1,297.38万-83.42%228.48万
非现金项目调整总额 -20.15%443.1万-0.82%398.1万100.45%579.1万-46.03%2,013.72万-13.91%768.52万-39.17%554.9万-53.39%401.4万-72.87%288.9万30.17%3,730.96万49.05%892.66万
-折旧与摊销 0.57%422.1万42.12%425.5万64.72%496.3万-46.07%1,721.15万-22.99%700.75万-47.08%419.7万-61.33%299.4万-57.82%301.3万25.18%3,191.54万2.13%909.94万
-在损益中确认的减值损失回拨 --5,000-71.43%4,000--0121.83%5.54万107.70%3.14万--0--1.4万--1万-722.57%-25.37万-23,345.32%-40.77万
-处置利润 -2,100.00%-4万-60.29%-10.9万---1,000-128.73%-13.83万-59.01%-7.23万113.33%2,000---6.8万--018.18%-6.04万-37,661.16%-4.54万
-汇兑损益净额 68.72%-7.6万-163.57%-53.4万155.90%28.9万-118.67%-19.33万82.28%-27.33万-1,156.52%-24.3万19.66%84万-127.90%-51.7万0.25%103.57万55.18%-154.23万
-以股票支付的报酬 --------------0--0--0----------188万--96.8万
-其他非现金项目 -79.85%32.1万55.98%36.5万40.99%54万-31.48%320.19万-63.73%99.19万122.18%159.3万-68.29%23.4万-20.70%38.3万115.70%467.27万427.67%273.47万
营运资本变动 -119.55%-550万87.22%-784.7万64.16%-245.5万143.35%2,472.12万1,245.85%6,483.72万16.81%2,813.1万-178.26%-6,139.8万-306.05%-684.9万134.35%1,015.86万136.57%481.76万
-应收款(增)减 -134.91%-1,244.1万124.83%1,957.8万-28.63%1,311.7万1,649.63%1,233.34万195.89%3,714.84万-2.23%3,564.2万-101.90%-7,883.7万-54.66%1,838万95.21%-79.59万-166.98%-3,873.99万
-存货(增)减 411.64%149.9万132.04%209.3万-173.16%-393.9万252.13%741.37万46.88%843.47万-537.27%-48.1万118.85%90.2万75.73%-144.2万-320.48%-487.34万68.44%574.26万
-应付款(减)增 397.24%914.3万-256.45%-2,790.4万77.07%-579万-116.70%-111.31万-68.87%938.09万77.26%-307.6万-16.62%1,783.6万19.41%-2,525.4万168.78%666.61万7,483.76%3,013.91万
-其他流动资产变动 6.40%-370.1万-24.25%-161.4万-498.30%-584.3万-33.56%608.71万28.63%987.31万-478.74%-395.4万-444.56%-129.9万2,156.92%146.7万267.87%916.17万410.57%767.57万
已付股息(经营活动产生的现金流)
已收到的股息(经营活动产生的现金流)
已付利息(经营活动产生的现金流)
已收到的利息(经营活动产生的现金流) -70.31%8.7万-52.27%20万-36.01%31.1万33.79%168万111.68%48.2万89.03%29.3万-0.95%41.9万8.00%48.6万150.84%125.57万-39.54%22.77万
已支付退税 -6,737.50%-54.7万-7,202.63%-277.5万25.81%-2.3万115.46%55.92万1,372.61%63.62万99.33%-8,00098.40%-3.8万65.17%-3.1万-10.07%-361.78万108.09%4.32万
其他经营现金流入(流出) 0000000000
经营活动现金净额 -103.14%-117.2万91.98%-452.4万322.68%525.3万-1.54%5,718.38万382.04%7,857.28万10.00%3,735万-469.38%-5,638万-113.31%-235.9万127.60%5,807.99万153.20%1,629.99万
投资活动现金流量
物业、厂房及设备交易净额 82.85%-45.7万-102.00%-154.8万99.48%-1万212.47%6,762.48万19.26%-501.52万93.59%-266.4万10,128.31%7,721.8万83.53%-191.4万-78.02%-6,012.96万79.10%-621.16万
已收到的股息(投资活动产生的现金流) -------------95.64%32112.03%32--0--0--0-90.76%734-366.67%-266
投资活动现金净额 82.85%-45.7万-102.00%-154.8万99.48%-1万212.47%6,762.48万19.26%-501.52万93.58%-266.4万10,128.31%7,721.8万83.53%-191.4万-78.06%-6,012.88万79.10%-621.18万
融资活动现金流量
债务发行/偿还的净额 -678.36%-1,089.7万-233.02%-494.7万105.27%27.2万99.97%-8,163134.87%283.88万-46.60%-140万134.49%371.9万5.26%-516.6万-360.80%-2,533.22万-139.12%-814.12万
租赁融资增减 97.66%-99.5万102.19%6.4万-1,851.49%-2,888.2万-15,737.46%-1.13亿-3,207.50%-6,658.62万-354,308.33%-4,250.5万-88.35%-292.7万-134.57%-148万110.84%72.58万27.10%-201.32万
已付利息(筹资活动产生的现金流) 77.57%-42.3万13.48%-56.5万2.07%-85.1万-20.66%-488.49万-36.45%-147.69万-116.28%-188.6万43.76%-65.3万6.86%-86.9万-51.81%-404.84万-20.96%-108.24万
融资活动现金净额 73.11%-1,231.5万-4,019.42%-544.8万-292.03%-2,946.1万-313.16%-1.18亿-480.45%-6,522.43万-2,422.92%-4,579.1万101.03%13.9万-257.01%-751.5万-8,338.06%-2,865.48万-165.49%-1,123.68万
现金净流量
期初现金流 -43.91%4,933.9万-13.84%6,158.5万2.97%8,579.9万-21.71%8,332.64万-7.53%7,611.5万-0.72%8,797万-36.44%7,147.6万-21.71%8,332.6万-9.48%1.06亿-29.38%8,231.4万
现金变动 -25.57%-1,394.4万-154.92%-1,152万-105.45%-2,421.8万120.90%641.73万825.46%833.33万-18.31%-1,110.5万186.79%2,097.7万-394.63%-1,178.8万-288.56%-3,070.37万81.24%-114.87万
汇率变动影响 25.07%-56.2万83.81%-72.6万106.45%4,000-151.92%-394.45万-37.51%135.05万-124.26%-75万-1,450.30%-448.3万-103.08%-6.2万334.18%759.71万153.95%216.11万
期末现金 -54.24%3,483.3万-43.91%4,933.9万-13.84%6,158.5万2.97%8,579.92万2.97%8,579.92万-7.53%7,611.5万-0.72%8,797万-36.44%7,147.6万-21.71%8,332.64万-21.71%8,332.64万
自由现金流 -104.53%-168.2万89.01%-627.5万222.21%522.2万2,634.30%5,428.57万684.57%7,855.87万588.83%3,709.7万-435.02%-5,709.7万-169.98%-427.3万74.27%-214.2万143.01%1,001.3万
会计准则 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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