马来西亚市场个股详情

SYNERGY (0279)

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延时15分钟行情休市中 04/30 16:14 (北京)
1.08亿总市值21.50市盈率TTM

0279 SYNERGY

季报+年报
显示同比 yoy
隐藏空行 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
资产
流动资产
现金及现金等价物与短期投资
-44.55%4,207.71万
-44.55%4,207.71万
-27.25%4,830.5万
-5.09%4,568.6万
-4.63%5,994.9万
118.28%7,588.72万
118.28%7,588.72万
34.75%6,640.2万
-10.86%4,813.8万
--6,286万
-现金及现金等价物
-1.26%2,801.4万
-1.26%2,801.4万
-22.99%2,530.1万
20.89%1,713.6万
-3.39%2,798.1万
110.96%2,837.28万
110.96%2,837.28万
136.54%3,285.5万
-52.08%1,417.5万
--2,896.3万
-其中:现金
-1.26%2,801.4万
-1.26%2,801.4万
-22.99%2,530.1万
20.89%1,713.6万
-3.39%2,798.1万
110.96%2,837.28万
110.96%2,837.28万
136.54%3,285.5万
-52.08%1,417.5万
--2,896.3万
-短期投资
-70.40%1,406.31万
-70.40%1,406.31万
-31.43%2,300.4万
-15.94%2,855万
-5.69%3,196.8万
122.90%4,751.44万
122.90%4,751.44万
-5.20%3,354.7万
39.07%3,396.3万
--3,389.7万
应收款项
-26.07%4,257.08万
-26.07%4,257.08万
-1.36%4,578.5万
-3.09%5,029.8万
20.91%5,449.9万
-9.55%5,758.25万
-9.55%5,758.25万
12.55%4,641.8万
75.92%5,190.4万
--4,507.3万
-应收账款净额
-25.92%4,213.87万
-25.92%4,213.87万
11.55%4,161.5万
-9.04%4,031万
16.10%4,596.2万
-10.40%5,688.4万
-10.40%5,688.4万
3.40%3,730.5万
77.14%4,431.6万
--3,958.8万
-其中:应收账款
-35.85%4,323.51万
-35.85%4,323.51万
----
----
----
6.11%6,739.61万
6.11%6,739.61万
----
----
----
-其中:坏账准备
89.57%-109.65万
89.57%-109.65万
----
----
----
-38,192.66%-1,051.21万
-38,192.66%-1,051.21万
----
----
----
-其他应收款
-38.13%43.21万
-38.13%43.21万
-54.24%417万
31.63%998.8万
55.64%853.7万
298.03%69.84万
298.03%69.84万
76.51%911.3万
69.11%758.8万
--548.5万
存货
-19.28%5,745.43万
-19.28%5,745.43万
17.55%8,687.2万
18.98%6,718.3万
6.71%5,888.4万
46.38%7,117.77万
46.38%7,117.77万
28.63%7,390.5万
42.77%5,646.4万
--5,518.3万
预付费用
-38.73%292.88万
-38.73%292.88万
----
----
----
-14.31%477.98万
-14.31%477.98万
----
----
----
受限制现金
----
----
----
----
----
-93.81%73.59万
-93.81%73.59万
----
----
----
税项资产
121.27%1,171.23万
121.27%1,171.23万
104.65%1,035.3万
154.56%709.7万
306.49%645.1万
2,316.12%529.33万
2,316.12%529.33万
19.57%505.9万
6.29%278.8万
--158.7万
套期保值资产
-80.82%5.17万
-80.82%5.17万
-99.95%6,000
--0
--0
264.44%26.96万
264.44%26.96万
--1,096万
--0
--0
流动资产合计
-27.07%1.57亿
-27.07%1.57亿
-5.63%1.91亿
6.89%1.7亿
9.16%1.8亿
30.44%2.15亿
30.44%2.15亿
33.20%2.03亿
26.75%1.59亿
--1.65亿
非流动资产
物业厂房及设备净额
12.24%4,285.52万
12.24%4,285.52万
-33.64%3,830.1万
-33.49%3,853.2万
-32.89%3,828.8万
-31.31%3,818.06万
-31.31%3,818.06万
4.28%5,771.6万
4.66%5,793万
--5,705.3万
-物业、厂房及设备
14.40%5,161.84万
14.40%5,161.84万
-33.64%3,830.1万
-33.49%3,853.2万
-32.89%3,828.8万
-26.25%4,512.1万
-26.25%4,512.1万
4.28%5,771.6万
4.66%5,793万
--5,705.3万
-累计折旧
-26.27%-876.33万
-26.27%-876.33万
----
----
----
-24.07%-694.04万
-24.07%-694.04万
----
----
----
投资物业
0.00%2,800万
0.00%2,800万
--2,800万
--2,800万
--2,800万
--2,800万
--2,800万
----
----
----
投资总额
--0
--0
----
----
----
--0
--0
----
----
----
-长期股权投资
--0
--0
----
----
----
--0
--0
----
----
----
非流动资产合计
7.06%7,085.52万
7.06%7,085.52万
14.87%6,630.1万
14.85%6,653.2万
16.19%6,628.8万
19.06%6,618.06万
19.06%6,618.06万
4.28%5,771.6万
4.66%5,793万
--5,705.3万
总资产
-19.03%2.28亿
-19.03%2.28亿
-1.09%2.58亿
9.01%2.37亿
10.96%2.46亿
27.57%2.81亿
27.57%2.81亿
25.49%2.6亿
20.00%2.17亿
--2.22亿
负债
流动负债
金融负债
-50.39%3,235.08万
-50.39%3,235.08万
-33.64%3,378.3万
-31.34%2,851万
24.70%4,861万
71.57%6,521.14万
71.57%6,521.14万
43.68%5,090.8万
24.04%4,152.2万
--3,898.1万
-金融或其他衍生品投资负债
-99.23%1.19万
-99.23%1.19万
--0
--0
--0
--154.21万
--154.21万
----
--20.4万
--14万
-短期借款及资本租赁负债
-49.21%3,233.88万
-49.21%3,233.88万
-33.64%3,378.3万
-31.00%2,851万
25.15%4,861万
67.51%6,366.93万
67.51%6,366.93万
43.68%5,090.8万
23.43%4,131.8万
--3,884.1万
-其中:短期借款
-50.24%3,127.28万
-50.24%3,127.28万
-34.57%3,285.4万
-31.71%2,766.1万
26.06%4,810万
68.54%6,284.83万
68.54%6,284.83万
43.81%5,021.1万
22.90%4,050.8万
--3,815.5万
-其中:资本租赁负债
29.83%106.6万
29.83%106.6万
33.29%92.9万
4.81%84.9万
-25.66%51万
14.20%82.11万
14.20%82.11万
35.08%69.7万
56.98%81万
--68.6万
应付款项
-44.49%2,851.91万
-44.49%2,851.91万
3.67%6,909.1万
28.38%5,565.7万
-1.45%4,657.5万
20.40%5,137.99万
20.40%5,137.99万
45.20%6,664.7万
51.73%4,335.4万
--4,726.2万
-应付账款
-48.73%2,319.51万
-48.73%2,319.51万
12.75%5,130.2万
41.25%3,782.7万
4.47%3,131.4万
55.51%4,524.45万
55.51%4,524.45万
52.95%4,550.2万
62.55%2,678.1万
--2,997.5万
-应交税费
-18.79%144.8万
-18.79%144.8万
----
----
----
-56.30%178.31万
-56.30%178.31万
-10.40%564.6万
5.23%507.3万
--672.5万
-应付股息
----
----
----
----
----
--0
--0
----
----
----
-其他应付款
-10.95%387.6万
-10.95%387.6万
14.78%1,778.9万
55.04%1,783万
44.49%1,526.1万
-3.26%435.24万
-3.26%435.24万
57.35%1,549.9万
58.05%1,150万
--1,056.2万
现行拨备
-9.66%253.6万
-9.66%253.6万
----
----
----
2.06%280.7万
2.06%280.7万
----
----
----
养老金及其他退休福利计划
-56.64%110万
-56.64%110万
----
----
----
26.86%253.72万
26.86%253.72万
----
----
----
应计及递延所得
-56.54%275.44万
-56.54%275.44万
----
----
----
25.88%633.81万
25.88%633.81万
----
----
----
流动负债合计
-47.57%6,726.02万
-47.57%6,726.02万
-12.49%1.03亿
-0.84%8,416.7万
10.37%9,518.5万
41.79%1.28亿
41.79%1.28亿
44.54%1.18亿
36.79%8,487.6万
--8,624.3万
非流动负债
非流动金融负债
-6.20%2,328.27万
-6.20%2,328.27万
-11.16%2,411.9万
-10.29%2,475.4万
-7.44%2,405.8万
-6.08%2,482.11万
-6.08%2,482.11万
-2.99%2,715万
-4.21%2,759.3万
--2,599.3万
-长期借款及资本租赁
-6.20%2,328.27万
-6.20%2,328.27万
-11.16%2,411.9万
-10.29%2,475.4万
-7.44%2,405.8万
-6.08%2,482.11万
-6.08%2,482.11万
-2.99%2,715万
-4.21%2,759.3万
--2,599.3万
-其中:长期借款
-7.13%2,214.67万
-7.13%2,214.67万
-14.26%2,277.4万
-13.51%2,327.4万
-8.96%2,337.7万
-8.28%2,384.58万
-8.28%2,384.58万
-4.10%2,656.3万
-5.14%2,691.1万
--2,567.7万
-其中:长期资本租赁负债
16.47%113.6万
16.47%113.6万
129.13%134.5万
117.01%148万
115.51%68.1万
126.29%97.53万
126.29%97.53万
102.41%58.7万
56.06%68.2万
--31.6万
非流动递延所得税负债
679.67%516.73万
679.67%516.73万
-75.33%66.3万
-75.33%66.3万
-75.33%66.3万
-75.34%66.28万
-75.34%66.28万
0.00%268.8万
0.00%268.8万
--268.8万
非流动负债合计
11.64%2,845万
11.64%2,845万
-16.94%2,478.2万
-16.06%2,541.7万
-13.81%2,472.1万
-12.48%2,548.39万
-12.48%2,548.39万
-2.73%2,983.8万
-3.85%3,028.1万
--2,868.1万
负债总额
-37.75%9,571.02万
-37.75%9,571.02万
-13.39%1.28亿
-4.84%1.1亿
4.34%1.2亿
28.58%1.54亿
28.58%1.54亿
31.59%1.47亿
23.10%1.15亿
--1.15亿
所有者权益
股本
0.00%6,741.91万
0.00%6,741.91万
0.00%6,741.9万
0.00%6,741.9万
0.00%6,741.9万
0.00%6,741.91万
0.00%6,741.91万
89.21%6,741.9万
89.21%6,741.9万
--6,741.9万
-普通股
0.00%6,741.91万
0.00%6,741.91万
0.00%6,741.9万
0.00%6,741.9万
0.00%6,741.9万
0.00%6,741.91万
0.00%6,741.91万
89.21%6,741.9万
89.21%6,741.9万
--6,741.9万
留存收益
0.79%7,848.85万
0.79%7,848.85万
----
----
----
35.35%7,787.14万
35.35%7,787.14万
----
33.00%5,878.1万
----
固定资产重估价值准备
28.24%1,783.87万
28.24%1,783.87万
----
----
----
81.73%1,391.06万
81.73%1,391.06万
----
0.00%765.5万
----
其他储备
-0.06%-3,180.64万
-0.06%-3,180.64万
37.02%6,254.7万
288.10%5,979.3万
49.05%5,874.6万
0.00%-3,178.8万
0.00%-3,178.8万
--4,564.8万
---3,178.8万
--3,941.3万
股东权益
3.55%1.32亿
3.55%1.32亿
14.95%1.3亿
24.64%1.27亿
18.10%1.26亿
26.38%1.27亿
26.38%1.27亿
18.33%1.13亿
16.67%1.02亿
--1.07亿
总权益
3.55%1.32亿
3.55%1.32亿
14.95%1.3亿
24.64%1.27亿
18.10%1.26亿
26.38%1.27亿
26.38%1.27亿
18.33%1.13亿
16.67%1.02亿
--1.07亿
会计准则
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
资产
流动资产
现金及现金等价物与短期投资 -44.55%4,207.71万-44.55%4,207.71万-27.25%4,830.5万-5.09%4,568.6万-4.63%5,994.9万118.28%7,588.72万118.28%7,588.72万34.75%6,640.2万-10.86%4,813.8万--6,286万
-现金及现金等价物 -1.26%2,801.4万-1.26%2,801.4万-22.99%2,530.1万20.89%1,713.6万-3.39%2,798.1万110.96%2,837.28万110.96%2,837.28万136.54%3,285.5万-52.08%1,417.5万--2,896.3万
-其中:现金 -1.26%2,801.4万-1.26%2,801.4万-22.99%2,530.1万20.89%1,713.6万-3.39%2,798.1万110.96%2,837.28万110.96%2,837.28万136.54%3,285.5万-52.08%1,417.5万--2,896.3万
-短期投资 -70.40%1,406.31万-70.40%1,406.31万-31.43%2,300.4万-15.94%2,855万-5.69%3,196.8万122.90%4,751.44万122.90%4,751.44万-5.20%3,354.7万39.07%3,396.3万--3,389.7万
应收款项 -26.07%4,257.08万-26.07%4,257.08万-1.36%4,578.5万-3.09%5,029.8万20.91%5,449.9万-9.55%5,758.25万-9.55%5,758.25万12.55%4,641.8万75.92%5,190.4万--4,507.3万
-应收账款净额 -25.92%4,213.87万-25.92%4,213.87万11.55%4,161.5万-9.04%4,031万16.10%4,596.2万-10.40%5,688.4万-10.40%5,688.4万3.40%3,730.5万77.14%4,431.6万--3,958.8万
-其中:应收账款 -35.85%4,323.51万-35.85%4,323.51万------------6.11%6,739.61万6.11%6,739.61万------------
-其中:坏账准备 89.57%-109.65万89.57%-109.65万-------------38,192.66%-1,051.21万-38,192.66%-1,051.21万------------
-其他应收款 -38.13%43.21万-38.13%43.21万-54.24%417万31.63%998.8万55.64%853.7万298.03%69.84万298.03%69.84万76.51%911.3万69.11%758.8万--548.5万
存货 -19.28%5,745.43万-19.28%5,745.43万17.55%8,687.2万18.98%6,718.3万6.71%5,888.4万46.38%7,117.77万46.38%7,117.77万28.63%7,390.5万42.77%5,646.4万--5,518.3万
预付费用 -38.73%292.88万-38.73%292.88万-------------14.31%477.98万-14.31%477.98万------------
受限制现金 ---------------------93.81%73.59万-93.81%73.59万------------
税项资产 121.27%1,171.23万121.27%1,171.23万104.65%1,035.3万154.56%709.7万306.49%645.1万2,316.12%529.33万2,316.12%529.33万19.57%505.9万6.29%278.8万--158.7万
套期保值资产 -80.82%5.17万-80.82%5.17万-99.95%6,000--0--0264.44%26.96万264.44%26.96万--1,096万--0--0
流动资产合计 -27.07%1.57亿-27.07%1.57亿-5.63%1.91亿6.89%1.7亿9.16%1.8亿30.44%2.15亿30.44%2.15亿33.20%2.03亿26.75%1.59亿--1.65亿
非流动资产
物业厂房及设备净额 12.24%4,285.52万12.24%4,285.52万-33.64%3,830.1万-33.49%3,853.2万-32.89%3,828.8万-31.31%3,818.06万-31.31%3,818.06万4.28%5,771.6万4.66%5,793万--5,705.3万
-物业、厂房及设备 14.40%5,161.84万14.40%5,161.84万-33.64%3,830.1万-33.49%3,853.2万-32.89%3,828.8万-26.25%4,512.1万-26.25%4,512.1万4.28%5,771.6万4.66%5,793万--5,705.3万
-累计折旧 -26.27%-876.33万-26.27%-876.33万-------------24.07%-694.04万-24.07%-694.04万------------
投资物业 0.00%2,800万0.00%2,800万--2,800万--2,800万--2,800万--2,800万--2,800万------------
投资总额 --0--0--------------0--0------------
-长期股权投资 --0--0--------------0--0------------
非流动资产合计 7.06%7,085.52万7.06%7,085.52万14.87%6,630.1万14.85%6,653.2万16.19%6,628.8万19.06%6,618.06万19.06%6,618.06万4.28%5,771.6万4.66%5,793万--5,705.3万
总资产 -19.03%2.28亿-19.03%2.28亿-1.09%2.58亿9.01%2.37亿10.96%2.46亿27.57%2.81亿27.57%2.81亿25.49%2.6亿20.00%2.17亿--2.22亿
负债
流动负债
金融负债 -50.39%3,235.08万-50.39%3,235.08万-33.64%3,378.3万-31.34%2,851万24.70%4,861万71.57%6,521.14万71.57%6,521.14万43.68%5,090.8万24.04%4,152.2万--3,898.1万
-金融或其他衍生品投资负债 -99.23%1.19万-99.23%1.19万--0--0--0--154.21万--154.21万------20.4万--14万
-短期借款及资本租赁负债 -49.21%3,233.88万-49.21%3,233.88万-33.64%3,378.3万-31.00%2,851万25.15%4,861万67.51%6,366.93万67.51%6,366.93万43.68%5,090.8万23.43%4,131.8万--3,884.1万
-其中:短期借款 -50.24%3,127.28万-50.24%3,127.28万-34.57%3,285.4万-31.71%2,766.1万26.06%4,810万68.54%6,284.83万68.54%6,284.83万43.81%5,021.1万22.90%4,050.8万--3,815.5万
-其中:资本租赁负债 29.83%106.6万29.83%106.6万33.29%92.9万4.81%84.9万-25.66%51万14.20%82.11万14.20%82.11万35.08%69.7万56.98%81万--68.6万
应付款项 -44.49%2,851.91万-44.49%2,851.91万3.67%6,909.1万28.38%5,565.7万-1.45%4,657.5万20.40%5,137.99万20.40%5,137.99万45.20%6,664.7万51.73%4,335.4万--4,726.2万
-应付账款 -48.73%2,319.51万-48.73%2,319.51万12.75%5,130.2万41.25%3,782.7万4.47%3,131.4万55.51%4,524.45万55.51%4,524.45万52.95%4,550.2万62.55%2,678.1万--2,997.5万
-应交税费 -18.79%144.8万-18.79%144.8万-------------56.30%178.31万-56.30%178.31万-10.40%564.6万5.23%507.3万--672.5万
-应付股息 ----------------------0--0------------
-其他应付款 -10.95%387.6万-10.95%387.6万14.78%1,778.9万55.04%1,783万44.49%1,526.1万-3.26%435.24万-3.26%435.24万57.35%1,549.9万58.05%1,150万--1,056.2万
现行拨备 -9.66%253.6万-9.66%253.6万------------2.06%280.7万2.06%280.7万------------
养老金及其他退休福利计划 -56.64%110万-56.64%110万------------26.86%253.72万26.86%253.72万------------
应计及递延所得 -56.54%275.44万-56.54%275.44万------------25.88%633.81万25.88%633.81万------------
流动负债合计 -47.57%6,726.02万-47.57%6,726.02万-12.49%1.03亿-0.84%8,416.7万10.37%9,518.5万41.79%1.28亿41.79%1.28亿44.54%1.18亿36.79%8,487.6万--8,624.3万
非流动负债
非流动金融负债 -6.20%2,328.27万-6.20%2,328.27万-11.16%2,411.9万-10.29%2,475.4万-7.44%2,405.8万-6.08%2,482.11万-6.08%2,482.11万-2.99%2,715万-4.21%2,759.3万--2,599.3万
-长期借款及资本租赁 -6.20%2,328.27万-6.20%2,328.27万-11.16%2,411.9万-10.29%2,475.4万-7.44%2,405.8万-6.08%2,482.11万-6.08%2,482.11万-2.99%2,715万-4.21%2,759.3万--2,599.3万
-其中:长期借款 -7.13%2,214.67万-7.13%2,214.67万-14.26%2,277.4万-13.51%2,327.4万-8.96%2,337.7万-8.28%2,384.58万-8.28%2,384.58万-4.10%2,656.3万-5.14%2,691.1万--2,567.7万
-其中:长期资本租赁负债 16.47%113.6万16.47%113.6万129.13%134.5万117.01%148万115.51%68.1万126.29%97.53万126.29%97.53万102.41%58.7万56.06%68.2万--31.6万
非流动递延所得税负债 679.67%516.73万679.67%516.73万-75.33%66.3万-75.33%66.3万-75.33%66.3万-75.34%66.28万-75.34%66.28万0.00%268.8万0.00%268.8万--268.8万
非流动负债合计 11.64%2,845万11.64%2,845万-16.94%2,478.2万-16.06%2,541.7万-13.81%2,472.1万-12.48%2,548.39万-12.48%2,548.39万-2.73%2,983.8万-3.85%3,028.1万--2,868.1万
负债总额 -37.75%9,571.02万-37.75%9,571.02万-13.39%1.28亿-4.84%1.1亿4.34%1.2亿28.58%1.54亿28.58%1.54亿31.59%1.47亿23.10%1.15亿--1.15亿
所有者权益
股本 0.00%6,741.91万0.00%6,741.91万0.00%6,741.9万0.00%6,741.9万0.00%6,741.9万0.00%6,741.91万0.00%6,741.91万89.21%6,741.9万89.21%6,741.9万--6,741.9万
-普通股 0.00%6,741.91万0.00%6,741.91万0.00%6,741.9万0.00%6,741.9万0.00%6,741.9万0.00%6,741.91万0.00%6,741.91万89.21%6,741.9万89.21%6,741.9万--6,741.9万
留存收益 0.79%7,848.85万0.79%7,848.85万------------35.35%7,787.14万35.35%7,787.14万----33.00%5,878.1万----
固定资产重估价值准备 28.24%1,783.87万28.24%1,783.87万------------81.73%1,391.06万81.73%1,391.06万----0.00%765.5万----
其他储备 -0.06%-3,180.64万-0.06%-3,180.64万37.02%6,254.7万288.10%5,979.3万49.05%5,874.6万0.00%-3,178.8万0.00%-3,178.8万--4,564.8万---3,178.8万--3,941.3万
股东权益 3.55%1.32亿3.55%1.32亿14.95%1.3亿24.64%1.27亿18.10%1.26亿26.38%1.27亿26.38%1.27亿18.33%1.13亿16.67%1.02亿--1.07亿
总权益 3.55%1.32亿3.55%1.32亿14.95%1.3亿24.64%1.27亿18.10%1.26亿26.38%1.27亿26.38%1.27亿18.33%1.13亿16.67%1.02亿--1.07亿
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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