马来西亚市场个股详情

TOPVISN (0332)

添加自选
  • 0.155
  • 0.0000.00%
延时15分钟行情休市中 05/29 16:26 (北京)
4802.14万总市值38.75市盈率TTM

0332 TOPVISN

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(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
资产
流动资产
现金及现金等价物与短期投资
-20.91%1,807.4万
-29.95%1,790.06万
-29.95%1,790.06万
90.69%1,885.2万
154.19%2,217.8万
--2,285.2万
158.47%2,555.3万
158.47%2,555.3万
--988.6万
-18.51%872.5万
-现金及现金等价物
-10.85%815.1万
6.38%1,073.82万
6.38%1,073.82万
4.74%673.7万
-7.53%806.8万
--914.3万
53.57%1,009.45万
53.57%1,009.45万
--643.2万
-18.51%872.5万
-其中:现金
-10.85%815.1万
6.38%1,073.82万
6.38%1,073.82万
4.74%673.7万
-7.53%806.8万
--914.3万
53.57%1,009.45万
53.57%1,009.45万
--643.2万
-18.51%872.5万
-短期投资
-27.62%992.3万
-53.67%716.23万
-53.67%716.23万
250.75%1,211.5万
--1,411万
--1,370.9万
366.59%1,545.85万
366.59%1,545.85万
--345.4万
----
应收款项
-2.15%268.3万
-15.83%122.83万
-15.83%122.83万
-33.19%301万
-20.97%336.5万
--274.2万
-6.39%145.93万
-6.39%145.93万
--450.5万
35.61%425.8万
-应收账款净额
-41.73%78.9万
-27.20%96.48万
-27.20%96.48万
-1.59%92.9万
-28.98%126.7万
--135.4万
-6.03%132.53万
-6.03%132.53万
--94.4万
14.14%178.4万
-其他应收款
36.46%189.4万
96.61%26.35万
96.61%26.35万
-41.56%208.1万
-15.20%209.8万
--138.8万
-9.76%13.4万
-9.76%13.4万
--356.1万
56.88%247.4万
存货
10.50%249.4万
8.36%219.26万
8.36%219.26万
1.60%241.9万
-6.14%223.2万
--225.7万
-1.87%202.34万
-1.87%202.34万
--238.1万
-11.70%237.8万
预付费用
----
36.19%145.58万
36.19%145.58万
----
----
----
-40.71%106.9万
-40.71%106.9万
----
----
受限制现金
----
----
----
----
----
----
--2万
--2万
----
----
税项资产
88.99%41.2万
170.87%41.78万
170.87%41.78万
2,004.00%52.6万
3,490.00%35.9万
--21.8万
462.03%15.42万
462.03%15.42万
--2.5万
--1万
流动资产合计
-15.70%2,366.3万
-23.34%2,319.51万
-23.34%2,319.51万
47.69%2,480.7万
83.03%2,813.4万
--2,806.9万
97.29%3,025.9万
97.29%3,025.9万
--1,679.7万
-7.07%1,537.1万
非流动资产
物业厂房及设备净额
-1.62%5,097.1万
7.35%5,219.5万
7.35%5,219.5万
13.57%5,242.6万
33.09%5,283.7万
--5,181万
39.29%4,862.14万
39.29%4,862.14万
--4,616万
15.22%3,970.1万
-物业、厂房及设备
----
12.66%8,373.93万
12.66%8,373.93万
----
----
----
33.48%7,432.86万
33.48%7,432.86万
----
----
-累计折旧
----
-22.71%-3,154.43万
-22.71%-3,154.43万
----
----
----
-23.70%-2,570.71万
-23.70%-2,570.71万
----
----
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
-1.62%5,097.1万
7.35%5,219.5万
7.35%5,219.5万
13.57%5,242.6万
33.09%5,283.7万
--5,181万
39.29%4,862.14万
39.29%4,862.14万
--4,616万
15.22%3,970.1万
总资产
-6.57%7,463.4万
-4.42%7,539万
-4.42%7,539万
22.68%7,723.3万
47.03%8,097.1万
--7,987.9万
57.00%7,888.04万
57.00%7,888.04万
--6,295.7万
7.99%5,507.2万
负债
流动负债
金融负债
-1.46%230万
32.31%287.61万
32.31%287.61万
-1.63%229.6万
27.13%234.8万
--233.4万
22.65%217.37万
22.65%217.37万
--233.4万
22.16%184.7万
-短期借款及资本租赁负债
-1.46%230万
32.31%287.61万
32.31%287.61万
-1.63%229.6万
27.13%234.8万
--233.4万
22.65%217.37万
22.65%217.37万
--233.4万
22.16%184.7万
-其中:短期借款
-5.05%95.8万
33.73%112.98万
33.73%112.98万
-5.15%95.7万
77.64%100.9万
--100.9万
45.93%84.48万
45.93%84.48万
--100.9万
6.17%56.8万
-其中:资本租赁负债
1.28%134.2万
31.41%174.63万
31.41%174.63万
1.06%133.9万
4.69%133.9万
--132.5万
11.36%132.89万
11.36%132.89万
--132.5万
30.91%127.9万
应付款项
-14.98%358.2万
-30.75%149.25万
-30.75%149.25万
-19.90%258.4万
-12.25%368.3万
--421.3万
9.25%215.53万
9.25%215.53万
--322.6万
19.95%419.7万
-应付账款
15.30%91.2万
16.28%82.26万
16.28%82.26万
6.65%80.2万
1.18%85.7万
--79.1万
6.31%70.74万
6.31%70.74万
--75.2万
-14.36%84.7万
-应交税费
--0
-31.75%9.96万
-31.75%9.96万
--0
--0
--0
-56.70%14.6万
-56.70%14.6万
--0
-67.89%18.3万
-其他应付款
-21.98%267万
-56.19%57.03万
-56.19%57.03万
-27.97%178.2万
-10.77%282.6万
--342.2万
34.19%130.19万
34.19%130.19万
--247.4万
63.25%316.7万
应计及递延所得
----
9.48%242.99万
9.48%242.99万
----
----
----
43.81%221.94万
43.81%221.94万
----
----
流动负债合计
-10.16%588.2万
3.82%679.85万
3.82%679.85万
-12.23%488万
-0.22%603.1万
--654.7万
23.83%654.84万
23.83%654.84万
--556万
20.61%604.4万
非流动负债
非流动金融负债
0.89%2,482.3万
1.10%2,477.41万
1.10%2,477.41万
9.34%2,576.7万
59.29%2,561.6万
--2,460.4万
64.21%2,450.47万
64.21%2,450.47万
--2,356.6万
0.95%1,608.1万
-长期借款及资本租赁
0.89%2,482.3万
1.10%2,477.41万
1.10%2,477.41万
9.34%2,576.7万
59.29%2,561.6万
--2,460.4万
64.21%2,450.47万
64.21%2,450.47万
--2,356.6万
0.95%1,608.1万
-其中:长期借款
-3.98%1,081.4万
-5.49%1,071.44万
-5.49%1,071.44万
4.66%1,088.6万
45.07%1,080.3万
--1,126.2万
76.18%1,133.73万
76.18%1,133.73万
--1,040.1万
10.37%744.7万
-其中:长期资本租赁负债
5.00%1,400.9万
6.78%1,405.97万
6.78%1,405.97万
13.03%1,488.1万
71.57%1,481.3万
--1,334.2万
55.14%1,316.75万
55.14%1,316.75万
--1,316.5万
-5.98%863.4万
非流动递延所得税负债
0.00%5,000
0.00%5,000
0.00%5,000
0.00%5,000
0.00%5,000
--5,000
0.00%5,000
0.00%5,000
--5,000
0.00%5,000
非流动负债合计
0.89%2,482.8万
1.10%2,477.91万
1.10%2,477.91万
9.34%2,577.2万
59.28%2,562.1万
--2,460.9万
64.19%2,450.97万
64.19%2,450.97万
--2,357.1万
0.95%1,608.6万
负债总额
-1.43%3,071万
1.67%3,157.76万
1.67%3,157.76万
5.22%3,065.2万
43.03%3,165.2万
--3,115.6万
53.63%3,105.82万
53.63%3,105.82万
--2,913.1万
5.65%2,213万
所有者权益
股本
0.00%3,395.6万
0.00%3,395.61万
0.00%3,395.61万
95.93%3,395.6万
95.93%3,395.6万
--3,395.6万
95.92%3,395.61万
95.92%3,395.61万
--1,733.1万
0.00%1,733.1万
-普通股
0.00%3,395.6万
0.00%3,395.61万
0.00%3,395.61万
95.93%3,395.6万
95.93%3,395.6万
--3,395.6万
95.92%3,395.61万
95.92%3,395.61万
--1,733.1万
0.00%1,733.1万
留存收益
-28.09%1,253万
-25.24%1,244.82万
-25.24%1,244.82万
-20.60%1,530.9万
-2.70%1,798.5万
--1,742.4万
5.96%1,665.17万
5.96%1,665.17万
--1,928.1万
16.17%1,848.4万
其他股本权益
0.00%-364.1万
0.00%-364.15万
0.00%-364.15万
0.00%-364.1万
0.00%-364.1万
---364.1万
0.00%-364.15万
0.00%-364.15万
---364.1万
0.00%-364.1万
股东权益
-10.25%4,284.5万
-8.95%4,276.28万
-8.95%4,276.28万
38.38%4,562.4万
50.12%4,830万
--4,773.9万
59.73%4,696.64万
59.73%4,696.64万
--3,297.1万
8.69%3,217.4万
非控制性权益
9.65%107.9万
22.64%104.96万
22.64%104.96万
11.93%95.7万
32.68%101.9万
--98.4万
37.42%85.58万
37.42%85.58万
--85.5万
70.29%76.8万
总权益
-9.85%4,392.4万
-8.38%4,381.24万
-8.38%4,381.24万
37.71%4,658.1万
49.71%4,931.9万
--4,872.3万
59.26%4,782.22万
59.26%4,782.22万
--3,382.6万
9.62%3,294.2万
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q1)2026/03/31(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
资产
流动资产
现金及现金等价物与短期投资 -20.91%1,807.4万-29.95%1,790.06万-29.95%1,790.06万90.69%1,885.2万154.19%2,217.8万--2,285.2万158.47%2,555.3万158.47%2,555.3万--988.6万-18.51%872.5万
-现金及现金等价物 -10.85%815.1万6.38%1,073.82万6.38%1,073.82万4.74%673.7万-7.53%806.8万--914.3万53.57%1,009.45万53.57%1,009.45万--643.2万-18.51%872.5万
-其中:现金 -10.85%815.1万6.38%1,073.82万6.38%1,073.82万4.74%673.7万-7.53%806.8万--914.3万53.57%1,009.45万53.57%1,009.45万--643.2万-18.51%872.5万
-短期投资 -27.62%992.3万-53.67%716.23万-53.67%716.23万250.75%1,211.5万--1,411万--1,370.9万366.59%1,545.85万366.59%1,545.85万--345.4万----
应收款项 -2.15%268.3万-15.83%122.83万-15.83%122.83万-33.19%301万-20.97%336.5万--274.2万-6.39%145.93万-6.39%145.93万--450.5万35.61%425.8万
-应收账款净额 -41.73%78.9万-27.20%96.48万-27.20%96.48万-1.59%92.9万-28.98%126.7万--135.4万-6.03%132.53万-6.03%132.53万--94.4万14.14%178.4万
-其他应收款 36.46%189.4万96.61%26.35万96.61%26.35万-41.56%208.1万-15.20%209.8万--138.8万-9.76%13.4万-9.76%13.4万--356.1万56.88%247.4万
存货 10.50%249.4万8.36%219.26万8.36%219.26万1.60%241.9万-6.14%223.2万--225.7万-1.87%202.34万-1.87%202.34万--238.1万-11.70%237.8万
预付费用 ----36.19%145.58万36.19%145.58万-------------40.71%106.9万-40.71%106.9万--------
受限制现金 --------------------------2万--2万--------
税项资产 88.99%41.2万170.87%41.78万170.87%41.78万2,004.00%52.6万3,490.00%35.9万--21.8万462.03%15.42万462.03%15.42万--2.5万--1万
流动资产合计 -15.70%2,366.3万-23.34%2,319.51万-23.34%2,319.51万47.69%2,480.7万83.03%2,813.4万--2,806.9万97.29%3,025.9万97.29%3,025.9万--1,679.7万-7.07%1,537.1万
非流动资产
物业厂房及设备净额 -1.62%5,097.1万7.35%5,219.5万7.35%5,219.5万13.57%5,242.6万33.09%5,283.7万--5,181万39.29%4,862.14万39.29%4,862.14万--4,616万15.22%3,970.1万
-物业、厂房及设备 ----12.66%8,373.93万12.66%8,373.93万------------33.48%7,432.86万33.48%7,432.86万--------
-累计折旧 -----22.71%-3,154.43万-22.71%-3,154.43万-------------23.70%-2,570.71万-23.70%-2,570.71万--------
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 -1.62%5,097.1万7.35%5,219.5万7.35%5,219.5万13.57%5,242.6万33.09%5,283.7万--5,181万39.29%4,862.14万39.29%4,862.14万--4,616万15.22%3,970.1万
总资产 -6.57%7,463.4万-4.42%7,539万-4.42%7,539万22.68%7,723.3万47.03%8,097.1万--7,987.9万57.00%7,888.04万57.00%7,888.04万--6,295.7万7.99%5,507.2万
负债
流动负债
金融负债 -1.46%230万32.31%287.61万32.31%287.61万-1.63%229.6万27.13%234.8万--233.4万22.65%217.37万22.65%217.37万--233.4万22.16%184.7万
-短期借款及资本租赁负债 -1.46%230万32.31%287.61万32.31%287.61万-1.63%229.6万27.13%234.8万--233.4万22.65%217.37万22.65%217.37万--233.4万22.16%184.7万
-其中:短期借款 -5.05%95.8万33.73%112.98万33.73%112.98万-5.15%95.7万77.64%100.9万--100.9万45.93%84.48万45.93%84.48万--100.9万6.17%56.8万
-其中:资本租赁负债 1.28%134.2万31.41%174.63万31.41%174.63万1.06%133.9万4.69%133.9万--132.5万11.36%132.89万11.36%132.89万--132.5万30.91%127.9万
应付款项 -14.98%358.2万-30.75%149.25万-30.75%149.25万-19.90%258.4万-12.25%368.3万--421.3万9.25%215.53万9.25%215.53万--322.6万19.95%419.7万
-应付账款 15.30%91.2万16.28%82.26万16.28%82.26万6.65%80.2万1.18%85.7万--79.1万6.31%70.74万6.31%70.74万--75.2万-14.36%84.7万
-应交税费 --0-31.75%9.96万-31.75%9.96万--0--0--0-56.70%14.6万-56.70%14.6万--0-67.89%18.3万
-其他应付款 -21.98%267万-56.19%57.03万-56.19%57.03万-27.97%178.2万-10.77%282.6万--342.2万34.19%130.19万34.19%130.19万--247.4万63.25%316.7万
应计及递延所得 ----9.48%242.99万9.48%242.99万------------43.81%221.94万43.81%221.94万--------
流动负债合计 -10.16%588.2万3.82%679.85万3.82%679.85万-12.23%488万-0.22%603.1万--654.7万23.83%654.84万23.83%654.84万--556万20.61%604.4万
非流动负债
非流动金融负债 0.89%2,482.3万1.10%2,477.41万1.10%2,477.41万9.34%2,576.7万59.29%2,561.6万--2,460.4万64.21%2,450.47万64.21%2,450.47万--2,356.6万0.95%1,608.1万
-长期借款及资本租赁 0.89%2,482.3万1.10%2,477.41万1.10%2,477.41万9.34%2,576.7万59.29%2,561.6万--2,460.4万64.21%2,450.47万64.21%2,450.47万--2,356.6万0.95%1,608.1万
-其中:长期借款 -3.98%1,081.4万-5.49%1,071.44万-5.49%1,071.44万4.66%1,088.6万45.07%1,080.3万--1,126.2万76.18%1,133.73万76.18%1,133.73万--1,040.1万10.37%744.7万
-其中:长期资本租赁负债 5.00%1,400.9万6.78%1,405.97万6.78%1,405.97万13.03%1,488.1万71.57%1,481.3万--1,334.2万55.14%1,316.75万55.14%1,316.75万--1,316.5万-5.98%863.4万
非流动递延所得税负债 0.00%5,0000.00%5,0000.00%5,0000.00%5,0000.00%5,000--5,0000.00%5,0000.00%5,000--5,0000.00%5,000
非流动负债合计 0.89%2,482.8万1.10%2,477.91万1.10%2,477.91万9.34%2,577.2万59.28%2,562.1万--2,460.9万64.19%2,450.97万64.19%2,450.97万--2,357.1万0.95%1,608.6万
负债总额 -1.43%3,071万1.67%3,157.76万1.67%3,157.76万5.22%3,065.2万43.03%3,165.2万--3,115.6万53.63%3,105.82万53.63%3,105.82万--2,913.1万5.65%2,213万
所有者权益
股本 0.00%3,395.6万0.00%3,395.61万0.00%3,395.61万95.93%3,395.6万95.93%3,395.6万--3,395.6万95.92%3,395.61万95.92%3,395.61万--1,733.1万0.00%1,733.1万
-普通股 0.00%3,395.6万0.00%3,395.61万0.00%3,395.61万95.93%3,395.6万95.93%3,395.6万--3,395.6万95.92%3,395.61万95.92%3,395.61万--1,733.1万0.00%1,733.1万
留存收益 -28.09%1,253万-25.24%1,244.82万-25.24%1,244.82万-20.60%1,530.9万-2.70%1,798.5万--1,742.4万5.96%1,665.17万5.96%1,665.17万--1,928.1万16.17%1,848.4万
其他股本权益 0.00%-364.1万0.00%-364.15万0.00%-364.15万0.00%-364.1万0.00%-364.1万---364.1万0.00%-364.15万0.00%-364.15万---364.1万0.00%-364.1万
股东权益 -10.25%4,284.5万-8.95%4,276.28万-8.95%4,276.28万38.38%4,562.4万50.12%4,830万--4,773.9万59.73%4,696.64万59.73%4,696.64万--3,297.1万8.69%3,217.4万
非控制性权益 9.65%107.9万22.64%104.96万22.64%104.96万11.93%95.7万32.68%101.9万--98.4万37.42%85.58万37.42%85.58万--85.5万70.29%76.8万
总权益 -9.85%4,392.4万-8.38%4,381.24万-8.38%4,381.24万37.71%4,658.1万49.71%4,931.9万--4,872.3万59.26%4,782.22万59.26%4,782.22万--3,382.6万9.62%3,294.2万
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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