马来西亚市场个股详情

2097 MBRIGHT

添加自选
  • 0.140
  • +0.005+3.70%
延时15分钟行情未开盘 12/13 16:50 (北京)
3.54亿总市值28.00市盈率TTM

MBRIGHT关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
(Q2)2023/12/31
(Q1)2023/09/30
(FY)2023/06/30
(Q4)2023/06/30
(Q3)2023/03/31
(Q2)2022/12/31
资产
流动资产
现金及现金等价物与短期投资
17.74%4,916.2万
-8.49%3,406.37万
-8.49%3,406.37万
-30.68%3,917.6万
62.28%4,044.45万
102.63%4,175.61万
38.81%3,722.37万
38.81%3,722.37万
82.10%5,651.56万
89.38%2,492.25万
-现金及现金等价物
57.80%4,916.2万
-8.49%3,406.37万
-8.49%3,406.37万
-14.84%3,917.6万
180.70%4,044.45万
51.18%3,115.53万
38.81%3,722.37万
38.81%3,722.37万
79.33%4,600.17万
65.12%1,440.87万
-其中:现金
13.40%3,533.1万
-8.49%3,406.37万
-8.49%3,406.37万
-43.63%2,593.2万
133.62%3,366.2万
51.18%3,115.53万
38.81%3,722.37万
38.81%3,722.37万
79.33%4,600.17万
65.12%1,440.87万
-其中:现金等价物
--1,383.1万
----
----
--1,324.4万
--678.24万
----
----
----
----
----
-短期投资
----
----
----
----
----
--1,060.08万
----
----
95.29%1,051.38万
137.13%1,051.38万
应收款项
112.88%6,559.5万
311.77%4,694.05万
311.77%4,694.05万
232.65%6,256.6万
117.34%2,960.59万
328.63%3,081.33万
146.12%1,139.97万
146.12%1,139.97万
467.49%1,880.86万
295.35%1,362.2万
-应收账款净额
161.92%6,105.3万
1,714.28%3,769.18万
1,714.28%3,769.18万
321.47%4,928万
102.48%2,154.69万
460.63%2,330.94万
-4.13%207.75万
-4.13%207.75万
256.55%1,169.25万
211.79%1,064.16万
-其中:应收账款
----
1,188.11%3,863.25万
1,188.11%3,863.25万
----
----
----
-10.23%299.92万
-10.23%299.92万
----
----
-其中:坏账准备
----
-2.07%-94.07万
-2.07%-94.07万
----
----
----
21.48%-92.16万
21.48%-92.16万
----
----
-其他应收款
-39.47%454.2万
-0.79%924.87万
-0.79%924.87万
86.71%1,328.6万
170.40%805.91万
147.56%750.39万
278.22%932.22万
278.22%932.22万
20,215.26%711.6万
9,068.25%298.04万
存货
-22.14%7,119.3万
-20.78%7,183.43万
-20.78%7,183.43万
-17.72%7,262.6万
-23.88%6,626.57万
5.02%9,143.93万
45.40%9,067.15万
45.40%9,067.15万
135.89%8,827.19万
138.08%8,705.76万
预付费用
----
150.50%1,294.11万
150.50%1,294.11万
----
----
----
210.05%516.61万
210.05%516.61万
----
----
受限制现金
----
28.86%1,398.48万
28.86%1,398.48万
----
----
----
100.12%1,085.24万
100.12%1,085.24万
----
----
税项资产
2,323.36%166万
1,498.84%72.18万
1,498.84%72.18万
--154.1万
--8.13万
--6.85万
1,728.55%4.51万
1,728.55%4.51万
----
----
递延资产
--12.9万
--5.11万
--5.11万
----
----
----
--0
--0
----
----
其他流动资产
----
----
----
---1,000
----
----
----
----
----
----
流动资产合计
14.42%1.88亿
16.21%1.81亿
16.21%1.81亿
7.53%1.76亿
8.59%1.36亿
31.91%1.64亿
53.97%1.55亿
53.97%1.55亿
126.14%1.64亿
133.70%1.26亿
非流动资产
物业厂房及设备净额
103.86%2.08亿
125.98%2.08亿
125.98%2.08亿
128.36%2.01亿
40.78%1.15亿
27.40%1.02亿
16.64%9,194.44万
16.64%9,194.44万
24.67%8,790.9万
16.85%8,178.66万
-物业、厂房及设备
----
108.96%3.17亿
108.96%3.17亿
----
----
----
11.97%1.52亿
11.97%1.52亿
----
----
-累计折旧
----
-82.84%-1.09亿
-82.84%-1.09亿
----
----
----
-5.48%-5,987.95万
-5.48%-5,987.95万
----
----
投资物业
81.46%1.14亿
80.75%1.13亿
80.75%1.13亿
69.22%1.06亿
46.95%9,198.37万
0.00%6,259.37万
0.00%6,259.37万
0.00%6,259.37万
0.00%6,259.37万
0.00%6,259.37万
长期预付费用
----
----
----
----
----
----
----
----
--50万
----
投资总额
163.20%415万
103.11%328.26万
103.11%328.26万
66.21%269.3万
16.94%187.51万
-2.35%157.68万
-0.79%161.61万
-0.79%161.61万
-3.94%162.03万
-1.22%160.35万
-长期股权投资
--240.1万
--136.26万
--136.26万
--81万
----
----
--0
--0
----
----
-金融资产投资
--174.9万
18.80%192万
18.80%192万
----
----
----
-0.79%161.61万
-0.79%161.61万
----
----
-其中:可供出售证券
--174.9万
18.80%192万
18.80%192万
----
----
----
-0.79%161.61万
-0.79%161.61万
----
----
-其他投资
----
----
----
16.22%188.3万
16.94%187.51万
-2.35%157.68万
----
----
-3.94%162.03万
-1.22%160.35万
长期应收账款及其他应收款
----
----
----
----
----
----
----
----
----
-60.42%1.12万
其他非流动资产
0.06%70.2万
-91.11%70.16万
-91.11%70.16万
--70.1万
--70.16万
--70.16万
--789.03万
--789.03万
----
----
非流动资产合计
95.59%3.26亿
98.05%3.25亿
98.05%3.25亿
103.16%3.1亿
43.64%2.1亿
15.66%1.67亿
14.66%1.64亿
14.66%1.64亿
13.21%1.53亿
8.76%1.46亿
总资产
55.35%5.14亿
58.24%5.05亿
58.24%5.05亿
53.68%4.86亿
27.43%3.46亿
23.18%3.31亿
30.92%3.19亿
30.92%3.19亿
52.65%3.16亿
44.48%2.72亿
负债
流动负债
金融负债
575.35%7,411.9万
869.04%6,898.37万
869.04%6,898.37万
751.45%6,294万
55.04%1,270.3万
314.76%1,097.48万
192.69%711.88万
192.69%711.88万
5,326.33%739.21万
-13.85%819.32万
-短期借款及资本租赁负债
575.35%7,411.9万
869.04%6,898.37万
869.04%6,898.37万
751.45%6,294万
55.04%1,270.3万
314.76%1,097.48万
192.69%711.88万
192.69%711.88万
5,326.33%739.21万
-13.85%819.32万
-其中:短期借款
588.13%7,411.9万
798.12%6,213.81万
798.12%6,213.81万
771.96%6,272.9万
55.27%1,241.83万
335.77%1,077.1万
195.50%691.87万
195.50%691.87万
43,076.27%719.4万
-14.57%799.8万
-其中:资本租赁负债
----
3,322.32%684.56万
3,322.32%684.56万
6.52%21.1万
45.86%28.47万
16.94%20.38万
120.15%20万
120.15%20万
65.68%19.81万
31.09%19.52万
应付款项
68.36%4,433.3万
150.48%3,723.97万
150.48%3,723.97万
79.94%3,948.7万
24.38%2,570.97万
11.76%2,633.25万
-26.71%1,486.75万
-26.71%1,486.75万
3.58%2,194.49万
-54.90%2,066.96万
-应付账款
58.59%4,176.1万
157.05%2,357.01万
157.05%2,357.01万
79.94%3,948.7万
24.38%2,570.97万
11.76%2,633.25万
-33.37%916.94万
-33.37%916.94万
3.58%2,194.49万
-54.90%2,066.96万
-应交税费
--257.2万
--40.57万
--40.57万
----
----
----
--0
--0
----
----
-其他应付款
----
132.78%1,326.39万
132.78%1,326.39万
----
----
----
-12.66%569.81万
-12.66%569.81万
----
----
现行拨备
5.96%192万
0.00%181.2万
0.00%181.2万
0.00%181.2万
0.00%181.2万
0.00%181.2万
0.00%181.2万
0.00%181.2万
0.00%181.2万
0.00%181.2万
递延所得税负债
----
----
----
--41.8万
----
----
----
----
----
----
应计及递延所得
-3.00%2,025万
-4.38%2,454.33万
-4.38%2,454.33万
-14.10%2,012.9万
-13.72%2,005.5万
-12.93%2,087.73万
-11.71%2,566.83万
-11.71%2,566.83万
680.00%2,343.42万
673.67%2,324.41万
流动负债合计
134.38%1.41亿
168.02%1.33亿
168.02%1.33亿
128.62%1.25亿
11.80%6,027.97万
15.38%5,999.66万
-7.72%4,946.66万
-7.72%4,946.66万
108.82%5,458.32万
-10.37%5,391.89万
非流动负债
非流动金融负债
247.46%6,423.7万
247.07%7,004.78万
247.07%7,004.78万
246.02%7,004.9万
33.16%2,702.24万
-10.32%1,848.74万
0.50%2,018.25万
0.50%2,018.25万
-3.99%2,024.44万
-57.78%2,029.33万
-长期借款及资本租赁
247.46%6,423.7万
247.07%7,004.78万
247.07%7,004.78万
246.02%7,004.9万
33.16%2,702.24万
-10.32%1,848.74万
0.50%2,018.25万
0.50%2,018.25万
-3.99%2,024.44万
-57.78%2,029.33万
-其中:长期借款
256.74%6,423.7万
171.41%5,425.01万
171.41%5,425.01万
229.52%6,586.4万
32.94%2,657.14万
-11.24%1,800.66万
0.00%1,998.8万
0.00%1,998.8万
-4.66%1,998.8万
-58.29%1,998.8万
-其中:长期资本租赁负债
----
8,024.22%1,579.77万
8,024.22%1,579.77万
1,532.10%418.5万
47.69%45.09万
45.94%48.08万
106.70%19.45万
106.70%19.45万
108.94%25.64万
106.01%30.53万
长期应付账款及其他应付款
-14.85%242.1万
-7.05%265.7万
-7.05%265.7万
-4.01%273.6万
-5.73%276.38万
3.61%284.31万
2.09%285.86万
2.09%285.86万
--285.03万
--293.17万
非流动递延所得税负债
87.73%1,531.4万
87.73%1,531.4万
87.73%1,531.4万
123.69%1,319.8万
62.39%958.08万
38.26%815.74万
38.26%815.74万
38.26%815.74万
45.73%590万
45.73%590万
其他非流动负债
---1,000
----
----
---1,000
---1
----
----
----
----
----
非流动负债合计
177.98%8,197.1万
182.13%8,801.88万
182.13%8,801.88万
196.54%8,598.2万
35.17%3,936.69万
0.78%2,948.79万
8.40%3,119.84万
8.40%3,119.84万
15.35%2,899.48万
-44.12%2,912.51万
负债总额
148.75%2.23亿
173.47%2.21亿
173.47%2.21亿
152.18%2.11亿
19.99%9,964.67万
10.12%8,948.45万
-2.09%8,066.5万
-2.09%8,066.5万
63.00%8,357.8万
-26.03%8,304.4万
所有者权益
股本
13.85%2.14亿
14.30%2.1亿
14.30%2.1亿
14.47%2.1亿
36.37%1.91亿
33.86%1.88亿
1.35%1.84亿
1.35%1.84亿
-16.76%1.84亿
-0.28%1.4亿
-普通股
13.85%2.14亿
14.30%2.1亿
14.30%2.1亿
14.47%2.1亿
36.37%1.91亿
33.86%1.88亿
1.35%1.84亿
1.35%1.84亿
-16.76%1.84亿
-0.28%1.4亿
留存收益
--2,998.6万
70.54%2,568.07万
70.54%2,568.07万
----
----
----
108.86%1,505.83万
108.86%1,505.83万
105.18%913.18万
104.84%854.66万
固定资产重估价值准备
----
0.00%54.02万
0.00%54.02万
----
----
----
0.00%54.02万
0.00%54.02万
--54.02万
--54.02万
其他储备
-35.09%3,481.1万
28.33%147.94万
28.33%147.94万
4,597.70%5,442.6万
4,721.07%5,504.93万
4,551.49%5,363.14万
-98.97%115.28万
-98.97%115.28万
-98.96%115.86万
-98.98%114.18万
其他股本权益
----
-8.73%3,456.9万
-8.73%3,456.9万
----
----
----
-0.25%3,787.52万
-0.25%3,787.52万
3,797,074,500.00%3,797.07万
--3,797.07万
股东权益
15.40%2.79亿
14.23%2.73亿
14.23%2.73亿
13.85%2.65亿
30.71%2.46亿
28.84%2.42亿
47.75%2.39亿
47.75%2.39亿
49.24%2.33亿
149.05%1.89亿
非控制性权益
--1,290.9万
--1,212.25万
--1,212.25万
--1,033.4万
----
----
--0
--0
----
----
总权益
20.74%2.92亿
19.31%2.85亿
19.31%2.85亿
18.30%2.75亿
30.71%2.46亿
28.84%2.42亿
47.75%2.39亿
47.75%2.39亿
49.24%2.33亿
149.05%1.89亿
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31(Q2)2023/12/31(Q1)2023/09/30(FY)2023/06/30(Q4)2023/06/30(Q3)2023/03/31(Q2)2022/12/31
资产
流动资产
现金及现金等价物与短期投资 17.74%4,916.2万-8.49%3,406.37万-8.49%3,406.37万-30.68%3,917.6万62.28%4,044.45万102.63%4,175.61万38.81%3,722.37万38.81%3,722.37万82.10%5,651.56万89.38%2,492.25万
-现金及现金等价物 57.80%4,916.2万-8.49%3,406.37万-8.49%3,406.37万-14.84%3,917.6万180.70%4,044.45万51.18%3,115.53万38.81%3,722.37万38.81%3,722.37万79.33%4,600.17万65.12%1,440.87万
-其中:现金 13.40%3,533.1万-8.49%3,406.37万-8.49%3,406.37万-43.63%2,593.2万133.62%3,366.2万51.18%3,115.53万38.81%3,722.37万38.81%3,722.37万79.33%4,600.17万65.12%1,440.87万
-其中:现金等价物 --1,383.1万----------1,324.4万--678.24万--------------------
-短期投资 ----------------------1,060.08万--------95.29%1,051.38万137.13%1,051.38万
应收款项 112.88%6,559.5万311.77%4,694.05万311.77%4,694.05万232.65%6,256.6万117.34%2,960.59万328.63%3,081.33万146.12%1,139.97万146.12%1,139.97万467.49%1,880.86万295.35%1,362.2万
-应收账款净额 161.92%6,105.3万1,714.28%3,769.18万1,714.28%3,769.18万321.47%4,928万102.48%2,154.69万460.63%2,330.94万-4.13%207.75万-4.13%207.75万256.55%1,169.25万211.79%1,064.16万
-其中:应收账款 ----1,188.11%3,863.25万1,188.11%3,863.25万-------------10.23%299.92万-10.23%299.92万--------
-其中:坏账准备 -----2.07%-94.07万-2.07%-94.07万------------21.48%-92.16万21.48%-92.16万--------
-其他应收款 -39.47%454.2万-0.79%924.87万-0.79%924.87万86.71%1,328.6万170.40%805.91万147.56%750.39万278.22%932.22万278.22%932.22万20,215.26%711.6万9,068.25%298.04万
存货 -22.14%7,119.3万-20.78%7,183.43万-20.78%7,183.43万-17.72%7,262.6万-23.88%6,626.57万5.02%9,143.93万45.40%9,067.15万45.40%9,067.15万135.89%8,827.19万138.08%8,705.76万
预付费用 ----150.50%1,294.11万150.50%1,294.11万------------210.05%516.61万210.05%516.61万--------
受限制现金 ----28.86%1,398.48万28.86%1,398.48万------------100.12%1,085.24万100.12%1,085.24万--------
税项资产 2,323.36%166万1,498.84%72.18万1,498.84%72.18万--154.1万--8.13万--6.85万1,728.55%4.51万1,728.55%4.51万--------
递延资产 --12.9万--5.11万--5.11万--------------0--0--------
其他流动资产 ---------------1,000------------------------
流动资产合计 14.42%1.88亿16.21%1.81亿16.21%1.81亿7.53%1.76亿8.59%1.36亿31.91%1.64亿53.97%1.55亿53.97%1.55亿126.14%1.64亿133.70%1.26亿
非流动资产
物业厂房及设备净额 103.86%2.08亿125.98%2.08亿125.98%2.08亿128.36%2.01亿40.78%1.15亿27.40%1.02亿16.64%9,194.44万16.64%9,194.44万24.67%8,790.9万16.85%8,178.66万
-物业、厂房及设备 ----108.96%3.17亿108.96%3.17亿------------11.97%1.52亿11.97%1.52亿--------
-累计折旧 -----82.84%-1.09亿-82.84%-1.09亿-------------5.48%-5,987.95万-5.48%-5,987.95万--------
投资物业 81.46%1.14亿80.75%1.13亿80.75%1.13亿69.22%1.06亿46.95%9,198.37万0.00%6,259.37万0.00%6,259.37万0.00%6,259.37万0.00%6,259.37万0.00%6,259.37万
长期预付费用 ----------------------------------50万----
投资总额 163.20%415万103.11%328.26万103.11%328.26万66.21%269.3万16.94%187.51万-2.35%157.68万-0.79%161.61万-0.79%161.61万-3.94%162.03万-1.22%160.35万
-长期股权投资 --240.1万--136.26万--136.26万--81万----------0--0--------
-金融资产投资 --174.9万18.80%192万18.80%192万-------------0.79%161.61万-0.79%161.61万--------
-其中:可供出售证券 --174.9万18.80%192万18.80%192万-------------0.79%161.61万-0.79%161.61万--------
-其他投资 ------------16.22%188.3万16.94%187.51万-2.35%157.68万---------3.94%162.03万-1.22%160.35万
长期应收账款及其他应收款 -------------------------------------60.42%1.12万
其他非流动资产 0.06%70.2万-91.11%70.16万-91.11%70.16万--70.1万--70.16万--70.16万--789.03万--789.03万--------
非流动资产合计 95.59%3.26亿98.05%3.25亿98.05%3.25亿103.16%3.1亿43.64%2.1亿15.66%1.67亿14.66%1.64亿14.66%1.64亿13.21%1.53亿8.76%1.46亿
总资产 55.35%5.14亿58.24%5.05亿58.24%5.05亿53.68%4.86亿27.43%3.46亿23.18%3.31亿30.92%3.19亿30.92%3.19亿52.65%3.16亿44.48%2.72亿
负债
流动负债
金融负债 575.35%7,411.9万869.04%6,898.37万869.04%6,898.37万751.45%6,294万55.04%1,270.3万314.76%1,097.48万192.69%711.88万192.69%711.88万5,326.33%739.21万-13.85%819.32万
-短期借款及资本租赁负债 575.35%7,411.9万869.04%6,898.37万869.04%6,898.37万751.45%6,294万55.04%1,270.3万314.76%1,097.48万192.69%711.88万192.69%711.88万5,326.33%739.21万-13.85%819.32万
-其中:短期借款 588.13%7,411.9万798.12%6,213.81万798.12%6,213.81万771.96%6,272.9万55.27%1,241.83万335.77%1,077.1万195.50%691.87万195.50%691.87万43,076.27%719.4万-14.57%799.8万
-其中:资本租赁负债 ----3,322.32%684.56万3,322.32%684.56万6.52%21.1万45.86%28.47万16.94%20.38万120.15%20万120.15%20万65.68%19.81万31.09%19.52万
应付款项 68.36%4,433.3万150.48%3,723.97万150.48%3,723.97万79.94%3,948.7万24.38%2,570.97万11.76%2,633.25万-26.71%1,486.75万-26.71%1,486.75万3.58%2,194.49万-54.90%2,066.96万
-应付账款 58.59%4,176.1万157.05%2,357.01万157.05%2,357.01万79.94%3,948.7万24.38%2,570.97万11.76%2,633.25万-33.37%916.94万-33.37%916.94万3.58%2,194.49万-54.90%2,066.96万
-应交税费 --257.2万--40.57万--40.57万--------------0--0--------
-其他应付款 ----132.78%1,326.39万132.78%1,326.39万-------------12.66%569.81万-12.66%569.81万--------
现行拨备 5.96%192万0.00%181.2万0.00%181.2万0.00%181.2万0.00%181.2万0.00%181.2万0.00%181.2万0.00%181.2万0.00%181.2万0.00%181.2万
递延所得税负债 --------------41.8万------------------------
应计及递延所得 -3.00%2,025万-4.38%2,454.33万-4.38%2,454.33万-14.10%2,012.9万-13.72%2,005.5万-12.93%2,087.73万-11.71%2,566.83万-11.71%2,566.83万680.00%2,343.42万673.67%2,324.41万
流动负债合计 134.38%1.41亿168.02%1.33亿168.02%1.33亿128.62%1.25亿11.80%6,027.97万15.38%5,999.66万-7.72%4,946.66万-7.72%4,946.66万108.82%5,458.32万-10.37%5,391.89万
非流动负债
非流动金融负债 247.46%6,423.7万247.07%7,004.78万247.07%7,004.78万246.02%7,004.9万33.16%2,702.24万-10.32%1,848.74万0.50%2,018.25万0.50%2,018.25万-3.99%2,024.44万-57.78%2,029.33万
-长期借款及资本租赁 247.46%6,423.7万247.07%7,004.78万247.07%7,004.78万246.02%7,004.9万33.16%2,702.24万-10.32%1,848.74万0.50%2,018.25万0.50%2,018.25万-3.99%2,024.44万-57.78%2,029.33万
-其中:长期借款 256.74%6,423.7万171.41%5,425.01万171.41%5,425.01万229.52%6,586.4万32.94%2,657.14万-11.24%1,800.66万0.00%1,998.8万0.00%1,998.8万-4.66%1,998.8万-58.29%1,998.8万
-其中:长期资本租赁负债 ----8,024.22%1,579.77万8,024.22%1,579.77万1,532.10%418.5万47.69%45.09万45.94%48.08万106.70%19.45万106.70%19.45万108.94%25.64万106.01%30.53万
长期应付账款及其他应付款 -14.85%242.1万-7.05%265.7万-7.05%265.7万-4.01%273.6万-5.73%276.38万3.61%284.31万2.09%285.86万2.09%285.86万--285.03万--293.17万
非流动递延所得税负债 87.73%1,531.4万87.73%1,531.4万87.73%1,531.4万123.69%1,319.8万62.39%958.08万38.26%815.74万38.26%815.74万38.26%815.74万45.73%590万45.73%590万
其他非流动负债 ---1,000-----------1,000---1--------------------
非流动负债合计 177.98%8,197.1万182.13%8,801.88万182.13%8,801.88万196.54%8,598.2万35.17%3,936.69万0.78%2,948.79万8.40%3,119.84万8.40%3,119.84万15.35%2,899.48万-44.12%2,912.51万
负债总额 148.75%2.23亿173.47%2.21亿173.47%2.21亿152.18%2.11亿19.99%9,964.67万10.12%8,948.45万-2.09%8,066.5万-2.09%8,066.5万63.00%8,357.8万-26.03%8,304.4万
所有者权益
股本 13.85%2.14亿14.30%2.1亿14.30%2.1亿14.47%2.1亿36.37%1.91亿33.86%1.88亿1.35%1.84亿1.35%1.84亿-16.76%1.84亿-0.28%1.4亿
-普通股 13.85%2.14亿14.30%2.1亿14.30%2.1亿14.47%2.1亿36.37%1.91亿33.86%1.88亿1.35%1.84亿1.35%1.84亿-16.76%1.84亿-0.28%1.4亿
留存收益 --2,998.6万70.54%2,568.07万70.54%2,568.07万------------108.86%1,505.83万108.86%1,505.83万105.18%913.18万104.84%854.66万
固定资产重估价值准备 ----0.00%54.02万0.00%54.02万------------0.00%54.02万0.00%54.02万--54.02万--54.02万
其他储备 -35.09%3,481.1万28.33%147.94万28.33%147.94万4,597.70%5,442.6万4,721.07%5,504.93万4,551.49%5,363.14万-98.97%115.28万-98.97%115.28万-98.96%115.86万-98.98%114.18万
其他股本权益 -----8.73%3,456.9万-8.73%3,456.9万-------------0.25%3,787.52万-0.25%3,787.52万3,797,074,500.00%3,797.07万--3,797.07万
股东权益 15.40%2.79亿14.23%2.73亿14.23%2.73亿13.85%2.65亿30.71%2.46亿28.84%2.42亿47.75%2.39亿47.75%2.39亿49.24%2.33亿149.05%1.89亿
非控制性权益 --1,290.9万--1,212.25万--1,212.25万--1,033.4万----------0--0--------
总权益 20.74%2.92亿19.31%2.85亿19.31%2.85亿18.30%2.75亿30.71%2.46亿28.84%2.42亿47.75%2.39亿47.75%2.39亿49.24%2.33亿149.05%1.89亿
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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