马来西亚市场个股详情

RANHILL (5272)

添加自选
  • 1.820
  • +0.010+0.55%
延时15分钟行情休市中 04/30 16:56 (北京)
23.59亿总市值44.39市盈率TTM

5272 RANHILL

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2025/12/31
(Q1)2025/09/30
(FY)2025/06/30
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
经营活动现金流量(间接法)
经营活动产生的现金
124.31%3.05亿
149.62%2.16亿
70.38%10.44亿
4.24%6.13亿
-30.67%1.76亿
413.45%2.15亿
-27.89%1.36亿
-16.87%8,654.4万
13.18%5.88亿
134.84%2.54亿
扣除非现金调整前净利润
154.72%6,616.7万
47.96%5,223.7万
20.31%1.45亿
-18.52%1.2亿
-37.72%2,903.8万
-0.49%3,013.5万
-34.71%2,597.6万
13.36%3,530.4万
-27.33%1.48亿
-63.16%4,662.3万
非现金项目调整总额
51.17%2.11亿
13.73%1.28亿
76.99%9.04亿
20.90%5.11亿
-1.78%1.25亿
33.78%1.33亿
47.14%1.4亿
12.15%1.13亿
9.57%4.23亿
39.10%1.27亿
-折旧与摊销
1.99%1.33亿
16.42%1.26亿
72.11%8.42亿
19.17%4.89亿
14.27%1.23亿
21.33%1.27亿
32.08%1.31亿
9.30%1.08亿
6.32%4.1亿
11.01%1.08亿
-在损益中确认的减值损失回拨
125.37%50.8万
453.33%5.3万
1,302.09%2,189万
-253.28%-182.1万
-114.84%-18.5万
2,341.18%38.1万
-5,310.81%-200.2万
-200.00%-1.5万
-76.34%118.8万
-75.24%124.7万
-资产准备金与勾销
291,268.00%7,279.2万
285.02%106.2万
76.76%-104.9万
-160.40%-451.4万
-124.07%-185.3万
-3,004.23%-206.2万
95.57%-2.5万
-312.59%-57.4万
240.17%747.4万
229.80%769.7万
-联营企业份额
37.86%-337.4万
-11.03%-567.9万
-54.66%-3,232.4万
-18.00%-2,090万
-0.13%-458.1万
-37.87%-577.4万
-4.68%-543万
-35.96%-511.5万
-12.97%-1,771.2万
33.42%-457.5万
-处置利润
23.81%-33.6万
312.50%3.4万
-42.06%-285.4万
-179.69%-200.9万
70.33%437.4万
-31,089.47%-592.6万
-44,000.00%-44.1万
40.74%-1.6万
926.56%252.1万
979.45%256.8万
-汇兑损益净额
1,599.41%288.9万
120.50%31.9万
331.30%314.8万
-244.79%-136.1万
-192.44%-726.7万
280.63%729.2万
107.19%17万
-200.39%-155.6万
80.08%94万
180.75%786.1万
-以股票支付的报酬
----
----
--0
--0
--0
--0
--0
--0
-85.21%7.6万
--0
-养老金及员工福利费用
-12.50%97.3万
-12.50%97.3万
42.00%642.7万
-15.51%452.6万
-21.18%119.1万
-13.00%111.1万
-2.88%111.2万
-21.91%111.2万
-7.51%535.7万
-3.39%151.1万
-其他非现金项目
-72.77%419.4万
-47.12%580.4万
40.38%6,729.3万
288.06%4,793.7万
201.18%1,050.2万
482.97%1,105.9万
468.51%1,540.1万
157.63%1,097.5万
35.09%1,235.3万
296.23%348.7万
营运资本变动
192.90%2,760.4万
157.19%3,530.5万
73.43%-490.2万
-205.10%-1,844.7万
-72.82%2,161.3万
158.42%5,139.3万
-155.25%-2,971.5万
-122.30%-6,173.8万
125.21%1,755.2万
172.16%7,951.1万
-应收款(增)减
-61.65%3,615.5万
288.14%2,489.9万
-303.44%-1.74亿
139.98%8,567万
107.09%487.7万
99.82%-25.7万
249.54%9,428.4万
58.89%-1,323.4万
10.12%-2.14亿
70.17%-6,878.3万
-存货(增)减
-52.60%175.7万
-861.16%-907.3万
111.29%2,315.9万
331.37%1,096.1万
76.40%-224.5万
-55.97%830.7万
160.06%370.7万
286.25%119.2万
108.61%254.1万
-330.50%-951.4万
-应付款(减)增
-350.17%-3,750.1万
109.46%500.5万
60.37%-1,324.9万
-129.41%-3,343.2万
-111.69%-1,282.5万
266.25%1,733.7万
-43.56%1,499万
-336.03%-5,293.4万
52.37%1.14亿
14.73%1.1亿
-其他流动资产变动
119.06%2,719.3万
347.00%1,447.4万
295.32%1.59亿
-170.60%-8,164.6万
-33.93%3,180.6万
-40.73%2,600.6万
-2,321.30%-1.43亿
-81.18%323.8万
-6.52%1.16亿
78.39%4,814.1万
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)
已支付退税
-1.52%-735.6万
-70.12%-969.2万
-62.96%-7,052.7万
-70.39%-4,327.8万
-166.26%-1,297.2万
-114.12%-1,736.3万
40.38%-724.6万
-2,041.73%-569.7万
43.47%-2,540万
34.63%-487.2万
其他经营现金流入(流出)
1.39%-1.15亿
-119.91%-1.2亿
-46.67%-5.98亿
-17.32%-4.08亿
-12.21%-1.26亿
-21.58%-1.1亿
-100.63%-1.17亿
36.87%-5,444.2万
0.64%-3.47亿
3.89%-1.12亿
经营活动现金净额
1,458.09%1.82亿
228.03%8,661.7万
131.98%3.76亿
-24.68%1.62亿
-72.83%3,712.1万
251.93%8,682万
-90.09%1,169.3万
49.99%2,640.5万
72.23%2.15亿
951.88%1.37亿
投资活动现金流量
物业、厂房及设备交易净额
33.08%-1,359.8万
32.21%-931.5万
-34.19%-8,158.1万
48.20%-6,079.3万
83.36%-1,076.1万
42.21%-1,597.1万
-76.59%-2,032万
-1.33%-1,374.1万
-145.13%-1.17亿
-388.88%-6,465.5万
无形资产交易净额
---12.1万
61.40%-15.4万
-116.92%-805.2万
45.72%-371.2万
90.67%-31.4万
-426.14%-299.9万
--0
-211.72%-39.9万
-21.48%-683.8万
-385.16%-336.7万
业务交易净额
----
----
--0
----
----
----
----
----
----
----
投资物业交易净额
----
----
1.08%196.1万
--194万
--0
--2万
----
----
--0
--0
投资产品交易净额
----
----
-1.36%781万
-83.77%791.8万
36,795.24%770.6万
-40.28%-10.1万
-99.34%41.1万
99.28%-9.8万
564.53%4,879.4万
99.96%-2.1万
已收到的利息(投资活动产生的现金流)
-46.64%80.1万
70.37%64.4万
94.82%673.1万
-60.77%345.5万
-71.31%80.5万
-67.92%77.1万
-25.21%150.1万
-76.24%37.8万
141.02%880.7万
177.82%280.6万
投资活动现金净额
85.66%-236.5万
36.33%-882.5万
-42.86%-7,313.1万
23.13%-5,119.2万
96.07%-256.4万
29.35%-1,828万
-132.79%-1,648.8万
46.21%-1,386万
-31.46%-6,659.4万
-7.32%-6,523.7万
融资活动现金流量
债务发行/偿还的净额
73.69%-1,324.8万
82.47%-796.8万
153.98%3,416.3万
47.60%-6,329.2万
166.67%2,896.7万
488.77%356.5万
-15.80%-5,036.1万
-38.00%-4,546.3万
-321.48%-1.21亿
-130.83%-4,344.7万
租赁融资增减
-29.72%-409万
24.88%-242.7万
-38.13%-1,796.7万
-21.49%-1,300.7万
3.42%-330.8万
-10.57%-331.5万
-40.38%-315.3万
-58.62%-323.1万
-166.92%-1,070.6万
-174.44%-342.5万
已支付现金股息
--0
-308.16%-2,000万
-24.32%-920万
90.39%-740万
-62.34%-250万
--0
--0
47.78%-490万
-288.17%-7,698.5万
-1,440.00%-154万
已付利息(筹资活动产生的现金流)
34.78%-1,061万
23.80%-1,083.2万
-51.24%-8,416.2万
14.01%-5,564.9万
19.04%-1,254.9万
17.07%-1,261.5万
11.30%-1,626.9万
9.22%-1,421.6万
-30.88%-6,471.3万
-1,063.74%-1,550.1万
其他筹资费用净额
-108.19%-410.8万
-360.81%-9,087.5万
-4,354.64%-1.44亿
83.07%-324.3万
-970.54%-4,057.6万
-185.47%-4,765万
319.36%5,013.9万
121.48%3,484.4万
-243.85%-1,915.6万
-68.29%466.1万
融资活动现金净额
-63.18%-3,205.6万
-300.72%-1.32亿
-55.43%-2.22亿
51.23%-1.43亿
49.43%-2,996.6万
-67.55%-6,001.5万
87.16%-1,964.4万
25.57%-3,296.6万
-810.54%-2.92亿
-139.82%-5,925.2万
现金净流量
期初现金流
66.20%1.31亿
87.15%1.85亿
0.00%9,872.4万
-59.78%9,872.4万
-24.11%6,723.6万
-73.34%5,528.9万
-59.08%7,871.4万
-59.78%9,872.4万
21.57%2.45亿
-47.72%8,860万
现金变动
704.64%1.48亿
-165.95%-5,431万
355.58%8,113.2万
77.93%-3,174.4万
-62.22%459.1万
107.17%852.5万
-259.50%-2,443.9万
61.07%-2,042.1万
-441.24%-1.44亿
-83.11%1,215.2万
汇率变动影响
0.69%102.1万
-9.49%37.2万
74.21%490.4万
197.27%281.5万
-0.20%-203.2万
4,124.69%342.2万
391.38%101.4万
168.61%41.1万
-306.86%-289.4万
-150.93%-202.8万
期末现金
405.72%2.8亿
66.20%1.31亿
164.72%1.85亿
-29.30%6,979.5万
-29.30%6,979.5万
-24.11%6,723.6万
-73.34%5,528.9万
-59.08%7,871.4万
-59.78%9,872.4万
-59.78%9,872.4万
自由现金流
1,994.24%1.68亿
529.83%7,714.8万
193.32%2.86亿
7.29%9,748.8万
-62.08%2,602.1万
179.78%6,810.9万
-108.57%-889.1万
217.17%1,224.9万
29.63%9,086.3万
323.79%6,861.7万
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)2025/12/31(Q1)2025/09/30(FY)2025/06/30(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31
经营活动现金流量(间接法)
经营活动产生的现金 124.31%3.05亿149.62%2.16亿70.38%10.44亿4.24%6.13亿-30.67%1.76亿413.45%2.15亿-27.89%1.36亿-16.87%8,654.4万13.18%5.88亿134.84%2.54亿
扣除非现金调整前净利润 154.72%6,616.7万47.96%5,223.7万20.31%1.45亿-18.52%1.2亿-37.72%2,903.8万-0.49%3,013.5万-34.71%2,597.6万13.36%3,530.4万-27.33%1.48亿-63.16%4,662.3万
非现金项目调整总额 51.17%2.11亿13.73%1.28亿76.99%9.04亿20.90%5.11亿-1.78%1.25亿33.78%1.33亿47.14%1.4亿12.15%1.13亿9.57%4.23亿39.10%1.27亿
-折旧与摊销 1.99%1.33亿16.42%1.26亿72.11%8.42亿19.17%4.89亿14.27%1.23亿21.33%1.27亿32.08%1.31亿9.30%1.08亿6.32%4.1亿11.01%1.08亿
-在损益中确认的减值损失回拨 125.37%50.8万453.33%5.3万1,302.09%2,189万-253.28%-182.1万-114.84%-18.5万2,341.18%38.1万-5,310.81%-200.2万-200.00%-1.5万-76.34%118.8万-75.24%124.7万
-资产准备金与勾销 291,268.00%7,279.2万285.02%106.2万76.76%-104.9万-160.40%-451.4万-124.07%-185.3万-3,004.23%-206.2万95.57%-2.5万-312.59%-57.4万240.17%747.4万229.80%769.7万
-联营企业份额 37.86%-337.4万-11.03%-567.9万-54.66%-3,232.4万-18.00%-2,090万-0.13%-458.1万-37.87%-577.4万-4.68%-543万-35.96%-511.5万-12.97%-1,771.2万33.42%-457.5万
-处置利润 23.81%-33.6万312.50%3.4万-42.06%-285.4万-179.69%-200.9万70.33%437.4万-31,089.47%-592.6万-44,000.00%-44.1万40.74%-1.6万926.56%252.1万979.45%256.8万
-汇兑损益净额 1,599.41%288.9万120.50%31.9万331.30%314.8万-244.79%-136.1万-192.44%-726.7万280.63%729.2万107.19%17万-200.39%-155.6万80.08%94万180.75%786.1万
-以股票支付的报酬 ----------0--0--0--0--0--0-85.21%7.6万--0
-养老金及员工福利费用 -12.50%97.3万-12.50%97.3万42.00%642.7万-15.51%452.6万-21.18%119.1万-13.00%111.1万-2.88%111.2万-21.91%111.2万-7.51%535.7万-3.39%151.1万
-其他非现金项目 -72.77%419.4万-47.12%580.4万40.38%6,729.3万288.06%4,793.7万201.18%1,050.2万482.97%1,105.9万468.51%1,540.1万157.63%1,097.5万35.09%1,235.3万296.23%348.7万
营运资本变动 192.90%2,760.4万157.19%3,530.5万73.43%-490.2万-205.10%-1,844.7万-72.82%2,161.3万158.42%5,139.3万-155.25%-2,971.5万-122.30%-6,173.8万125.21%1,755.2万172.16%7,951.1万
-应收款(增)减 -61.65%3,615.5万288.14%2,489.9万-303.44%-1.74亿139.98%8,567万107.09%487.7万99.82%-25.7万249.54%9,428.4万58.89%-1,323.4万10.12%-2.14亿70.17%-6,878.3万
-存货(增)减 -52.60%175.7万-861.16%-907.3万111.29%2,315.9万331.37%1,096.1万76.40%-224.5万-55.97%830.7万160.06%370.7万286.25%119.2万108.61%254.1万-330.50%-951.4万
-应付款(减)增 -350.17%-3,750.1万109.46%500.5万60.37%-1,324.9万-129.41%-3,343.2万-111.69%-1,282.5万266.25%1,733.7万-43.56%1,499万-336.03%-5,293.4万52.37%1.14亿14.73%1.1亿
-其他流动资产变动 119.06%2,719.3万347.00%1,447.4万295.32%1.59亿-170.60%-8,164.6万-33.93%3,180.6万-40.73%2,600.6万-2,321.30%-1.43亿-81.18%323.8万-6.52%1.16亿78.39%4,814.1万
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)
已支付退税 -1.52%-735.6万-70.12%-969.2万-62.96%-7,052.7万-70.39%-4,327.8万-166.26%-1,297.2万-114.12%-1,736.3万40.38%-724.6万-2,041.73%-569.7万43.47%-2,540万34.63%-487.2万
其他经营现金流入(流出) 1.39%-1.15亿-119.91%-1.2亿-46.67%-5.98亿-17.32%-4.08亿-12.21%-1.26亿-21.58%-1.1亿-100.63%-1.17亿36.87%-5,444.2万0.64%-3.47亿3.89%-1.12亿
经营活动现金净额 1,458.09%1.82亿228.03%8,661.7万131.98%3.76亿-24.68%1.62亿-72.83%3,712.1万251.93%8,682万-90.09%1,169.3万49.99%2,640.5万72.23%2.15亿951.88%1.37亿
投资活动现金流量
物业、厂房及设备交易净额 33.08%-1,359.8万32.21%-931.5万-34.19%-8,158.1万48.20%-6,079.3万83.36%-1,076.1万42.21%-1,597.1万-76.59%-2,032万-1.33%-1,374.1万-145.13%-1.17亿-388.88%-6,465.5万
无形资产交易净额 ---12.1万61.40%-15.4万-116.92%-805.2万45.72%-371.2万90.67%-31.4万-426.14%-299.9万--0-211.72%-39.9万-21.48%-683.8万-385.16%-336.7万
业务交易净额 ----------0----------------------------
投资物业交易净额 --------1.08%196.1万--194万--0--2万----------0--0
投资产品交易净额 ---------1.36%781万-83.77%791.8万36,795.24%770.6万-40.28%-10.1万-99.34%41.1万99.28%-9.8万564.53%4,879.4万99.96%-2.1万
已收到的利息(投资活动产生的现金流) -46.64%80.1万70.37%64.4万94.82%673.1万-60.77%345.5万-71.31%80.5万-67.92%77.1万-25.21%150.1万-76.24%37.8万141.02%880.7万177.82%280.6万
投资活动现金净额 85.66%-236.5万36.33%-882.5万-42.86%-7,313.1万23.13%-5,119.2万96.07%-256.4万29.35%-1,828万-132.79%-1,648.8万46.21%-1,386万-31.46%-6,659.4万-7.32%-6,523.7万
融资活动现金流量
债务发行/偿还的净额 73.69%-1,324.8万82.47%-796.8万153.98%3,416.3万47.60%-6,329.2万166.67%2,896.7万488.77%356.5万-15.80%-5,036.1万-38.00%-4,546.3万-321.48%-1.21亿-130.83%-4,344.7万
租赁融资增减 -29.72%-409万24.88%-242.7万-38.13%-1,796.7万-21.49%-1,300.7万3.42%-330.8万-10.57%-331.5万-40.38%-315.3万-58.62%-323.1万-166.92%-1,070.6万-174.44%-342.5万
已支付现金股息 --0-308.16%-2,000万-24.32%-920万90.39%-740万-62.34%-250万--0--047.78%-490万-288.17%-7,698.5万-1,440.00%-154万
已付利息(筹资活动产生的现金流) 34.78%-1,061万23.80%-1,083.2万-51.24%-8,416.2万14.01%-5,564.9万19.04%-1,254.9万17.07%-1,261.5万11.30%-1,626.9万9.22%-1,421.6万-30.88%-6,471.3万-1,063.74%-1,550.1万
其他筹资费用净额 -108.19%-410.8万-360.81%-9,087.5万-4,354.64%-1.44亿83.07%-324.3万-970.54%-4,057.6万-185.47%-4,765万319.36%5,013.9万121.48%3,484.4万-243.85%-1,915.6万-68.29%466.1万
融资活动现金净额 -63.18%-3,205.6万-300.72%-1.32亿-55.43%-2.22亿51.23%-1.43亿49.43%-2,996.6万-67.55%-6,001.5万87.16%-1,964.4万25.57%-3,296.6万-810.54%-2.92亿-139.82%-5,925.2万
现金净流量
期初现金流 66.20%1.31亿87.15%1.85亿0.00%9,872.4万-59.78%9,872.4万-24.11%6,723.6万-73.34%5,528.9万-59.08%7,871.4万-59.78%9,872.4万21.57%2.45亿-47.72%8,860万
现金变动 704.64%1.48亿-165.95%-5,431万355.58%8,113.2万77.93%-3,174.4万-62.22%459.1万107.17%852.5万-259.50%-2,443.9万61.07%-2,042.1万-441.24%-1.44亿-83.11%1,215.2万
汇率变动影响 0.69%102.1万-9.49%37.2万74.21%490.4万197.27%281.5万-0.20%-203.2万4,124.69%342.2万391.38%101.4万168.61%41.1万-306.86%-289.4万-150.93%-202.8万
期末现金 405.72%2.8亿66.20%1.31亿164.72%1.85亿-29.30%6,979.5万-29.30%6,979.5万-24.11%6,723.6万-73.34%5,528.9万-59.08%7,871.4万-59.78%9,872.4万-59.78%9,872.4万
自由现金流 1,994.24%1.68亿529.83%7,714.8万193.32%2.86亿7.29%9,748.8万-62.08%2,602.1万179.78%6,810.9万-108.57%-889.1万217.17%1,224.9万29.63%9,086.3万323.79%6,861.7万
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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