马来西亚市场个股详情

DPHARMA (7148)

添加自选
  • 1.260
  • -0.010-0.79%
延时15分钟行情休市中 05/22 16:57 (北京)
12.12亿总市值13.13市盈率TTM

7148 DPHARMA

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
4.56%2.71亿
9.95%2.91亿
9.95%2.91亿
3.17%2.69亿
15.53%2.56亿
11.42%2.59亿
-2.20%2.65亿
-2.20%2.65亿
-7.61%2.6亿
63.14%2.21亿
-现金及现金等价物
4.56%2.71亿
9.95%2.91亿
9.95%2.91亿
3.17%2.69亿
15.53%2.56亿
11.42%2.59亿
-2.20%2.65亿
-2.20%2.65亿
-7.61%2.6亿
63.14%2.21亿
-其中:现金
----
-21.18%8,142万
-21.18%8,142万
----
----
----
4.50%1.03亿
4.50%1.03亿
----
----
-其中:现金等价物
----
29.90%2.09亿
29.90%2.09亿
----
----
----
-6.06%1.61亿
-6.06%1.61亿
----
----
应收款项
6.31%2.53亿
16.47%2.21亿
16.47%2.21亿
3.33%2.31亿
5.00%2.39亿
46.94%2.38亿
30.82%1.9亿
30.82%1.9亿
31.74%2.24亿
27.55%2.27亿
-应收账款净额
6.31%2.53亿
17.19%2.16亿
17.19%2.16亿
3.33%2.31亿
5.00%2.39亿
46.94%2.38亿
36.50%1.84亿
36.50%1.84亿
31.74%2.24亿
27.55%2.27亿
-其他应收款
----
-7.71%506.4万
-7.71%506.4万
----
----
----
-45.46%548.7万
-45.46%548.7万
----
----
存货
21.83%2.97亿
17.95%2.93亿
17.95%2.93亿
33.84%2.94亿
13.36%2.57亿
0.11%2.44亿
2.25%2.49亿
2.25%2.49亿
-12.85%2.2亿
-10.75%2.27亿
预付费用
----
-38.21%333.1万
-38.21%333.1万
----
----
----
159.68%539.1万
159.68%539.1万
----
----
税项资产
-80.49%372.8万
-36.10%1,156.8万
-36.10%1,156.8万
-20.69%1,684.1万
-19.30%1,752.7万
3.72%1,911.1万
10.93%1,810.4万
10.93%1,810.4万
69.95%2,123.4万
174.55%2,172万
流动资产合计
8.52%8.25亿
12.89%8.2亿
12.89%8.2亿
11.82%8.11亿
10.30%7.69亿
15.77%7.6亿
7.29%7.26亿
7.29%7.26亿
1.22%7.25亿
21.04%6.97亿
非流动资产
物业厂房及设备净额
-2.43%5.5亿
-2.36%5.54亿
-2.36%5.54亿
0.34%5.6亿
-0.78%5.68亿
-2.21%5.63亿
-2.55%5.68亿
-2.55%5.68亿
-2.79%5.58亿
-1.00%5.72亿
-物业、厂房及设备
----
2.39%9.19亿
2.39%9.19亿
----
----
----
2.77%8.98亿
2.77%8.98亿
----
----
-累计折旧
----
-10.57%-3.65亿
-10.57%-3.65亿
----
----
----
-13.43%-3.3亿
-13.43%-3.3亿
----
----
投资物业
0.00%105万
0.00%105万
0.00%105万
0.00%105万
0.00%105万
0.00%105万
0.00%105万
0.00%105万
0.00%105万
0.00%105万
投资总额
-23.77%1,433万
-27.29%1,648万
-27.29%1,648万
-8.52%2,216.2万
-20.62%2,258.5万
-44.14%1,879.8万
-38.59%2,266.5万
-38.59%2,266.5万
-26.12%2,422.5万
-18.41%2,845万
-长期股权投资
----
--0
--0
----
----
----
--0
--0
----
----
-金融资产投资
----
-27.29%1,648万
-27.29%1,648万
----
----
----
-38.59%2,266.5万
-38.59%2,266.5万
----
----
-其中:可供出售证券
----
-27.29%1,648万
-27.29%1,648万
----
----
----
-38.59%2,266.5万
-38.59%2,266.5万
----
----
-其他投资
-23.77%1,433万
-27.29%1,648万
-27.29%1,648万
-8.52%2,216.2万
-20.62%2,258.5万
-44.14%1,879.8万
--2,266.5万
--2,266.5万
-26.12%2,422.5万
-18.41%2,845万
商誉及其他无形资产
-18.09%3,587.4万
-17.79%3,688.4万
-17.79%3,688.4万
9.88%4,065.1万
14.12%4,306.7万
15.09%4,379.7万
15.63%4,486.7万
15.63%4,486.7万
-22.61%3,699.5万
-21.07%3,773.8万
-其他无形资产
----
-17.79%3,688.4万
-17.79%3,688.4万
----
----
----
15.63%4,486.7万
15.63%4,486.7万
----
----
非流动递延所得税资产
38.62%2,072万
47.53%2,261.7万
47.53%2,261.7万
115.01%1,615.8万
102.28%1,481.5万
90.24%1,494.7万
71.36%1,533万
71.36%1,533万
-34.24%751.5万
-35.47%732.4万
非流动资产合计
-3.16%6.22亿
-3.12%6.31亿
-3.12%6.31亿
1.94%6.4亿
0.39%6.49亿
-2.25%6.42亿
-2.49%6.51亿
-2.49%6.51亿
-5.89%6.28亿
-3.91%6.47亿
总资产
3.17%14.46亿
5.32%14.51亿
5.32%14.51亿
7.24%14.51亿
5.53%14.18亿
6.76%14.02亿
2.43%13.78亿
2.43%13.78亿
-2.21%13.53亿
7.60%13.44亿
负债
流动负债
金融负债
247.59%1.41亿
205.18%1.48亿
205.18%1.48亿
152.92%1.41亿
-27.61%3,702.6万
-21.09%4,058.1万
-26.97%4,854.3万
-26.97%4,854.3万
-75.43%5,582万
-68.56%5,114.6万
-短期借款及资本租赁负债
247.59%1.41亿
205.18%1.48亿
205.18%1.48亿
152.92%1.41亿
-27.61%3,702.6万
-21.09%4,058.1万
-26.97%4,854.3万
-26.97%4,854.3万
-75.43%5,582万
-68.56%5,114.6万
-其中:短期借款
247.59%1.41亿
207.17%1.47亿
207.17%1.47亿
152.92%1.41亿
-27.61%3,702.6万
-21.09%4,058.1万
-26.78%4,799.5万
-26.78%4,799.5万
-75.43%5,582万
-68.56%5,114.6万
-其中:资本租赁负债
----
31.39%72万
31.39%72万
----
----
----
-40.69%54.8万
-40.69%54.8万
----
----
应付款项
9.95%1.73亿
-3.73%8,491.4万
-3.73%8,491.4万
59.52%1.78亿
43.04%1.56亿
74.44%1.58亿
32.69%8,820.4万
32.69%8,820.4万
5.50%1.12亿
-14.57%1.09亿
-应付账款
6.42%1.66亿
-5.53%6,208.6万
-5.53%6,208.6万
58.86%1.74亿
43.58%1.54亿
73.91%1.56亿
47.59%6,571.7万
47.59%6,571.7万
4.17%1.1亿
-15.91%1.07亿
-应交税费
336.06%736.5万
480.27%429.4万
480.27%429.4万
96.93%377.9万
14.98%237.2万
143.02%168.9万
101.63%74万
101.63%74万
295.67%191.9万
388.86%206.3万
-其他应付款
----
-14.77%1,853.4万
-14.77%1,853.4万
----
----
----
0.78%2,174.7万
0.78%2,174.7万
----
----
应计及递延所得
----
98.60%8,189.7万
98.60%8,189.7万
----
----
----
22.06%4,123.8万
22.06%4,123.8万
----
----
流动负债合计
58.58%3.15亿
76.96%3.15亿
76.96%3.15亿
90.63%3.19亿
20.49%1.93亿
39.81%1.98亿
6.75%1.78亿
6.75%1.78亿
-49.69%1.68亿
-44.81%1.6亿
非流动负债
非流动金融负债
-25.90%3.41亿
-25.54%3.48亿
-25.54%3.48亿
-25.36%3.5亿
-3.74%4.55亿
-3.47%4.6亿
-3.13%4.67亿
-3.13%4.67亿
29.23%4.69亿
73.64%4.73亿
-长期借款及资本租赁
-25.90%3.41亿
-25.54%3.48亿
-25.54%3.48亿
-25.36%3.5亿
-3.74%4.55亿
-3.47%4.6亿
-3.13%4.67亿
-3.13%4.67亿
29.23%4.69亿
73.64%4.73亿
-其中:长期借款
-25.90%3.41亿
-25.63%3.45亿
-25.63%3.45亿
-25.36%3.5亿
-3.74%4.55亿
-3.47%4.6亿
-3.41%4.65亿
-3.41%4.65亿
29.23%4.69亿
73.64%4.73亿
-其中:长期资本租赁负债
----
-10.53%246.5万
-10.53%246.5万
----
----
----
86.65%275.5万
86.65%275.5万
----
----
长期应付账款及其他应付款
1.83%255.3万
-0.39%282.3万
-0.39%282.3万
-4.32%278.9万
82.57%298.5万
75.07%250.7万
--283.4万
--283.4万
32.50%291.5万
-28.26%163.5万
非流动递延所得税负债
6.34%3,096.3万
30.85%3,064.3万
30.85%3,064.3万
95.63%3,468.6万
104.02%3,074.4万
154.91%2,911.6万
162.95%2,341.8万
162.95%2,341.8万
60.60%1,773万
51.78%1,506.9万
非流动负债合计
-23.85%3.75亿
-22.85%3.79亿
-22.85%3.79亿
-20.85%3.87亿
-0.13%4.89亿
0.45%4.92亿
-0.12%4.91亿
-0.12%4.91亿
30.17%4.89亿
72.07%4.89亿
负债总额
-0.17%6.89亿
3.72%6.94亿
3.72%6.94亿
7.59%7.07亿
4.95%6.82亿
9.29%6.9亿
1.62%6.69亿
1.62%6.69亿
-7.35%6.57亿
13.02%6.5亿
所有者权益
股本
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
-普通股
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
0.00%4.32亿
留存收益
13.50%4.1亿
15.16%4.09亿
15.16%4.09亿
14.67%3.9亿
14.28%3.81亿
13.93%3.61亿
11.19%3.55亿
11.19%3.55亿
9.38%3.4亿
8.91%3.34亿
其他储备
-3.86%-8,505.3万
-6.81%-8,340.9万
-6.81%-8,340.9万
-2.31%-7,787万
-7.65%-7,775.6万
-20.73%-8,189.1万
-21.24%-7,809万
-21.24%-7,809万
-11.09%-7,611万
-11.18%-7,223.1万
股东权益
6.41%7.57亿
6.84%7.58亿
6.84%7.58亿
6.91%7.44亿
6.07%7.36亿
4.41%7.12亿
3.21%7.09亿
3.21%7.09亿
3.19%6.96亿
2.97%6.94亿
总权益
6.41%7.57亿
6.84%7.58亿
6.84%7.58亿
6.91%7.44亿
6.07%7.36亿
4.41%7.12亿
3.21%7.09亿
3.21%7.09亿
3.19%6.96亿
2.97%6.94亿
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)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 4.56%2.71亿9.95%2.91亿9.95%2.91亿3.17%2.69亿15.53%2.56亿11.42%2.59亿-2.20%2.65亿-2.20%2.65亿-7.61%2.6亿63.14%2.21亿
-现金及现金等价物 4.56%2.71亿9.95%2.91亿9.95%2.91亿3.17%2.69亿15.53%2.56亿11.42%2.59亿-2.20%2.65亿-2.20%2.65亿-7.61%2.6亿63.14%2.21亿
-其中:现金 -----21.18%8,142万-21.18%8,142万------------4.50%1.03亿4.50%1.03亿--------
-其中:现金等价物 ----29.90%2.09亿29.90%2.09亿-------------6.06%1.61亿-6.06%1.61亿--------
应收款项 6.31%2.53亿16.47%2.21亿16.47%2.21亿3.33%2.31亿5.00%2.39亿46.94%2.38亿30.82%1.9亿30.82%1.9亿31.74%2.24亿27.55%2.27亿
-应收账款净额 6.31%2.53亿17.19%2.16亿17.19%2.16亿3.33%2.31亿5.00%2.39亿46.94%2.38亿36.50%1.84亿36.50%1.84亿31.74%2.24亿27.55%2.27亿
-其他应收款 -----7.71%506.4万-7.71%506.4万-------------45.46%548.7万-45.46%548.7万--------
存货 21.83%2.97亿17.95%2.93亿17.95%2.93亿33.84%2.94亿13.36%2.57亿0.11%2.44亿2.25%2.49亿2.25%2.49亿-12.85%2.2亿-10.75%2.27亿
预付费用 -----38.21%333.1万-38.21%333.1万------------159.68%539.1万159.68%539.1万--------
税项资产 -80.49%372.8万-36.10%1,156.8万-36.10%1,156.8万-20.69%1,684.1万-19.30%1,752.7万3.72%1,911.1万10.93%1,810.4万10.93%1,810.4万69.95%2,123.4万174.55%2,172万
流动资产合计 8.52%8.25亿12.89%8.2亿12.89%8.2亿11.82%8.11亿10.30%7.69亿15.77%7.6亿7.29%7.26亿7.29%7.26亿1.22%7.25亿21.04%6.97亿
非流动资产
物业厂房及设备净额 -2.43%5.5亿-2.36%5.54亿-2.36%5.54亿0.34%5.6亿-0.78%5.68亿-2.21%5.63亿-2.55%5.68亿-2.55%5.68亿-2.79%5.58亿-1.00%5.72亿
-物业、厂房及设备 ----2.39%9.19亿2.39%9.19亿------------2.77%8.98亿2.77%8.98亿--------
-累计折旧 -----10.57%-3.65亿-10.57%-3.65亿-------------13.43%-3.3亿-13.43%-3.3亿--------
投资物业 0.00%105万0.00%105万0.00%105万0.00%105万0.00%105万0.00%105万0.00%105万0.00%105万0.00%105万0.00%105万
投资总额 -23.77%1,433万-27.29%1,648万-27.29%1,648万-8.52%2,216.2万-20.62%2,258.5万-44.14%1,879.8万-38.59%2,266.5万-38.59%2,266.5万-26.12%2,422.5万-18.41%2,845万
-长期股权投资 ------0--0--------------0--0--------
-金融资产投资 -----27.29%1,648万-27.29%1,648万-------------38.59%2,266.5万-38.59%2,266.5万--------
-其中:可供出售证券 -----27.29%1,648万-27.29%1,648万-------------38.59%2,266.5万-38.59%2,266.5万--------
-其他投资 -23.77%1,433万-27.29%1,648万-27.29%1,648万-8.52%2,216.2万-20.62%2,258.5万-44.14%1,879.8万--2,266.5万--2,266.5万-26.12%2,422.5万-18.41%2,845万
商誉及其他无形资产 -18.09%3,587.4万-17.79%3,688.4万-17.79%3,688.4万9.88%4,065.1万14.12%4,306.7万15.09%4,379.7万15.63%4,486.7万15.63%4,486.7万-22.61%3,699.5万-21.07%3,773.8万
-其他无形资产 -----17.79%3,688.4万-17.79%3,688.4万------------15.63%4,486.7万15.63%4,486.7万--------
非流动递延所得税资产 38.62%2,072万47.53%2,261.7万47.53%2,261.7万115.01%1,615.8万102.28%1,481.5万90.24%1,494.7万71.36%1,533万71.36%1,533万-34.24%751.5万-35.47%732.4万
非流动资产合计 -3.16%6.22亿-3.12%6.31亿-3.12%6.31亿1.94%6.4亿0.39%6.49亿-2.25%6.42亿-2.49%6.51亿-2.49%6.51亿-5.89%6.28亿-3.91%6.47亿
总资产 3.17%14.46亿5.32%14.51亿5.32%14.51亿7.24%14.51亿5.53%14.18亿6.76%14.02亿2.43%13.78亿2.43%13.78亿-2.21%13.53亿7.60%13.44亿
负债
流动负债
金融负债 247.59%1.41亿205.18%1.48亿205.18%1.48亿152.92%1.41亿-27.61%3,702.6万-21.09%4,058.1万-26.97%4,854.3万-26.97%4,854.3万-75.43%5,582万-68.56%5,114.6万
-短期借款及资本租赁负债 247.59%1.41亿205.18%1.48亿205.18%1.48亿152.92%1.41亿-27.61%3,702.6万-21.09%4,058.1万-26.97%4,854.3万-26.97%4,854.3万-75.43%5,582万-68.56%5,114.6万
-其中:短期借款 247.59%1.41亿207.17%1.47亿207.17%1.47亿152.92%1.41亿-27.61%3,702.6万-21.09%4,058.1万-26.78%4,799.5万-26.78%4,799.5万-75.43%5,582万-68.56%5,114.6万
-其中:资本租赁负债 ----31.39%72万31.39%72万-------------40.69%54.8万-40.69%54.8万--------
应付款项 9.95%1.73亿-3.73%8,491.4万-3.73%8,491.4万59.52%1.78亿43.04%1.56亿74.44%1.58亿32.69%8,820.4万32.69%8,820.4万5.50%1.12亿-14.57%1.09亿
-应付账款 6.42%1.66亿-5.53%6,208.6万-5.53%6,208.6万58.86%1.74亿43.58%1.54亿73.91%1.56亿47.59%6,571.7万47.59%6,571.7万4.17%1.1亿-15.91%1.07亿
-应交税费 336.06%736.5万480.27%429.4万480.27%429.4万96.93%377.9万14.98%237.2万143.02%168.9万101.63%74万101.63%74万295.67%191.9万388.86%206.3万
-其他应付款 -----14.77%1,853.4万-14.77%1,853.4万------------0.78%2,174.7万0.78%2,174.7万--------
应计及递延所得 ----98.60%8,189.7万98.60%8,189.7万------------22.06%4,123.8万22.06%4,123.8万--------
流动负债合计 58.58%3.15亿76.96%3.15亿76.96%3.15亿90.63%3.19亿20.49%1.93亿39.81%1.98亿6.75%1.78亿6.75%1.78亿-49.69%1.68亿-44.81%1.6亿
非流动负债
非流动金融负债 -25.90%3.41亿-25.54%3.48亿-25.54%3.48亿-25.36%3.5亿-3.74%4.55亿-3.47%4.6亿-3.13%4.67亿-3.13%4.67亿29.23%4.69亿73.64%4.73亿
-长期借款及资本租赁 -25.90%3.41亿-25.54%3.48亿-25.54%3.48亿-25.36%3.5亿-3.74%4.55亿-3.47%4.6亿-3.13%4.67亿-3.13%4.67亿29.23%4.69亿73.64%4.73亿
-其中:长期借款 -25.90%3.41亿-25.63%3.45亿-25.63%3.45亿-25.36%3.5亿-3.74%4.55亿-3.47%4.6亿-3.41%4.65亿-3.41%4.65亿29.23%4.69亿73.64%4.73亿
-其中:长期资本租赁负债 -----10.53%246.5万-10.53%246.5万------------86.65%275.5万86.65%275.5万--------
长期应付账款及其他应付款 1.83%255.3万-0.39%282.3万-0.39%282.3万-4.32%278.9万82.57%298.5万75.07%250.7万--283.4万--283.4万32.50%291.5万-28.26%163.5万
非流动递延所得税负债 6.34%3,096.3万30.85%3,064.3万30.85%3,064.3万95.63%3,468.6万104.02%3,074.4万154.91%2,911.6万162.95%2,341.8万162.95%2,341.8万60.60%1,773万51.78%1,506.9万
非流动负债合计 -23.85%3.75亿-22.85%3.79亿-22.85%3.79亿-20.85%3.87亿-0.13%4.89亿0.45%4.92亿-0.12%4.91亿-0.12%4.91亿30.17%4.89亿72.07%4.89亿
负债总额 -0.17%6.89亿3.72%6.94亿3.72%6.94亿7.59%7.07亿4.95%6.82亿9.29%6.9亿1.62%6.69亿1.62%6.69亿-7.35%6.57亿13.02%6.5亿
所有者权益
股本 0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿
-普通股 0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿0.00%4.32亿
留存收益 13.50%4.1亿15.16%4.09亿15.16%4.09亿14.67%3.9亿14.28%3.81亿13.93%3.61亿11.19%3.55亿11.19%3.55亿9.38%3.4亿8.91%3.34亿
其他储备 -3.86%-8,505.3万-6.81%-8,340.9万-6.81%-8,340.9万-2.31%-7,787万-7.65%-7,775.6万-20.73%-8,189.1万-21.24%-7,809万-21.24%-7,809万-11.09%-7,611万-11.18%-7,223.1万
股东权益 6.41%7.57亿6.84%7.58亿6.84%7.58亿6.91%7.44亿6.07%7.36亿4.41%7.12亿3.21%7.09亿3.21%7.09亿3.19%6.96亿2.97%6.94亿
总权益 6.41%7.57亿6.84%7.58亿6.84%7.58亿6.91%7.44亿6.07%7.36亿4.41%7.12亿3.21%7.09亿3.21%7.09亿3.19%6.96亿2.97%6.94亿
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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