马来西亚市场个股详情

8419PA PANSAR-PA

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  • 0.565
  • 0.0000.00%
延时15分钟行情已收盘 09/13 09:11 (北京)
2.87亿总市值0.00市盈率TTM

PANSAR-PA关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
(Q2)2023/09/30
(Q1)2023/06/30
(FY)2023/03/31
(Q4)2023/03/31
(Q3)2022/12/31
(Q2)2022/09/30
经营活动现金流量(间接法)
经营活动产生的现金
42.71%-797.5万
180.48%3,291.53万
119.43%240.73万
880.43%5,857.1万
-37.94%-1,414.2万
-29.51%-1,392.1万
53.21%-4,089.68万
65.16%-1,239.08万
-151.32%-750.5万
-72.51%-1,025.2万
扣除非现金调整前净利润
1.11%907.7万
106.94%2,834.79万
-60.19%148.19万
150.40%918.2万
114.93%870.7万
297.39%897.7万
290.15%1,369.88万
406.37%372.18万
49.43%366.7万
-57.86%405.1万
非现金项目调整总额
0.43%747.3万
-1.37%3,635.92万
3.89%1,353.52万
-11.08%709.3万
1.31%829万
-3.09%744.1万
54.10%3,686.6万
78.71%1,302.8万
13.36%797.7万
1,682.79%818.3万
-折旧与摊销
-29.59%342.6万
4.80%1,766.06万
-34.40%326.76万
10.05%466.4万
34.49%486.3万
21.14%486.6万
24.66%1,685.23万
127.75%498.13万
-9.58%423.8万
1.52%361.6万
-在损益中确认的减值损失回拨
305.35%222.6万
-23.06%449.78万
24.65%574.18万
-185.01%-96.4万
18.76%80.4万
-89.84%-108.4万
515.50%584.62万
170.48%460.62万
1,388.64%113.4万
132.94%67.7万
-资产准备金与勾销
-288.24%-38.4万
462.02%91.04万
3,125.34%49.84万
138.93%5.8万
63.04%15万
214.61%20.4万
85.86%-25.15万
99.08%-1.65万
-1,762.50%-14.9万
2,966.67%9.2万
-联营企业份额
66.79%-35.6万
-157.92%-300.98万
137.24%19.62万
-1,690.80%-155.8万
-438.32%-57.6万
-140.36%-107.2万
-48.00%-116.69万
-234.66%-52.69万
-307.14%-8.7万
77.75%-10.7万
-处置利润
-264.66%-41万
-112.53%-43.42万
-134.07%-43.52万
513.51%15.3万
-78.22%-40.1万
-89.83%24.9万
-42.72%346.47万
-68.96%127.77万
87.41%-3.7万
93.11%-22.5万
-汇兑损益净额
-255.48%-24.1万
-77.36%-6.95万
-1,829.41%-11.75万
135.85%16.6万
-138.50%-27.3万
153.08%15.5万
69.91%-3.92万
108.16%6,796
-4,530.00%-46.3万
5,164.29%70.9万
-养老金及员工福利费用
-61.86%53.7万
38.64%535.27万
911.93%135.37万
64.92%176.3万
-44.73%82.8万
21.38%140.8万
17.69%386.08万
229.31%13.38万
-9.94%106.9万
35.08%149.8万
-其他非现金项目
-1.47%267.5万
37.97%1,145.13万
18.11%303.03万
23.72%281.1万
50.55%289.5万
76.41%271.5万
60.17%829.98万
80.09%256.58万
49.38%227.2万
20.04%192.3万
营运资本变动
19.16%-2,452.5万
65.24%-3,179.18万
56.73%-1,260.98万
320.88%4,229.6万
-38.48%-3,113.9万
-46.66%-3,033.9万
20.36%-9,146.16万
30.02%-2,914.06万
-473.13%-1,914.9万
-40.40%-2,248.6万
-应收款(增)减
53.85%-2,146.7万
70.24%-3,714万
10.72%-3,616.5万
254.55%5,998.2万
22.93%-1,444万
-73.87%-4,651.7万
-11.20%-1.25亿
-22.45%-4,050.74万
-21,108.20%-3,881.1万
28.28%-1,873.5万
-存货(增)减
50.29%-273.9万
-10.21%-906.47万
68.51%-227.47万
51.55%752.6万
-184.80%-880.6万
-91.59%-551万
-99.73%-822.52万
-121.56%-722.32万
208.14%496.6万
-126.72%-309.2万
-应付款(减)增
-101.47%-31.9万
-65.33%1,441.3万
38.95%2,583万
-271.56%-2,521.2万
-1,097.72%-789.3万
142.49%2,168.8万
2,653.36%4,157.1万
450.68%1,859万
48.34%1,469.6万
55.08%-65.9万
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)
4.47%-232.8万
-50.56%-1,049.3万
-17.68%-288.8万
-36.88%-255万
-58.67%-261.8万
-143.21%-243.7万
-74.49%-696.92万
-545.98%-245.42万
-39.66%-186.3万
3.28%-165万
已收到的利息(经营活动产生的现金流)
25.26%11.9万
-9.79%50.14万
-37.44%16.44万
8.85%12.3万
-65.00%11.9万
159.38%9.5万
-2.29%55.58万
108.84%26.28万
-46.19%11.3万
180.99%34万
已支付退税
-83.80%-238.2万
-157.08%-686.13万
-470.50%-317.73万
-165.63%-180.1万
-112.68%-58.7万
-11.92%-129.6万
41.55%-266.89万
62.64%-55.69万
13.74%-67.8万
73.26%-27.6万
其他经营现金流入(流出)
0
-38.97%-408.63万
-343.86%-193.73万
-18.53%-214.9万
150.26%9.5万
81.08%-9.5万
-114.31%-294.05万
-497.53%-43.65万
-39.57%-181.3万
-18.9万
经营活动现金净额
28.82%-1,256.6万
122.63%1,197.62万
65.13%-543.08万
544.36%5,219.4万
-42.45%-1,713.3万
-30.09%-1,765.4万
45.32%-5,291.95万
58.34%-1,557.55万
-202.91%-1,174.6万
-40.50%-1,202.7万
投资活动现金流量
物业、厂房及设备交易净额
-374.60%-117.7万
73.39%-284.23万
95.86%-23.03万
-7.84%-180.1万
53.08%-56.3万
89.00%-24.8万
-20.59%-1,068.3万
-1,263.10%-555.9万
50.81%-167万
46.62%-120万
无形资产交易净额
---1.3万
-417.84%-2.73万
-2,600.00%-7,290
-1,500.00%-1.6万
---4,000
--0
79.53%-5,270
-208.00%-270
93.33%-1,000
--0
业务交易净额
----
--147.75万
----
----
----
----
--0
----
----
----
投资物业交易净额
--0
-12.09%-30.38万
30.60%-12.98万
--0
--0
---17.4万
63.96%-27.1万
74.42%-18.7万
---8.4万
--0
已收到的股息(投资活动产生的现金流)
--0
50.00%240万
--0
--0
--0
2,300.00%240万
-39.55%160万
--0
43.27%150万
--0
投资活动现金净额
-160.16%-119万
107.52%70.42万
119.32%111.02万
-612.55%-181.7万
52.75%-56.7万
191.66%197.8万
93.93%-935.93万
-180.29%-574.63万
94.31%-25.5万
-600.00%-120万
融资活动现金流量
债务发行/偿还的净额
-110.43%-246.8万
-33.76%2,634.26万
118.33%2,327.86万
-369.84%-1,946.1万
-111.44%-113.2万
97.16%2,365.7万
-71.82%3,976.63万
-60.26%1,066.23万
1,105.86%721.2万
-65.99%989.3万
普通股发行/回购的净额
--0
-23.28%138.78万
-100.01%-207
--0
--0
--138.8万
2,852.19%180.9万
657,700.73%180.9万
--0
--0
租赁融资增减
19.09%-120.4万
-5.96%-608.48万
-1.84%-156.38万
-0.99%-152.3万
-9.66%-151万
-12.56%-148.8万
-8.05%-574.26万
-19.90%-153.56万
-17.26%-150.8万
-2.99%-137.7万
已支付现金股息
----
-33.52%-649.15万
59.86%462
--0
----
----
-40.90%-486.17万
168.16%289
--0
----
已付利息(筹资活动产生的现金流)
-6.71%-47.7万
20.27%-154.91万
20.47%-33.71万
28.32%-36.2万
20.36%-40.3万
12.01%-44.7万
3.47%-194.29万
66.98%-42.39万
-17.72%-50.5万
-787.72%-50.6万
其他筹资费用净额
14,200.00%28.2万
-25.38%-7,450
-26.16%-2,450
50.00%-1,000
99.94%-2,000
-100.06%-2,000
-54.38%-5,942
---1,942
---2,000
---329.6万
融资活动现金净额
-116.73%-386.7万
-53.15%1,359.75万
103.38%2,137.55万
-510.76%-2,134.7万
-6,345.27%-953.9万
71.64%2,310.8万
-77.74%2,902.22万
-56.68%1,051.02万
313.69%519.7万
-100.89%-14.8万
现金净流量
期初现金流
435.36%3,264.6万
-84.38%609.83万
-7.15%1,558.6万
-157.50%-1,354.4万
-62.79%1,368.9万
-84.38%609.8万
-75.55%3,904.88万
-30.39%1,678.6万
20.06%2,355.5万
227.41%3,678.4万
现金变动
-337.12%-1,762.3万
179.02%2,627.78万
257.75%1,705.48万
526.66%2,903万
-103.66%-2,723.9万
427.98%743.2万
72.44%-3,325.66万
-81.17%-1,081.16万
-251.30%-680.4万
-259.72%-1,337.5万
汇率变动影响
-150.31%-8万
-11.93%26.96万
-96.31%4,575
185.71%10万
-95.86%6,000
7,850.00%15.9万
2,973.90%30.61万
1,032.50%12.41万
3,600.00%3.5万
1,218.18%14.5万
期末现金
9.16%1,494.3万
435.32%3,264.58万
435.32%3,264.58万
-7.15%1,558.6万
-157.50%-1,354.4万
-62.79%1,368.9万
-84.38%609.83万
-84.38%609.83万
-30.39%1,678.6万
20.06%2,355.5万
自由现金流
21.03%-1,414.2万
112.95%828.16万
70.33%-628.24万
469.41%5,036.6万
-34.80%-1,789.5万
-12.99%-1,790.7万
39.63%-6,393.09万
44.12%-2,117.29万
-273.04%-1,363.4万
-22.56%-1,327.5万
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)2024/06/30(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31(Q2)2023/09/30(Q1)2023/06/30(FY)2023/03/31(Q4)2023/03/31(Q3)2022/12/31(Q2)2022/09/30
经营活动现金流量(间接法)
经营活动产生的现金 42.71%-797.5万180.48%3,291.53万119.43%240.73万880.43%5,857.1万-37.94%-1,414.2万-29.51%-1,392.1万53.21%-4,089.68万65.16%-1,239.08万-151.32%-750.5万-72.51%-1,025.2万
扣除非现金调整前净利润 1.11%907.7万106.94%2,834.79万-60.19%148.19万150.40%918.2万114.93%870.7万297.39%897.7万290.15%1,369.88万406.37%372.18万49.43%366.7万-57.86%405.1万
非现金项目调整总额 0.43%747.3万-1.37%3,635.92万3.89%1,353.52万-11.08%709.3万1.31%829万-3.09%744.1万54.10%3,686.6万78.71%1,302.8万13.36%797.7万1,682.79%818.3万
-折旧与摊销 -29.59%342.6万4.80%1,766.06万-34.40%326.76万10.05%466.4万34.49%486.3万21.14%486.6万24.66%1,685.23万127.75%498.13万-9.58%423.8万1.52%361.6万
-在损益中确认的减值损失回拨 305.35%222.6万-23.06%449.78万24.65%574.18万-185.01%-96.4万18.76%80.4万-89.84%-108.4万515.50%584.62万170.48%460.62万1,388.64%113.4万132.94%67.7万
-资产准备金与勾销 -288.24%-38.4万462.02%91.04万3,125.34%49.84万138.93%5.8万63.04%15万214.61%20.4万85.86%-25.15万99.08%-1.65万-1,762.50%-14.9万2,966.67%9.2万
-联营企业份额 66.79%-35.6万-157.92%-300.98万137.24%19.62万-1,690.80%-155.8万-438.32%-57.6万-140.36%-107.2万-48.00%-116.69万-234.66%-52.69万-307.14%-8.7万77.75%-10.7万
-处置利润 -264.66%-41万-112.53%-43.42万-134.07%-43.52万513.51%15.3万-78.22%-40.1万-89.83%24.9万-42.72%346.47万-68.96%127.77万87.41%-3.7万93.11%-22.5万
-汇兑损益净额 -255.48%-24.1万-77.36%-6.95万-1,829.41%-11.75万135.85%16.6万-138.50%-27.3万153.08%15.5万69.91%-3.92万108.16%6,796-4,530.00%-46.3万5,164.29%70.9万
-养老金及员工福利费用 -61.86%53.7万38.64%535.27万911.93%135.37万64.92%176.3万-44.73%82.8万21.38%140.8万17.69%386.08万229.31%13.38万-9.94%106.9万35.08%149.8万
-其他非现金项目 -1.47%267.5万37.97%1,145.13万18.11%303.03万23.72%281.1万50.55%289.5万76.41%271.5万60.17%829.98万80.09%256.58万49.38%227.2万20.04%192.3万
营运资本变动 19.16%-2,452.5万65.24%-3,179.18万56.73%-1,260.98万320.88%4,229.6万-38.48%-3,113.9万-46.66%-3,033.9万20.36%-9,146.16万30.02%-2,914.06万-473.13%-1,914.9万-40.40%-2,248.6万
-应收款(增)减 53.85%-2,146.7万70.24%-3,714万10.72%-3,616.5万254.55%5,998.2万22.93%-1,444万-73.87%-4,651.7万-11.20%-1.25亿-22.45%-4,050.74万-21,108.20%-3,881.1万28.28%-1,873.5万
-存货(增)减 50.29%-273.9万-10.21%-906.47万68.51%-227.47万51.55%752.6万-184.80%-880.6万-91.59%-551万-99.73%-822.52万-121.56%-722.32万208.14%496.6万-126.72%-309.2万
-应付款(减)增 -101.47%-31.9万-65.33%1,441.3万38.95%2,583万-271.56%-2,521.2万-1,097.72%-789.3万142.49%2,168.8万2,653.36%4,157.1万450.68%1,859万48.34%1,469.6万55.08%-65.9万
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) 4.47%-232.8万-50.56%-1,049.3万-17.68%-288.8万-36.88%-255万-58.67%-261.8万-143.21%-243.7万-74.49%-696.92万-545.98%-245.42万-39.66%-186.3万3.28%-165万
已收到的利息(经营活动产生的现金流) 25.26%11.9万-9.79%50.14万-37.44%16.44万8.85%12.3万-65.00%11.9万159.38%9.5万-2.29%55.58万108.84%26.28万-46.19%11.3万180.99%34万
已支付退税 -83.80%-238.2万-157.08%-686.13万-470.50%-317.73万-165.63%-180.1万-112.68%-58.7万-11.92%-129.6万41.55%-266.89万62.64%-55.69万13.74%-67.8万73.26%-27.6万
其他经营现金流入(流出) 0-38.97%-408.63万-343.86%-193.73万-18.53%-214.9万150.26%9.5万81.08%-9.5万-114.31%-294.05万-497.53%-43.65万-39.57%-181.3万-18.9万
经营活动现金净额 28.82%-1,256.6万122.63%1,197.62万65.13%-543.08万544.36%5,219.4万-42.45%-1,713.3万-30.09%-1,765.4万45.32%-5,291.95万58.34%-1,557.55万-202.91%-1,174.6万-40.50%-1,202.7万
投资活动现金流量
物业、厂房及设备交易净额 -374.60%-117.7万73.39%-284.23万95.86%-23.03万-7.84%-180.1万53.08%-56.3万89.00%-24.8万-20.59%-1,068.3万-1,263.10%-555.9万50.81%-167万46.62%-120万
无形资产交易净额 ---1.3万-417.84%-2.73万-2,600.00%-7,290-1,500.00%-1.6万---4,000--079.53%-5,270-208.00%-27093.33%-1,000--0
业务交易净额 ------147.75万------------------0------------
投资物业交易净额 --0-12.09%-30.38万30.60%-12.98万--0--0---17.4万63.96%-27.1万74.42%-18.7万---8.4万--0
已收到的股息(投资活动产生的现金流) --050.00%240万--0--0--02,300.00%240万-39.55%160万--043.27%150万--0
投资活动现金净额 -160.16%-119万107.52%70.42万119.32%111.02万-612.55%-181.7万52.75%-56.7万191.66%197.8万93.93%-935.93万-180.29%-574.63万94.31%-25.5万-600.00%-120万
融资活动现金流量
债务发行/偿还的净额 -110.43%-246.8万-33.76%2,634.26万118.33%2,327.86万-369.84%-1,946.1万-111.44%-113.2万97.16%2,365.7万-71.82%3,976.63万-60.26%1,066.23万1,105.86%721.2万-65.99%989.3万
普通股发行/回购的净额 --0-23.28%138.78万-100.01%-207--0--0--138.8万2,852.19%180.9万657,700.73%180.9万--0--0
租赁融资增减 19.09%-120.4万-5.96%-608.48万-1.84%-156.38万-0.99%-152.3万-9.66%-151万-12.56%-148.8万-8.05%-574.26万-19.90%-153.56万-17.26%-150.8万-2.99%-137.7万
已支付现金股息 -----33.52%-649.15万59.86%462--0---------40.90%-486.17万168.16%289--0----
已付利息(筹资活动产生的现金流) -6.71%-47.7万20.27%-154.91万20.47%-33.71万28.32%-36.2万20.36%-40.3万12.01%-44.7万3.47%-194.29万66.98%-42.39万-17.72%-50.5万-787.72%-50.6万
其他筹资费用净额 14,200.00%28.2万-25.38%-7,450-26.16%-2,45050.00%-1,00099.94%-2,000-100.06%-2,000-54.38%-5,942---1,942---2,000---329.6万
融资活动现金净额 -116.73%-386.7万-53.15%1,359.75万103.38%2,137.55万-510.76%-2,134.7万-6,345.27%-953.9万71.64%2,310.8万-77.74%2,902.22万-56.68%1,051.02万313.69%519.7万-100.89%-14.8万
现金净流量
期初现金流 435.36%3,264.6万-84.38%609.83万-7.15%1,558.6万-157.50%-1,354.4万-62.79%1,368.9万-84.38%609.8万-75.55%3,904.88万-30.39%1,678.6万20.06%2,355.5万227.41%3,678.4万
现金变动 -337.12%-1,762.3万179.02%2,627.78万257.75%1,705.48万526.66%2,903万-103.66%-2,723.9万427.98%743.2万72.44%-3,325.66万-81.17%-1,081.16万-251.30%-680.4万-259.72%-1,337.5万
汇率变动影响 -150.31%-8万-11.93%26.96万-96.31%4,575185.71%10万-95.86%6,0007,850.00%15.9万2,973.90%30.61万1,032.50%12.41万3,600.00%3.5万1,218.18%14.5万
期末现金 9.16%1,494.3万435.32%3,264.58万435.32%3,264.58万-7.15%1,558.6万-157.50%-1,354.4万-62.79%1,368.9万-84.38%609.83万-84.38%609.83万-30.39%1,678.6万20.06%2,355.5万
自由现金流 21.03%-1,414.2万112.95%828.16万70.33%-628.24万469.41%5,036.6万-34.80%-1,789.5万-12.99%-1,790.7万39.63%-6,393.09万44.12%-2,117.29万-273.04%-1,363.4万-22.56%-1,327.5万
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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