马来西亚市场个股详情

PANSAR-PA (8419PA)

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  • 0.525
  • 0.0000.00%
延时15分钟行情未开盘 03/10 09:00 (北京)
2.70亿总市值0.00市盈率TTM

8419PA PANSAR-PA

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2025/12/31
(Q2)2025/09/30
(Q1)2025/06/30
(FY)2025/03/31
(Q4)2025/03/31
(Q3)2024/12/31
(Q2)2024/09/30
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
经营活动现金流量(间接法)
经营活动产生的现金
583.15%8,060.5万
-76.06%347.4万
386.41%2,284.1万
50.41%4,950.86万
1,194.95%3,117.36万
-79.86%1,179.9万
202.61%1,451.1万
42.71%-797.5万
180.48%3,291.53万
119.43%240.73万
扣除非现金调整前净利润
-2.64%1,191.4万
-30.11%792.5万
18.46%1,075.3万
27.71%3,620.32万
139.58%355.02万
33.27%1,223.7万
30.23%1,133.9万
1.11%907.7万
106.94%2,834.79万
-60.19%148.19万
非现金项目调整总额
67.61%1,012.7万
17.17%1,367.4万
25.61%938.7万
27.51%4,636.02万
56.44%2,117.52万
-14.82%604.2万
40.77%1,167万
0.43%747.3万
-1.37%3,635.92万
3.89%1,353.52万
-折旧与摊销
-2.59%391.2万
-7.01%331.8万
4.70%358.7万
-14.53%1,509.5万
25.01%408.5万
-13.89%401.6万
-26.63%356.8万
-29.59%342.6万
4.80%1,766.06万
-34.40%326.76万
-在损益中确认的减值损失回拨
-59.45%-63.3万
2,691.18%474.5万
-151.98%-115.7万
84.32%829.01万
10.98%629.11万
55.44%-39.7万
-78.86%17万
305.35%222.6万
3.49%449.78万
83.68%566.88万
-资产准备金与勾销
659.18%54.8万
366.67%46.2万
225.26%48.1万
276.95%343.18万
665.41%381.48万
-268.97%-9.8万
-34.00%9.9万
-288.24%-38.4万
-27.08%91.04万
-66.40%49.84万
-联营企业份额
-420.75%-17万
15.23%-20.6万
47.19%-18.8万
59.83%-120.9万
-437.84%-66.3万
103.40%5.3万
57.81%-24.3万
66.79%-35.6万
-157.92%-300.98万
137.24%19.62万
-处置利润
97.44%-4.3万
-75.15%33.4万
1,019.51%377万
-173.46%-118.75万
-1.90%-44.35万
-1,196.73%-167.8万
435.16%134.4万
-264.66%-41万
-112.53%-43.42万
-134.07%-43.52万
-汇兑损益净额
195.45%35.7万
-350.31%-40.3万
21.16%-19万
109.72%6,756
492.03%46.08万
-325.30%-37.4万
158.97%16.1万
-255.48%-24.1万
-77.36%-6.95万
-1,829.41%-11.75万
-养老金及员工福利费用
130.41%362.9万
-22.64%276.1万
13.22%60.8万
85.48%992.83万
213.76%424.73万
-10.66%157.5万
331.04%356.9万
-61.86%53.7万
38.64%535.27万
911.93%135.37万
-其他非现金项目
-14.19%252.7万
-11.29%266.3万
-7.44%247.6万
4.83%1,200.47万
9.00%338.27万
7.56%294.5万
3.70%300.2万
-1.47%267.5万
37.97%1,145.13万
20.01%310.33万
营运资本变动
1,003.77%5,856.4万
-113.29%-1,812.5万
111.01%270.1万
-3.97%-3,305.47万
151.14%644.83万
-115.32%-648万
72.71%-849.8万
19.16%-2,452.5万
65.24%-3,179.18万
56.73%-1,260.98万
-应收款(增)减
1,212.05%6,800.2万
-1,724.25%-4,661.6万
111.87%254.8万
54.74%-1,680.96万
121.85%790.24万
-110.19%-611.5万
119.88%287万
53.85%-2,146.7万
70.24%-3,714万
10.72%-3,616.5万
-存货(增)减
12.82%-897.3万
-88.93%-519万
11.43%-242.6万
-146.20%-2,231.72万
-187.42%-653.82万
-236.77%-1,029.3万
68.81%-274.7万
50.29%-273.9万
-10.21%-906.47万
68.51%-227.47万
-应付款(减)增
-104.68%-46.5万
490.69%3,368.1万
908.46%257.9万
-57.87%607.2万
-80.32%508.4万
139.38%992.8万
-9.22%-862.1万
-101.47%-31.9万
-65.33%1,441.3万
38.95%2,583万
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)
14.62%-224.3万
10.94%-236万
6.66%-217.3万
-2.13%-1,071.6万
-7.72%-311.1万
-3.02%-262.7万
-1.22%-265万
4.47%-232.8万
-50.56%-1,049.3万
-17.68%-288.8万
已收到的利息(经营活动产生的现金流)
-27.62%7.6万
-15.24%8.9万
-46.22%6.4万
-12.33%43.96万
-32.74%11.06万
-14.63%10.5万
-11.76%10.5万
25.26%11.9万
-9.79%50.14万
-37.44%16.44万
已支付退税
-195.62%-310.7万
-31.76%-237.3万
-75.69%-418.5万
-56.90%-1,076.51万
-74.08%-553.11万
41.64%-105.1万
-206.81%-180.1万
-83.80%-238.2万
-157.08%-686.13万
-470.50%-317.73万
其他经营现金流入(流出)
-224.06%-121.2万
0
0
-58.07%-645.91万
-136.47%-458.11万
82.60%-37.4万
-1,683.16%-150.4万
0
-38.97%-408.63万
-343.86%-193.73万
经营活动现金净额
843.95%7,411.9万
-113.51%-117万
231.68%1,654.7万
83.76%2,200.8万
432.57%1,806.1万
-84.96%785.2万
150.55%866.1万
28.82%-1,256.6万
122.63%1,197.62万
65.13%-543.08万
投资活动现金流量
物业、厂房及设备交易净额
40.26%-77.9万
82.55%-35.8万
54.04%-54.1万
-106.21%-586.09万
-476.70%-132.79万
27.60%-130.4万
-264.48%-205.2万
-374.60%-117.7万
73.39%-284.23万
95.86%-23.03万
无形资产交易净额
--0
104.17%1,000
61.54%-5,000
-153.39%-6.92万
-341.02%-3.22万
--0
-500.00%-2.4万
---1.3万
-417.84%-2.73万
-2,600.00%-7,290
业务交易净额
--0
--0
---96.9万
-53.37%68.9万
-103.45%-5.1万
--74万
--0
--0
--147.75万
--147.75万
投资物业交易净额
----
----
----
--0
--0
--0
--0
--0
-12.09%-30.38万
30.60%-12.98万
偿还对其他方提供的预付款及贷款产生的现金收入
----
----
----
--74万
----
----
----
----
----
----
已收到的股息(投资活动产生的现金流)
--0
--0
--210万
-47.64%125.65万
--89.95万
--35.7万
--0
--0
50.00%240万
--0
投资活动现金净额
-276.33%-77.9万
82.80%-35.7万
149.16%58.5万
-665.83%-398.45万
-146.08%-51.15万
88.61%-20.7万
-266.14%-207.6万
-160.16%-119万
107.52%70.42万
119.32%111.02万
融资活动现金流量
债务发行/偿还的净额
-672.64%-2,069.9万
-161.43%-404.3万
-1,316.77%-3,496.6万
-50.95%1,292.19万
-50.65%1,148.69万
86.23%-267.9万
681.45%658.2万
-110.43%-246.8万
-33.76%2,634.26万
118.33%2,327.86万
普通股发行/回购的净额
----
----
----
--0
--0
--0
--0
--0
-23.28%138.78万
-100.01%-207
租赁融资增减
-5.02%-163.3万
-1.02%-168.4万
-38.04%-166.2万
3.08%-589.74万
5.91%-147.14万
-2.10%-155.5万
-10.40%-166.7万
19.09%-120.4万
-5.96%-608.48万
-1.84%-156.38万
已支付现金股息
--0
----
----
7.48%-600.61万
-130.95%-143
--0
----
----
-33.52%-649.15万
59.86%462
已付利息(筹资活动产生的现金流)
17.55%-35.7万
13.73%-39.6万
12.16%-41.9万
-13.80%-176.29万
-16.84%-39.39万
-19.61%-43.3万
-13.90%-45.9万
-6.71%-47.7万
20.27%-154.91万
20.47%-33.71万
其他筹资费用净额
----
----
----
3,884.12%28.19万
96.61%-83
--0
--0
14,200.00%28.2万
-25.38%-7,450
-26.16%-2,450
融资活动现金净额
-386.16%-2,268.9万
-709.03%-1,254万
-858.03%-3,704.7万
-103.40%-46.25万
-54.99%962.15万
78.14%-466.7万
83.75%-155万
-116.73%-386.7万
-53.15%1,359.75万
103.38%2,137.55万
现金净流量
期初现金流
-19.00%1,582.6万
100.50%2,996.1万
52.78%4,987.7万
435.32%3,264.58万
45.39%2,266万
244.26%1,953.9万
9.16%1,494.3万
435.36%3,264.6万
-84.38%609.83万
-7.15%1,558.6万
现金变动
1,600.84%5,065.1万
-379.38%-1,406.7万
-13.01%-1,991.5万
-33.17%1,756.09万
59.32%2,717.09万
-89.74%297.8万
118.48%503.5万
-337.12%-1,762.3万
179.02%2,627.78万
257.75%1,705.48万
汇率变动影响
-248.25%-21.2万
84.51%-6.8万
98.75%-1,000
-222.39%-32.99万
906.80%4.61万
43.00%14.3万
-7,416.67%-43.9万
-150.31%-8万
-11.93%26.96万
-96.31%4,575
期末现金
192.43%6,626.5万
-19.00%1,582.6万
100.50%2,996.1万
52.78%4,987.68万
52.78%4,987.68万
45.39%2,266万
244.26%1,953.9万
9.16%1,494.3万
435.32%3,264.58万
435.32%3,264.58万
自由现金流
1,041.84%7,328.3万
-125.83%-176.9万
212.04%1,584.5万
87.02%1,548.81万
360.46%1,636.31万
-87.26%641.8万
138.27%684.9万
21.03%-1,414.2万
112.95%828.16万
70.33%-628.24万
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q3)2025/12/31(Q2)2025/09/30(Q1)2025/06/30(FY)2025/03/31(Q4)2025/03/31(Q3)2024/12/31(Q2)2024/09/30(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31
经营活动现金流量(间接法)
经营活动产生的现金 583.15%8,060.5万-76.06%347.4万386.41%2,284.1万50.41%4,950.86万1,194.95%3,117.36万-79.86%1,179.9万202.61%1,451.1万42.71%-797.5万180.48%3,291.53万119.43%240.73万
扣除非现金调整前净利润 -2.64%1,191.4万-30.11%792.5万18.46%1,075.3万27.71%3,620.32万139.58%355.02万33.27%1,223.7万30.23%1,133.9万1.11%907.7万106.94%2,834.79万-60.19%148.19万
非现金项目调整总额 67.61%1,012.7万17.17%1,367.4万25.61%938.7万27.51%4,636.02万56.44%2,117.52万-14.82%604.2万40.77%1,167万0.43%747.3万-1.37%3,635.92万3.89%1,353.52万
-折旧与摊销 -2.59%391.2万-7.01%331.8万4.70%358.7万-14.53%1,509.5万25.01%408.5万-13.89%401.6万-26.63%356.8万-29.59%342.6万4.80%1,766.06万-34.40%326.76万
-在损益中确认的减值损失回拨 -59.45%-63.3万2,691.18%474.5万-151.98%-115.7万84.32%829.01万10.98%629.11万55.44%-39.7万-78.86%17万305.35%222.6万3.49%449.78万83.68%566.88万
-资产准备金与勾销 659.18%54.8万366.67%46.2万225.26%48.1万276.95%343.18万665.41%381.48万-268.97%-9.8万-34.00%9.9万-288.24%-38.4万-27.08%91.04万-66.40%49.84万
-联营企业份额 -420.75%-17万15.23%-20.6万47.19%-18.8万59.83%-120.9万-437.84%-66.3万103.40%5.3万57.81%-24.3万66.79%-35.6万-157.92%-300.98万137.24%19.62万
-处置利润 97.44%-4.3万-75.15%33.4万1,019.51%377万-173.46%-118.75万-1.90%-44.35万-1,196.73%-167.8万435.16%134.4万-264.66%-41万-112.53%-43.42万-134.07%-43.52万
-汇兑损益净额 195.45%35.7万-350.31%-40.3万21.16%-19万109.72%6,756492.03%46.08万-325.30%-37.4万158.97%16.1万-255.48%-24.1万-77.36%-6.95万-1,829.41%-11.75万
-养老金及员工福利费用 130.41%362.9万-22.64%276.1万13.22%60.8万85.48%992.83万213.76%424.73万-10.66%157.5万331.04%356.9万-61.86%53.7万38.64%535.27万911.93%135.37万
-其他非现金项目 -14.19%252.7万-11.29%266.3万-7.44%247.6万4.83%1,200.47万9.00%338.27万7.56%294.5万3.70%300.2万-1.47%267.5万37.97%1,145.13万20.01%310.33万
营运资本变动 1,003.77%5,856.4万-113.29%-1,812.5万111.01%270.1万-3.97%-3,305.47万151.14%644.83万-115.32%-648万72.71%-849.8万19.16%-2,452.5万65.24%-3,179.18万56.73%-1,260.98万
-应收款(增)减 1,212.05%6,800.2万-1,724.25%-4,661.6万111.87%254.8万54.74%-1,680.96万121.85%790.24万-110.19%-611.5万119.88%287万53.85%-2,146.7万70.24%-3,714万10.72%-3,616.5万
-存货(增)减 12.82%-897.3万-88.93%-519万11.43%-242.6万-146.20%-2,231.72万-187.42%-653.82万-236.77%-1,029.3万68.81%-274.7万50.29%-273.9万-10.21%-906.47万68.51%-227.47万
-应付款(减)增 -104.68%-46.5万490.69%3,368.1万908.46%257.9万-57.87%607.2万-80.32%508.4万139.38%992.8万-9.22%-862.1万-101.47%-31.9万-65.33%1,441.3万38.95%2,583万
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) 14.62%-224.3万10.94%-236万6.66%-217.3万-2.13%-1,071.6万-7.72%-311.1万-3.02%-262.7万-1.22%-265万4.47%-232.8万-50.56%-1,049.3万-17.68%-288.8万
已收到的利息(经营活动产生的现金流) -27.62%7.6万-15.24%8.9万-46.22%6.4万-12.33%43.96万-32.74%11.06万-14.63%10.5万-11.76%10.5万25.26%11.9万-9.79%50.14万-37.44%16.44万
已支付退税 -195.62%-310.7万-31.76%-237.3万-75.69%-418.5万-56.90%-1,076.51万-74.08%-553.11万41.64%-105.1万-206.81%-180.1万-83.80%-238.2万-157.08%-686.13万-470.50%-317.73万
其他经营现金流入(流出) -224.06%-121.2万00-58.07%-645.91万-136.47%-458.11万82.60%-37.4万-1,683.16%-150.4万0-38.97%-408.63万-343.86%-193.73万
经营活动现金净额 843.95%7,411.9万-113.51%-117万231.68%1,654.7万83.76%2,200.8万432.57%1,806.1万-84.96%785.2万150.55%866.1万28.82%-1,256.6万122.63%1,197.62万65.13%-543.08万
投资活动现金流量
物业、厂房及设备交易净额 40.26%-77.9万82.55%-35.8万54.04%-54.1万-106.21%-586.09万-476.70%-132.79万27.60%-130.4万-264.48%-205.2万-374.60%-117.7万73.39%-284.23万95.86%-23.03万
无形资产交易净额 --0104.17%1,00061.54%-5,000-153.39%-6.92万-341.02%-3.22万--0-500.00%-2.4万---1.3万-417.84%-2.73万-2,600.00%-7,290
业务交易净额 --0--0---96.9万-53.37%68.9万-103.45%-5.1万--74万--0--0--147.75万--147.75万
投资物业交易净额 --------------0--0--0--0--0-12.09%-30.38万30.60%-12.98万
偿还对其他方提供的预付款及贷款产生的现金收入 --------------74万------------------------
已收到的股息(投资活动产生的现金流) --0--0--210万-47.64%125.65万--89.95万--35.7万--0--050.00%240万--0
投资活动现金净额 -276.33%-77.9万82.80%-35.7万149.16%58.5万-665.83%-398.45万-146.08%-51.15万88.61%-20.7万-266.14%-207.6万-160.16%-119万107.52%70.42万119.32%111.02万
融资活动现金流量
债务发行/偿还的净额 -672.64%-2,069.9万-161.43%-404.3万-1,316.77%-3,496.6万-50.95%1,292.19万-50.65%1,148.69万86.23%-267.9万681.45%658.2万-110.43%-246.8万-33.76%2,634.26万118.33%2,327.86万
普通股发行/回购的净额 --------------0--0--0--0--0-23.28%138.78万-100.01%-207
租赁融资增减 -5.02%-163.3万-1.02%-168.4万-38.04%-166.2万3.08%-589.74万5.91%-147.14万-2.10%-155.5万-10.40%-166.7万19.09%-120.4万-5.96%-608.48万-1.84%-156.38万
已支付现金股息 --0--------7.48%-600.61万-130.95%-143--0---------33.52%-649.15万59.86%462
已付利息(筹资活动产生的现金流) 17.55%-35.7万13.73%-39.6万12.16%-41.9万-13.80%-176.29万-16.84%-39.39万-19.61%-43.3万-13.90%-45.9万-6.71%-47.7万20.27%-154.91万20.47%-33.71万
其他筹资费用净额 ------------3,884.12%28.19万96.61%-83--0--014,200.00%28.2万-25.38%-7,450-26.16%-2,450
融资活动现金净额 -386.16%-2,268.9万-709.03%-1,254万-858.03%-3,704.7万-103.40%-46.25万-54.99%962.15万78.14%-466.7万83.75%-155万-116.73%-386.7万-53.15%1,359.75万103.38%2,137.55万
现金净流量
期初现金流 -19.00%1,582.6万100.50%2,996.1万52.78%4,987.7万435.32%3,264.58万45.39%2,266万244.26%1,953.9万9.16%1,494.3万435.36%3,264.6万-84.38%609.83万-7.15%1,558.6万
现金变动 1,600.84%5,065.1万-379.38%-1,406.7万-13.01%-1,991.5万-33.17%1,756.09万59.32%2,717.09万-89.74%297.8万118.48%503.5万-337.12%-1,762.3万179.02%2,627.78万257.75%1,705.48万
汇率变动影响 -248.25%-21.2万84.51%-6.8万98.75%-1,000-222.39%-32.99万906.80%4.61万43.00%14.3万-7,416.67%-43.9万-150.31%-8万-11.93%26.96万-96.31%4,575
期末现金 192.43%6,626.5万-19.00%1,582.6万100.50%2,996.1万52.78%4,987.68万52.78%4,987.68万45.39%2,266万244.26%1,953.9万9.16%1,494.3万435.32%3,264.58万435.32%3,264.58万
自由现金流 1,041.84%7,328.3万-125.83%-176.9万212.04%1,584.5万87.02%1,548.81万360.46%1,636.31万-87.26%641.8万138.27%684.9万21.03%-1,414.2万112.95%828.16万70.33%-628.24万
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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