马来西亚市场个股详情

9741 ROHAS

添加自选
  • 0.300
  • +0.010+3.45%
延时15分钟行情未开盘 11/28 16:39 (北京)
1.42亿总市值-50000市盈率TTM

ROHAS关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
经营活动现金流量(间接法)
经营活动产生的现金
-104.97%-99.8万
-899.39%-911.3万
270.69%5,084.11万
426.58%1,972.81万
134.85%989.5万
13.87%2,007.8万
105.01%114万
-155.19%-2,978.56万
-46.29%374.64万
-318.20%-2,839.5万
扣除非现金调整前净利润
-239.69%-603.3万
-76.50%119.2万
-53.97%1,467.69万
-46.59%390.29万
-89.33%138.2万
197.25%431.9万
-50.11%507.3万
308.20%3,188.7万
174.05%730.8万
546.64%1,295.7万
非现金项目调整总额
132.20%447万
1,409.62%313万
364.05%430.92万
751.64%1,264.82万
703.06%578.2万
-1,201.03%-1,388.2万
-136.43%-23.9万
-111.13%-163.2万
-122.07%-194.1万
-58.38%72万
-折旧与摊销
58.36%139.2万
-0.08%132.1万
-7.89%513.16万
39.59%191.36万
-26.20%101.7万
-36.17%87.9万
-8.51%132.2万
-24.43%557.09万
-14.84%137.09万
-26.86%137.8万
-在损益中确认的减值损失回拨
99.96%-4,000
-64.76%57.3万
104.33%10.26万
308.18%744.76万
-31.79%122.5万
-2,961.86%-1,019.6万
742.69%162.6万
-118.88%-236.75万
-132.82%-357.75万
136.01%179.6万
-联营企业份额
-23.44%-79万
-49.04%-54.4万
44.55%-199.78万
-122.39%-27.68万
16.94%-71.6万
67.82%-64万
81.64%-36.5万
60.65%-360.28万
118.87%123.62万
4.86%-86.2万
-处置利润
-890.00%-7.9万
93.75%-7,000
-196.17%-97.91万
-843.53%-86.41万
96.04%-1.3万
137.04%1万
-196.55%-11.2万
88.35%-33.06万
-241.76%-9.16万
87.45%-32.8万
-汇兑损益净额
186.92%394.9万
90.43%-24.9万
129.22%54.12万
299.18%504.12万
277.45%264.4万
-207.79%-454.3万
-1,645.64%-260.1万
-308.66%-185.21万
183.94%126.29万
-252.98%-149万
-养老金及员工福利费用
----
----
--82.88万
----
----
----
----
--0
----
----
-其他非现金项目
-240.20%-57.2万
1,967.89%203.6万
-28.23%68.18万
32.67%-144.22万
707.52%182.5万
-70.46%40.8万
-107.34%-10.9万
-85.15%95.01万
-241.32%-214.19万
-86.14%22.6万
营运资本变动
-98.09%56.5万
-263.70%-1,343.5万
153.06%3,185.5万
296.04%317.7万
106.49%273.1万
71.87%2,964.1万
89.00%-369.4万
-209.93%-6,004.06万
-120.13%-162.06万
-396.62%-4,207.2万
-应收款(增)减
25.85%1,741.1万
46.60%-985.1万
149.37%2,592.8万
302.65%5,697.4万
-296.11%-2,643.3万
116.92%1,383.5万
58.32%-1,844.8万
-161.81%-5,251.6万
-210.80%-2,811.4万
-54.01%1,347.9万
-存货(增)减
-449.98%-904万
-76.21%236.1万
198.07%2,535.29万
-35.90%1,084.29万
451.58%200.4万
106.51%258.3万
494.08%992.3万
-79.01%-2,585.2万
295.29%1,691.6万
95.03%-57万
-应付款(减)增
-157.84%-774.4万
-221.68%-591.5万
-201.85%-1,909.59万
-115.77%-4,342.99万
116.57%608.5万
-49.05%1,338.8万
-90.15%486.1万
222.03%1,874.94万
-259.68%-2,012.76万
-3,203.24%-3,673.2万
-贷款、租赁及其他损失准备金
62.42%-6.2万
0.00%-3万
21.79%-33万
----
----
---16.5万
---3万
22.57%-42.2万
----
----
-其他流动资产变动
----
----
----
----
----
----
----
----
----
-678.28%-1,860.1万
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)
50.56%-44.4万
16.64%-60.6万
-19.93%-460.73万
-0.55%-120.93万
-88.82%-177.3万
10.47%-89.8万
-4.30%-72.7万
3.20%-384.17万
-19.68%-120.27万
16.01%-93.9万
已收到的利息(经营活动产生的现金流)
已支付退税
77.83%-13.1万
63.35%-42.4万
-0.13%-751.84万
124.81%54.46万
-196.48%-631.5万
34.98%-59.1万
49.12%-115.7万
8.32%-750.85万
-1,225.17%-219.55万
37.96%-213万
其他经营现金流入(流出)
0
0
0
-34.83%27.5万
34.83%-27.5万
0
0
0
42.2万
-42.2万
经营活动现金净额
-108.46%-157.3万
-1,263.31%-1,014.3万
194.12%3,871.54万
2,410.57%1,933.84万
104.80%153.2万
18.01%1,858.9万
97.11%-74.4万
-198.38%-4,113.57万
-87.51%77.03万
-476.81%-3,188.6万
投资活动现金流量
物业、厂房及设备交易净额
-228.68%-919万
-66.80%-286.9万
18.76%-1,158.48万
-3.71%-603.28万
-168.70%-103.6万
68.04%-279.6万
-43.21%-172万
-437.75%-1,425.91万
-426.62%-581.71万
313.30%150.8万
业务交易净额
--0
--30万
-365.10%-940.42万
-124.90%-54.82万
---885.6万
--0
--0
-39.36%354.74万
2,652,145.78%220.14万
----
投资产品交易净额
----
----
-99.86%3,673
----
----
----
----
--254.75万
----
----
向其他方提供的预付现金及贷款
----
--0
---15.28万
----
----
----
---4.2万
--0
----
----
偿还对其他方提供的预付款及贷款产生的现金收入
----
----
-98.47%36.06万
114.93%34.46万
--0
----
----
3,501.10%2,349.73万
-96.36%16.03万
3,125.62%2,208.7万
已收到的股息(投资活动产生的现金流)
--2,000
-98.97%1,000
-18.34%10.04万
3,389.22%3,355
--0
--0
-21.14%9.7万
89.58%12.29万
41.04%-102
--0
已收到的利息(投资活动产生的现金流)
0.57%262.4万
3.29%269.8万
124.59%1,130.17万
-30.34%335.37万
2,740.63%272.7万
4,643.64%260.9万
3,798.51%261.2万
1,295.49%503.22万
4,782.46%481.42万
-17.24%9.6万
投资活动现金净额
-4,988.37%-656.4万
-86.27%13万
-145.76%-937.55万
-177.53%-302.85万
-128.62%-716.5万
98.38%-12.9万
287.15%94.7万
410.09%2,048.82万
24.30%390.62万
452.57%2,503.7万
融资活动现金流量
债务发行/偿还的净额
-124.20%-263.6万
527.66%969.5万
260.34%3,532.62万
-18.12%-1,037.18万
2,122.48%3,707.2万
684.70%1,089.3万
76.28%-226.7万
-53.48%-2,203.25万
-864.00%-878.05万
65.01%-183.3万
租赁融资增减
-9.43%-29万
334.16%56.9万
10.38%-136.6万
43.24%-29.7万
-78.10%-56.1万
6.03%-26.5万
39.85%-24.3万
22.96%-152.42万
64.02%-52.32万
33.96%-31.5万
已付利息(筹资活动产生的现金流)
24.15%-160.8万
-132.43%-412.8万
-146.39%-737.62万
42.80%-70.22万
-481.17%-277.8万
-389.61%-212万
-107.72%-177.6万
-7.32%-299.37万
-101.47%-122.77万
24.01%-47.8万
其他筹资费用净额
-781.54%-1,292.2万
245.04%885.2万
-160.80%-2,114.23万
-140.54%-586.23万
-1,964.14%-1,107.3万
315.79%189.6万
-131.68%-610.3万
1,057.91%3,477.38万
291.67%1,445.98万
-95.05%59.4万
融资活动现金净额
-267.78%-1,745.6万
244.27%1,498.8万
-33.83%544.17万
-538.67%-1,723.33万
1,215.16%2,266万
590.29%1,040.4万
-222.96%-1,038.9万
136.14%822.35万
137.35%392.85万
-135.94%-203.2万
现金净流量
期初现金流
258.94%6,220.4万
120.17%5,900.7万
-30.94%2,680.14万
261.33%6,528.2万
86.73%4,930万
-17.05%1,733万
-30.94%2,680.1万
147.16%3,881.14万
-53.94%1,806.7万
27.06%2,640.2万
现金变动
-188.67%-2,559.3万
148.84%497.5万
379.95%3,478.16万
-110.73%-92.34万
291.72%1,702.7万
408.08%2,886.4万
42.87%-1,018.6万
-153.84%-1,242.4万
811.00%860.5万
-147.63%-888.1万
汇率变动影响
-130.49%-94.7万
-348.67%-177.8万
-722.12%-257.56万
-4,248.17%-535.16万
-291.39%-104.5万
1,905.81%310.6万
903.37%71.5万
1,162.54%41.4万
-83.85%12.9万
368.97%54.6万
期末现金
-27.66%3,566.4万
258.94%6,220.4万
120.17%5,900.74万
120.17%5,900.74万
261.33%6,528.2万
86.73%4,930万
-17.05%1,733万
-30.94%2,680.14万
-30.94%2,680.14万
-53.94%1,806.7万
自由现金流
-168.15%-1,076.3万
-428.08%-1,301.2万
147.29%2,626.04万
341.96%1,243.54万
101.63%49.6万
125.52%1,579.3万
90.86%-246.4万
-242.15%-5,553.35万
-201.86%-513.95万
-492.37%-3,042.4万
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)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30
经营活动现金流量(间接法)
经营活动产生的现金 -104.97%-99.8万-899.39%-911.3万270.69%5,084.11万426.58%1,972.81万134.85%989.5万13.87%2,007.8万105.01%114万-155.19%-2,978.56万-46.29%374.64万-318.20%-2,839.5万
扣除非现金调整前净利润 -239.69%-603.3万-76.50%119.2万-53.97%1,467.69万-46.59%390.29万-89.33%138.2万197.25%431.9万-50.11%507.3万308.20%3,188.7万174.05%730.8万546.64%1,295.7万
非现金项目调整总额 132.20%447万1,409.62%313万364.05%430.92万751.64%1,264.82万703.06%578.2万-1,201.03%-1,388.2万-136.43%-23.9万-111.13%-163.2万-122.07%-194.1万-58.38%72万
-折旧与摊销 58.36%139.2万-0.08%132.1万-7.89%513.16万39.59%191.36万-26.20%101.7万-36.17%87.9万-8.51%132.2万-24.43%557.09万-14.84%137.09万-26.86%137.8万
-在损益中确认的减值损失回拨 99.96%-4,000-64.76%57.3万104.33%10.26万308.18%744.76万-31.79%122.5万-2,961.86%-1,019.6万742.69%162.6万-118.88%-236.75万-132.82%-357.75万136.01%179.6万
-联营企业份额 -23.44%-79万-49.04%-54.4万44.55%-199.78万-122.39%-27.68万16.94%-71.6万67.82%-64万81.64%-36.5万60.65%-360.28万118.87%123.62万4.86%-86.2万
-处置利润 -890.00%-7.9万93.75%-7,000-196.17%-97.91万-843.53%-86.41万96.04%-1.3万137.04%1万-196.55%-11.2万88.35%-33.06万-241.76%-9.16万87.45%-32.8万
-汇兑损益净额 186.92%394.9万90.43%-24.9万129.22%54.12万299.18%504.12万277.45%264.4万-207.79%-454.3万-1,645.64%-260.1万-308.66%-185.21万183.94%126.29万-252.98%-149万
-养老金及员工福利费用 ----------82.88万------------------0--------
-其他非现金项目 -240.20%-57.2万1,967.89%203.6万-28.23%68.18万32.67%-144.22万707.52%182.5万-70.46%40.8万-107.34%-10.9万-85.15%95.01万-241.32%-214.19万-86.14%22.6万
营运资本变动 -98.09%56.5万-263.70%-1,343.5万153.06%3,185.5万296.04%317.7万106.49%273.1万71.87%2,964.1万89.00%-369.4万-209.93%-6,004.06万-120.13%-162.06万-396.62%-4,207.2万
-应收款(增)减 25.85%1,741.1万46.60%-985.1万149.37%2,592.8万302.65%5,697.4万-296.11%-2,643.3万116.92%1,383.5万58.32%-1,844.8万-161.81%-5,251.6万-210.80%-2,811.4万-54.01%1,347.9万
-存货(增)减 -449.98%-904万-76.21%236.1万198.07%2,535.29万-35.90%1,084.29万451.58%200.4万106.51%258.3万494.08%992.3万-79.01%-2,585.2万295.29%1,691.6万95.03%-57万
-应付款(减)增 -157.84%-774.4万-221.68%-591.5万-201.85%-1,909.59万-115.77%-4,342.99万116.57%608.5万-49.05%1,338.8万-90.15%486.1万222.03%1,874.94万-259.68%-2,012.76万-3,203.24%-3,673.2万
-贷款、租赁及其他损失准备金 62.42%-6.2万0.00%-3万21.79%-33万-----------16.5万---3万22.57%-42.2万--------
-其他流动资产变动 -------------------------------------678.28%-1,860.1万
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) 50.56%-44.4万16.64%-60.6万-19.93%-460.73万-0.55%-120.93万-88.82%-177.3万10.47%-89.8万-4.30%-72.7万3.20%-384.17万-19.68%-120.27万16.01%-93.9万
已收到的利息(经营活动产生的现金流)
已支付退税 77.83%-13.1万63.35%-42.4万-0.13%-751.84万124.81%54.46万-196.48%-631.5万34.98%-59.1万49.12%-115.7万8.32%-750.85万-1,225.17%-219.55万37.96%-213万
其他经营现金流入(流出) 000-34.83%27.5万34.83%-27.5万00042.2万-42.2万
经营活动现金净额 -108.46%-157.3万-1,263.31%-1,014.3万194.12%3,871.54万2,410.57%1,933.84万104.80%153.2万18.01%1,858.9万97.11%-74.4万-198.38%-4,113.57万-87.51%77.03万-476.81%-3,188.6万
投资活动现金流量
物业、厂房及设备交易净额 -228.68%-919万-66.80%-286.9万18.76%-1,158.48万-3.71%-603.28万-168.70%-103.6万68.04%-279.6万-43.21%-172万-437.75%-1,425.91万-426.62%-581.71万313.30%150.8万
业务交易净额 --0--30万-365.10%-940.42万-124.90%-54.82万---885.6万--0--0-39.36%354.74万2,652,145.78%220.14万----
投资产品交易净额 ---------99.86%3,673------------------254.75万--------
向其他方提供的预付现金及贷款 ------0---15.28万---------------4.2万--0--------
偿还对其他方提供的预付款及贷款产生的现金收入 ---------98.47%36.06万114.93%34.46万--0--------3,501.10%2,349.73万-96.36%16.03万3,125.62%2,208.7万
已收到的股息(投资活动产生的现金流) --2,000-98.97%1,000-18.34%10.04万3,389.22%3,355--0--0-21.14%9.7万89.58%12.29万41.04%-102--0
已收到的利息(投资活动产生的现金流) 0.57%262.4万3.29%269.8万124.59%1,130.17万-30.34%335.37万2,740.63%272.7万4,643.64%260.9万3,798.51%261.2万1,295.49%503.22万4,782.46%481.42万-17.24%9.6万
投资活动现金净额 -4,988.37%-656.4万-86.27%13万-145.76%-937.55万-177.53%-302.85万-128.62%-716.5万98.38%-12.9万287.15%94.7万410.09%2,048.82万24.30%390.62万452.57%2,503.7万
融资活动现金流量
债务发行/偿还的净额 -124.20%-263.6万527.66%969.5万260.34%3,532.62万-18.12%-1,037.18万2,122.48%3,707.2万684.70%1,089.3万76.28%-226.7万-53.48%-2,203.25万-864.00%-878.05万65.01%-183.3万
租赁融资增减 -9.43%-29万334.16%56.9万10.38%-136.6万43.24%-29.7万-78.10%-56.1万6.03%-26.5万39.85%-24.3万22.96%-152.42万64.02%-52.32万33.96%-31.5万
已付利息(筹资活动产生的现金流) 24.15%-160.8万-132.43%-412.8万-146.39%-737.62万42.80%-70.22万-481.17%-277.8万-389.61%-212万-107.72%-177.6万-7.32%-299.37万-101.47%-122.77万24.01%-47.8万
其他筹资费用净额 -781.54%-1,292.2万245.04%885.2万-160.80%-2,114.23万-140.54%-586.23万-1,964.14%-1,107.3万315.79%189.6万-131.68%-610.3万1,057.91%3,477.38万291.67%1,445.98万-95.05%59.4万
融资活动现金净额 -267.78%-1,745.6万244.27%1,498.8万-33.83%544.17万-538.67%-1,723.33万1,215.16%2,266万590.29%1,040.4万-222.96%-1,038.9万136.14%822.35万137.35%392.85万-135.94%-203.2万
现金净流量
期初现金流 258.94%6,220.4万120.17%5,900.7万-30.94%2,680.14万261.33%6,528.2万86.73%4,930万-17.05%1,733万-30.94%2,680.1万147.16%3,881.14万-53.94%1,806.7万27.06%2,640.2万
现金变动 -188.67%-2,559.3万148.84%497.5万379.95%3,478.16万-110.73%-92.34万291.72%1,702.7万408.08%2,886.4万42.87%-1,018.6万-153.84%-1,242.4万811.00%860.5万-147.63%-888.1万
汇率变动影响 -130.49%-94.7万-348.67%-177.8万-722.12%-257.56万-4,248.17%-535.16万-291.39%-104.5万1,905.81%310.6万903.37%71.5万1,162.54%41.4万-83.85%12.9万368.97%54.6万
期末现金 -27.66%3,566.4万258.94%6,220.4万120.17%5,900.74万120.17%5,900.74万261.33%6,528.2万86.73%4,930万-17.05%1,733万-30.94%2,680.14万-30.94%2,680.14万-53.94%1,806.7万
自由现金流 -168.15%-1,076.3万-428.08%-1,301.2万147.29%2,626.04万341.96%1,243.54万101.63%49.6万125.52%1,579.3万90.86%-246.4万-242.15%-5,553.35万-201.86%-513.95万-492.37%-3,042.4万
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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