MY Stock MarketDetailed Quotes

SUNZEN (0148)

Watchlist
  • 0.225
  • 0.0000.00%
15min DelayTrading Aug 6 10:38 CST
175.87MMarket Cap37.50P/E (TTM)

0148 SUNZEN

Quarterly·All
YOY yoy
Hide blank lines yoy
Currency: MYR
2023/Q3
2023/Q2
2023/Q1
2022/Q4
2022/Q3
2022/Q2
2022/Q1
2021/Q4
2021/Q3
2021/Q2
2021/Q1
2020/Q4
2020/Q3
2020/Q2
2020/Q1
2019/Q4
2019/Q3
2019/Q2
2019/Q1
2018/Q4
Operating Cash Flow
+168.10%3.58M
+193.08%2.83M
+134.13%4.65M
-898.97%-10.23M
+64.93%-5.25M
+79.73%-3.04M
-210.84%-13.64M
-67.25%1.28M
-528.15%-14.97M
-1044.67%-14.97M
+787.98%12.30M
+143.20%3.91M
+4.70%3.50M
+443.82%1.59M
+63.29%-1.79M
-1493.63%-9.05M
+163.54%3.34M
+85.80%-461.00K
-197.36%-4.87M
+95.51%-568.14K
Net Profit Before Non-Cash Adjustment
+84.84%3.16M
-7.27%1.71M
-5.74%2.04M
-15.42%1.75M
+228.65%1.71M
+149.59%1.84M
+472.94%2.16M
+126.46%2.07M
+296.95%520.00K
+140.46%738.00K
+111.83%377.00K
+39.25%-7.82M
+105.26%131.00K
-21.12%-1.82M
-197.76%-3.19M
-65.67%-12.88M
-60.26%-2.49M
-153.08%-1.51M
-138.31%-1.07M
-6297.79%-7.77M
Depreciation and Amortization
-3.14%586.00K
-10.68%602.00K
-4.27%606.00K
-14.11%660.62K
-13.45%605.00K
+17.63%674.00K
+13.04%633.00K
+108.73%769.20K
-8.87%699.00K
-25.10%573.00K
-26.22%560.00K
-63.78%368.51K
+18.91%767.00K
-8.49%765.00K
-5.83%759.00K
+30.35%1.02M
-21.44%645.00K
+53.68%836.00K
+211.20%806.00K
+186.82%780.53K
Reversal of Impairment Losses Recognized in Profit and Loss
+412.50%75.00K
+348.00%434.00K
-103.75%-9.00K
+51.29%372.59K
+95.40%-24.00K
+80.47%-175.00K
+133.24%240.00K
+115.57%246.28K
+52.72%-522.00K
-29966.67%-896.00K
-269.48%-722.00K
-114.42%-1.58M
-145.23%-1.10M
+100.37%3.00K
+329.03%426.00K
+13.13%10.97M
+2293.14%2.44M
---819.00K
---186.00K
+2288.30%9.70M
Provision and Write-Off
----
----
+79.90%-39.00K
----
----
----
-14.12%-194.00K
----
----
----
-269.57%-170.00K
----
----
----
+66.42%-46.00K
----
----
-192.26%-155.00K
-222.32%-137.00K
----
Share of Associates
--40.00K
--18.00K
--21.00K
--49.00
--0.00
--0.00
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
Disposal Profit
+29.66%-83.00K
+1933.33%55.00K
+88.89%-1.00K
-331.71%-661.87K
-268.75%-118.00K
+99.69%-3.00K
+86.96%-9.00K
+61.73%-153.31K
+40.74%-32.00K
-1319.12%-965.00K
-264.29%-69.00K
+74.90%-400.58K
+95.88%-54.00K
-107.38%-68.00K
+197.67%42.00K
-1042.75%-1.60M
-1478.95%-1.31M
+10144.44%922.00K
-43.33%-43.00K
---139.67K
Net Exchange Gains and Losses
+100.00%0.00
+29.63%-38.00K
-238.46%-44.00K
+1451.74%35.24K
-800.00%-49.00K
-2600.00%-54.00K
-85.71%-13.00K
-81.10%2.27K
-36.36%7.00K
-101.69%-2.00K
+58.82%-7.00K
-16.52%12.02K
+375.00%11.00K
+380.95%118.00K
-342.86%-17.00K
+82.42%14.39K
+80.00%-4.00K
+55.32%-42.00K
-88.71%7.00K
-95.23%7.89K
Stock-Based Compensation
--0.00
-100.00%0.00
-100.00%0.00
--31.00
--0.00
--452.00K
--200.00K
--0.00
--0.00
--0.00
--0.00
----
----
----
----
----
----
----
----
----
Other Non-Cash Items
+25.58%54.00K
+17.78%53.00K
+21.05%46.00K
-25.35%44.44K
+34.38%43.00K
-39.19%45.00K
-22.45%38.00K
-85.23%59.54K
-37.25%32.00K
+131.25%74.00K
+68.97%49.00K
-11.16%403.18K
+143.22%51.00K
-65.59%32.00K
+390.00%29.00K
+125.14%453.85K
-461.90%-118.00K
+102.52%93.00K
+94.12%-10.00K
-678.60%-1.80M
Change in Working Capital
+111.61%717.00K
+109.67%558.00K
+116.31%2.70M
-501.41%-11.38M
+60.92%-6.18M
+60.72%-5.77M
-233.07%-16.58M
-165.44%-1.89M
-453.83%-15.80M
-742.30%-14.68M
+1983.11%12.46M
+138.60%2.89M
+11.96%4.47M
+147.94%2.29M
+113.11%598.00K
-1441.05%-7.49M
+204.48%3.99M
+134.29%922.00K
-183.40%-4.56M
+96.19%-486.00K
-Change in Receivables
+132.66%2.20M
+99.91%-9.00K
+143.04%7.32M
-6.84%-7.14M
+49.84%-6.73M
-1931.78%-10.48M
-1121.07%-17.01M
-937.60%-6.69M
-2100.00%-13.42M
-110.03%-516.00K
-61.10%1.67M
+290.47%798.31K
-85.53%671.00K
+522.60%5.14M
+504.44%4.28M
-92.72%204.45K
+212.99%4.64M
-121.83%-1.22M
-111.21%-1.06M
+147.60%2.81M
-Change in Inventory
+7.03%-741.00K
-252.09%-1.24M
+237.04%1.57M
-8.71%2.15M
-36.01%-797.00K
+186.11%812.00K
+124.16%467.00K
-13.63%2.35M
-114.20%-586.00K
+34.38%-943.00K
+66.49%-1.93M
+230.95%2.72M
+12241.18%4.13M
-822.11%-1.44M
-731.07%-5.77M
-418.30%-2.08M
-103.90%-34.00K
-82.39%199.00K
+1444.12%914.00K
-110.32%-401.09K
-Change in Payables
-154.77%-741.00K
-53.84%1.80M
-18660.61%-6.19M
-361.12%-6.38M
+175.33%1.35M
+129.52%3.90M
-100.26%-33.00K
+488.10%2.44M
-439.34%-1.80M
-831.27%-13.22M
+510.85%12.72M
+88.79%-629.60K
+45.68%-333.00K
-173.20%-1.42M
+147.17%2.08M
-93.99%-5.62M
-4.61%-613.00K
+120.65%1.94M
-13.03%-4.42M
+73.04%-2.89M
Interest Paid CFO
-11.54%-58.00K
-16.67%-56.00K
-19.57%-55.00K
----
-13.04%-52.00K
+44.83%-48.00K
+39.47%-46.00K
----
+65.15%-46.00K
+47.27%-87.00K
+59.79%-76.00K
----
-676.47%-132.00K
-21.32%-165.00K
-110.00%-189.00K
-283.47%-374.10K
+81.32%-17.00K
-94.29%-136.00K
-373.68%-90.00K
-401.58%-97.56K
Tax Refund Paid
+22.98%-915.00K
-182.47%-548.00K
-813.43%-612.00K
-3607.11%-1.20M
-775.00%-1.19M
-284.76%-194.00K
+31.63%-67.00K
-123.87%-32.47K
+344.44%176.00K
+159.66%105.00K
+51.96%-98.00K
-83.54%136.02K
+17.24%-72.00K
+69.44%-176.00K
-149.28%-204.00K
+218.98%826.18K
+84.10%-87.00K
-125.00%-576.00K
+278.45%414.00K
-165.42%-694.36K
Other Operating Cash Inflows (Outflows)
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
+100.00%0.00
-100.00%0.00
--0.00
--0.00
---568.00K
--568.00K
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
Net cash flow from investing
+147.62%50.00K
-3310.00%-1.02M
+84.02%-66.00K
-284.38%-377.67K
+87.62%-105.00K
-100.18%-30.00K
+46.78%-413.00K
-13.88%204.83K
-173.48%-848.00K
+5602.01%16.40M
-381.99%-776.00K
-15.78%237.84K
-9.13%1.15M
+84.65%-298.00K
+73.43%-161.00K
-31.91%282.41K
+1714.29%1.27M
+30.14%-1.94M
-120.36%-606.00K
+176.69%414.73K
Net PPE Purchase and Sale
+161.02%72.00K
-23.26%-53.00K
+81.63%-79.00K
+97.17%-388.57K
+86.83%-118.00K
-100.32%-43.00K
+63.93%-430.00K
-8216.36%-13.74M
-90.23%-896.00K
+3268.00%13.46M
-272.50%-1.19M
+151.79%169.33K
-127.54%-471.00K
+76.22%-425.00K
+54.61%-320.00K
-5242.27%-326.95K
-417.50%-207.00K
-143.13%-1.79M
-51.94%-705.00K
+99.23%-6.12K
Net Business Purchase and Sale
---35.00K
----
----
-32.43%-49.00
--0.00
----
----
---37.00
--0.00
----
----
----
----
----
----
+82.20%500.27K
----
----
----
--274.57K
Net Investment Property Transactions
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
Dividends Received CFI
+250.00%7.00K
+33.33%4.00K
-88.89%1.00K
-89.42%3.50K
-93.75%2.00K
-92.68%3.00K
-78.05%9.00K
--33.09K
--32.00K
--41.00K
--41.00K
----
----
----
----
----
----
----
----
----
Interest Received CFI
-45.45%6.00K
-40.00%6.00K
+50.00%12.00K
+151.79%7.45K
-31.25%11.00K
-37.50%10.00K
-68.00%8.00K
+94.81%-14.39K
-78.67%16.00K
-87.40%16.00K
-84.28%25.00K
-159.30%-277.11K
-41.86%75.00K
+47.67%127.00K
+60.61%159.00K
-173.05%-106.87K
+17.27%129.00K
-38.57%86.00K
-47.62%99.00K
-42.01%146.28K
Net changes in other investments
----
----
----
----
----
----
----
----
--0.00
--0.00
--350.00K
----
----
----
----
----
----
----
----
----
Financing Cash Flow
+83.48%-113.00K
+324.86%389.00K
-279.69%-575.00K
-107.51%-1.46M
-4785.71%-684.00K
-220.37%-173.00K
+103.32%320.00K
+1926.01%19.37M
+95.42%-14.00K
+77.87%-54.00K
-3771.49%-9.64M
-358.46%-1.06M
-106.41%-306.00K
-543.64%-244.00K
-441.10%-249.00K
-40.74%-231.33K
+1101.26%4.78M
+131.98%55.00K
+179.35%73.00K
+89.41%-164.37K
Net Issuance Payments of Debt
+0.00%-31.00K
-12.50%-36.00K
+18.18%-27.00K
+8.76%-29.94K
+26.19%-31.00K
-39.13%-32.00K
+99.67%-33.00K
+85.37%-32.82K
+81.58%-42.00K
+87.57%-23.00K
-5256.22%-9.91M
-20.94%-224.30K
-104.72%-228.00K
-60.87%-185.00K
-44.53%-185.00K
-50.73%-185.47K
+4028.46%4.83M
-4.55%-115.00K
-40.66%-128.00K
-34.96%-123.05K
Net Common Stock Issuance
+100.00%0.00
-94.31%16.00K
-93.82%22.00K
-105.01%-1.14M
-500.00%-280.00K
+89.86%281.00K
+31.85%356.00K
--22.66M
--70.00K
--148.00K
--270.00K
+100.00%0.00
--0.00
-100.00%0.00
-100.00%0.00
-158.12%-100.58K
+100.00%0.00
+1133.33%148.00K
+2114.29%310.00K
+1415.31%173.06K
Increase or Decrease of Lease Financing
-12.33%-82.00K
+33.61%-81.00K
-86.05%-80.00K
-297.98%-71.33K
-73.81%-73.00K
+31.84%-122.00K
+14.00%-43.00K
+116.48%36.03K
+46.15%-42.00K
-203.39%-179.00K
+21.88%-50.00K
+52.66%-218.63K
-39.29%-78.00K
-368.18%-59.00K
+41.28%-64.00K
-122.66%-461.83K
+80.07%-56.00K
+142.31%22.00K
-626.67%-109.00K
-1310.66%-207.41K
Cash Dividends for Minorities
+100.00%0.00
----
----
--0.00
---300.00K
----
----
--0.00
--0.00
----
----
----
----
----
----
----
----
----
----
----
Net Other Financing Charges
----
----
-1325.00%-490.00K
+99.64%-11.02K
--0.00
--0.00
-18.37%40.00K
---3.04M
--0.00
--0.00
--49.00K
----
----
----
----
----
----
----
----
---6.98K
Ending Cash Balance
-9.30%22.06M
-38.83%18.54M
-51.52%16.23M
-74.99%11.67M
-7.99%24.32M
-28.28%30.31M
-18.13%33.48M
+21.56%46.67M
-26.13%26.44M
+34.33%42.27M
+33.64%40.90M
+19.13%38.39M
-15.18%35.78M
-3.93%31.46M
-12.67%30.61M
-17.49%32.23M
+4.90%42.19M
-28.59%32.75M
-32.57%35.05M
-16.73%39.06M
Net Change in Cash
+158.16%3.51M
+167.67%2.19M
+129.22%4.01M
-157.87%-12.07M
+61.85%-6.04M
-336.52%-3.24M
-828.28%-13.73M
+575.18%20.85M
-464.41%-15.83M
+31.26%1.37M
+185.76%1.89M
+134.30%3.09M
-53.71%4.34M
+144.42%1.04M
+59.32%-2.20M
-2733.09%-9.00M
+265.75%9.39M
+62.12%-2.35M
-216.57%-5.40M
+97.84%-317.78K
Beginning Cash Balance
-38.83%18.54M
-51.52%16.23M
-74.08%12.24M
-7.99%24.32M
-28.28%30.31M
-18.13%33.48M
+21.30%47.22M
-26.13%26.44M
+34.33%42.27M
+33.64%40.90M
+18.85%38.93M
-15.18%35.78M
-3.93%31.46M
-12.67%30.61M
-18.32%32.76M
+4.90%42.19M
-28.59%32.75M
-32.57%35.05M
-15.39%40.10M
-35.51%40.22M
Effect of Exchange Rate Changes
-89.36%5.00K
+79.10%120.00K
-70.00%-17.00K
+64.63%-27.68K
--47.00K
+1440.00%67.00K
-111.76%-10.00K
+47.79%-78.27K
+100.00%0.00
+97.28%-5.00K
+84.78%85.00K
-271.10%-149.92K
-145.28%-24.00K
-453.85%-184.00K
-86.74%46.00K
+125.04%87.62K
+194.44%53.00K
-38.82%52.00K
+678.33%347.00K
+99.31%-349.94K
Free Cash Flow
+164.33%3.48M
+171.63%2.76M
+132.52%4.57M
-844.21%-11.01M
+65.90%-5.41M
+75.05%-3.86M
-226.95%-14.07M
-63.38%1.48M
-624.60%-15.86M
-1513.91%-15.45M
+624.82%11.08M
+139.62%4.04M
-1.56%3.02M
+146.06%1.09M
+62.13%-2.11M
-1357.59%-10.19M
+152.68%3.07M
+40.39%-2.37M
-223.67%-5.58M
+94.80%-699.36K
Deadline
Sep 30, 2023
Jun 30, 2023
Mar 31, 2023
Dec 31, 2022
Sep 30, 2022
Jun 30, 2022
Mar 31, 2022
Dec 31, 2021
Sep 30, 2021
Jun 30, 2021
Mar 31, 2021
Dec 31, 2020
Sep 30, 2020
Jun 30, 2020
Mar 31, 2020
Dec 31, 2019
Sep 30, 2019
Jun 30, 2019
Mar 31, 2019
Dec 31, 2018
Accounting Standard
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
NonUS_GAAP
2023/Q32023/Q22023/Q12022/Q42022/Q32022/Q22022/Q12021/Q42021/Q32021/Q22021/Q12020/Q42020/Q32020/Q22020/Q12019/Q42019/Q32019/Q22019/Q12018/Q4

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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