MY Stock MarketDetailed Quotes

MNRB (6459)

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  • 2.480
  • -0.050-1.98%
15min DelayMarket Closed Apr 24 16:56 CST
1.94BMarket Cap3.70P/E (TTM)

6459 MNRB

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2025
(Q2)Sep 30, 2025
(Q1)Jun 30, 2025
(FY)Mar 31, 2025
(Q4)Mar 31, 2025
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
Financial asset investment
6.35%12.59B
9.14%12.56B
6.98%12.29B
2.74%9.7B
2.74%9.7B
9.01%11.84B
8.16%11.51B
8.48%11.49B
27.30%9.44B
27.30%9.44B
-Available-for-sale securities
6.35%12.59B
9.14%12.56B
6.98%12.29B
-25.69%3.33B
-25.69%3.33B
9.01%11.84B
8.16%11.51B
8.48%11.49B
12.85%4.48B
12.85%4.48B
-Total financial assets designated as fair value through profit or loss
----
----
----
28.43%6.37B
28.43%6.37B
----
----
----
43.95%4.96B
43.95%4.96B
Long term equity investment
3.65%165.2M
-9.63%159.9M
-6.15%172.3M
-5.21%165.8M
-5.21%165.8M
309.21%159.39M
34.97%176.95M
36.02%183.58M
18.67%174.91M
18.67%174.91M
Cash, cash equivalents and short term investments
-14.01%93.63M
-63.31%75.7M
-27.61%85.88M
27.86%2.27B
27.86%2.27B
-39.15%108.88M
-13.85%206.31M
-19.79%118.64M
-33.33%1.77B
-33.33%1.77B
-Cash and cash equivalents
-14.01%93.63M
-63.31%75.7M
-27.61%85.88M
15.55%1.32B
15.55%1.32B
-39.15%108.88M
-13.85%206.31M
-19.79%118.64M
34.26%1.15B
34.26%1.15B
-Short-term investments
----
----
----
50.36%941.64M
50.36%941.64M
----
----
----
-65.28%626.24M
-65.28%626.24M
Net loan
----
----
----
-13.58%2.23M
-13.58%2.23M
----
----
----
-15.78%2.58M
-15.78%2.58M
Reinsurance assets
4.89%741.43M
-21.81%680.86M
-7.32%634.62M
20.85%617.65M
20.85%617.65M
-24.71%706.88M
-6.49%870.77M
14.20%684.76M
-2.39%511.08M
-2.39%511.08M
Insurance contract assets
88.85%100.57M
69.28%90.15M
3.76%55.26M
59.54%105.83M
59.54%105.83M
24.20%53.25M
49.20%53.25M
-13.85%53.25M
2.99%66.33M
2.99%66.33M
Receivables
30.30%48.72M
66.83%47.43M
74.83%47.12M
4.45%208.02M
4.45%208.02M
-2.79%37.39M
-27.38%28.43M
-43.21%26.95M
9.83%199.16M
9.83%199.16M
-Other receivables
----
----
----
-7.71%159.18M
-7.71%159.18M
----
----
----
27.36%172.46M
27.36%172.46M
-Taxes receivable
30.30%48.72M
66.83%47.43M
74.83%47.12M
82.94%48.84M
82.94%48.84M
-2.79%37.39M
-27.38%28.43M
-43.21%26.95M
-41.86%26.7M
-41.86%26.7M
Prepaid assets
----
----
----
167.27%6.17M
167.27%6.17M
----
----
----
-65.80%2.31M
-65.80%2.31M
Net PPE
-2.63%229.99M
0.39%234.15M
-0.31%235.83M
0.99%240.15M
0.99%240.15M
0.90%236.2M
1.72%233.24M
3.61%236.56M
3.77%237.8M
3.77%237.8M
-Gross PP&E
-2.63%229.99M
0.39%234.15M
-0.31%235.83M
-0.33%291.74M
-0.33%291.74M
0.90%236.2M
1.72%233.24M
3.61%236.56M
4.80%292.7M
4.80%292.7M
-Accum depreciation
----
----
----
6.04%-51.59M
6.04%-51.59M
----
----
----
-9.51%-54.91M
-9.51%-54.91M
Goodwill and other intangible assets
30.24%138.96M
-4.09%112.61M
0.93%117.58M
-2.29%114.44M
-2.29%114.44M
66.51%106.7M
86.24%117.4M
105.42%116.5M
-6.15%117.12M
-6.15%117.12M
-Other intangible assets
30.24%138.96M
-4.09%112.61M
0.93%117.58M
-2.29%114.44M
-2.29%114.44M
66.51%106.7M
86.24%117.4M
105.42%116.5M
-6.15%117.12M
-6.15%117.12M
Holding of assets for sale-Non current
----
----
----
----
----
----
--758K
----
----
----
Deferred tax assets-Non current
15.47%39.86M
24.81%39.69M
-9.48%48.8M
-10.44%42.44M
-10.44%42.44M
3.00%34.52M
-2.26%31.8M
28.32%53.92M
28.55%47.39M
28.55%47.39M
Other assets
----
----
----
----
----
----
----
----
--1K
--1K
Total assets
6.52%14.14B
5.85%14B
5.60%13.69B
7.13%13.47B
7.13%13.47B
6.85%13.28B
7.18%13.23B
8.85%12.96B
10.36%12.57B
10.36%12.57B
Liabilities
Financial or other derivative investment liabilities
----
----
----
-36.24%1.54M
-36.24%1.54M
----
----
----
--2.42M
--2.42M
-Current debt and capital lease obligation
----
----
----
-36.24%1.54M
-36.24%1.54M
----
----
----
--2.42M
--2.42M
-Including:Current capital Lease obligation
----
----
----
-36.24%1.54M
-36.24%1.54M
----
----
----
--2.42M
--2.42M
Insurance contract liabilities
4.99%9.36B
83,635.26%9.32B
81,705.68%9.11B
6.83%9.08B
6.83%9.08B
2.65%8.92B
-99.87%11.13M
-99.86%11.13M
7.71%8.5B
7.71%8.5B
Reinsurance payable balance
398.11%55.46M
-99.44%50.64M
-99.59%36.08M
6.84%34.12M
6.84%34.12M
-93.91%11.13M
5,272.17%8.98B
5,332.51%8.74B
472.47%31.94M
472.47%31.94M
Payables
-24.02%267.44M
-8.71%245.94M
-17.54%272.44M
39.92%104.61M
39.92%104.61M
68.00%351.98M
-14.96%269.4M
-19.49%330.41M
273.20%74.76M
273.20%74.76M
-Total tax payable
16.95%7.54M
-58.48%7.57M
-68.07%5.49M
-76.85%6.37M
-76.85%6.37M
-65.06%6.45M
4.20%18.24M
30.83%17.19M
144.59%27.5M
144.59%27.5M
-Other payable
-24.78%259.9M
-5.09%238.37M
-14.77%266.95M
107.85%98.24M
107.85%98.24M
80.85%345.54M
-16.08%251.16M
-21.16%313.22M
437.71%47.27M
437.71%47.27M
Non-current financial liabilities
0.26%622.14M
0.05%621.89M
-0.10%621.38M
-0.36%620.75M
-0.36%620.75M
18.92%620.53M
18.99%621.55M
18.92%621.98M
19.03%623.02M
19.03%623.02M
-Long term debt and capital lease obligation
0.26%622.14M
0.05%621.89M
-0.10%621.38M
-0.36%620.75M
-0.36%620.75M
18.92%620.53M
18.99%621.55M
18.92%621.98M
19.03%623.02M
19.03%623.02M
-Including:Long term debt
0.00%620M
0.00%620M
0.00%620M
0.00%620M
0.00%620M
19.23%620M
19.23%620M
19.23%620M
19.23%620M
19.23%620M
-Including:Long term capital lease obligation
304.53%2.14M
21.76%1.89M
-30.26%1.38M
-75.07%752K
-75.07%752K
-70.29%530K
-34.00%1.55M
-34.20%1.98M
-11.97%3.02M
-11.97%3.02M
Deposits received under ceded insurance contract
----
----
----
-27.41%12.44M
-27.41%12.44M
----
----
----
21.23%17.14M
21.23%17.14M
Long term provisions
----
----
----
0.83%100.91M
0.83%100.91M
----
----
----
49.36%100.08M
49.36%100.08M
Non current accrued and deferred income
----
----
----
-39.24%36.7M
-39.24%36.7M
----
----
----
-43.78%60.41M
-43.78%60.41M
-Non current accrued expenses
----
----
----
-39.24%36.7M
-39.24%36.7M
----
----
----
-43.78%60.41M
-43.78%60.41M
Long-term pension and other post-retirement benefit plans
----
----
----
-25.73%3.46M
-25.73%3.46M
----
----
----
4.12%4.65M
4.12%4.65M
Non current deferred liabilities
39.65%56.02M
61.54%53.32M
32.24%47.3M
-9.68%36.01M
-9.68%36.01M
105.91%40.12M
103.15%33.01M
76.30%35.77M
65.77%39.87M
65.77%39.87M
Other liabilities
---1K
----
----
----
----
----
----
----
----
----
Total liabilities
4.25%10.37B
3.82%10.29B
3.53%10.09B
6.13%10.03B
6.13%10.03B
3.12%9.94B
3.05%9.92B
5.50%9.74B
9.17%9.45B
9.17%9.45B
Shareholders'equity
Share capital
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
-common stock
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
0.00%738.5M
Retained earnings
17.75%2.95B
16.72%2.87B
16.55%2.76B
13.87%2.59B
13.87%2.59B
32.23%2.5B
33.63%2.46B
32.35%2.37B
21.22%2.28B
21.22%2.28B
Fixed asset revaluation reserve
13.92%61.42M
12.48%60.64M
13.01%60.1M
10.47%59.56M
10.47%59.56M
3.59%53.91M
4.71%53.91M
4.69%53.18M
2.12%53.91M
2.12%53.91M
Other reserves
-19.26%33.05M
-41.26%34.22M
-29.28%41.8M
-8.04%49.75M
-8.04%49.75M
-59.84%40.93M
-33.91%58.26M
-37.95%59.1M
-19.13%54.1M
-19.13%54.1M
Total stockholders'equity
13.31%3.78B
11.90%3.71B
11.86%3.6B
10.16%3.44B
10.16%3.44B
19.78%3.34B
21.76%3.31B
20.39%3.22B
14.14%3.12B
14.14%3.12B
Total equity
13.31%3.78B
11.90%3.71B
11.86%3.6B
10.16%3.44B
10.16%3.44B
19.78%3.34B
21.76%3.31B
20.39%3.22B
14.14%3.12B
14.14%3.12B
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q3)Dec 31, 2025(Q2)Sep 30, 2025(Q1)Jun 30, 2025(FY)Mar 31, 2025(Q4)Mar 31, 2025(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024
Financial asset investment 6.35%12.59B9.14%12.56B6.98%12.29B2.74%9.7B2.74%9.7B9.01%11.84B8.16%11.51B8.48%11.49B27.30%9.44B27.30%9.44B
-Available-for-sale securities 6.35%12.59B9.14%12.56B6.98%12.29B-25.69%3.33B-25.69%3.33B9.01%11.84B8.16%11.51B8.48%11.49B12.85%4.48B12.85%4.48B
-Total financial assets designated as fair value through profit or loss ------------28.43%6.37B28.43%6.37B------------43.95%4.96B43.95%4.96B
Long term equity investment 3.65%165.2M-9.63%159.9M-6.15%172.3M-5.21%165.8M-5.21%165.8M309.21%159.39M34.97%176.95M36.02%183.58M18.67%174.91M18.67%174.91M
Cash, cash equivalents and short term investments -14.01%93.63M-63.31%75.7M-27.61%85.88M27.86%2.27B27.86%2.27B-39.15%108.88M-13.85%206.31M-19.79%118.64M-33.33%1.77B-33.33%1.77B
-Cash and cash equivalents -14.01%93.63M-63.31%75.7M-27.61%85.88M15.55%1.32B15.55%1.32B-39.15%108.88M-13.85%206.31M-19.79%118.64M34.26%1.15B34.26%1.15B
-Short-term investments ------------50.36%941.64M50.36%941.64M-------------65.28%626.24M-65.28%626.24M
Net loan -------------13.58%2.23M-13.58%2.23M-------------15.78%2.58M-15.78%2.58M
Reinsurance assets 4.89%741.43M-21.81%680.86M-7.32%634.62M20.85%617.65M20.85%617.65M-24.71%706.88M-6.49%870.77M14.20%684.76M-2.39%511.08M-2.39%511.08M
Insurance contract assets 88.85%100.57M69.28%90.15M3.76%55.26M59.54%105.83M59.54%105.83M24.20%53.25M49.20%53.25M-13.85%53.25M2.99%66.33M2.99%66.33M
Receivables 30.30%48.72M66.83%47.43M74.83%47.12M4.45%208.02M4.45%208.02M-2.79%37.39M-27.38%28.43M-43.21%26.95M9.83%199.16M9.83%199.16M
-Other receivables -------------7.71%159.18M-7.71%159.18M------------27.36%172.46M27.36%172.46M
-Taxes receivable 30.30%48.72M66.83%47.43M74.83%47.12M82.94%48.84M82.94%48.84M-2.79%37.39M-27.38%28.43M-43.21%26.95M-41.86%26.7M-41.86%26.7M
Prepaid assets ------------167.27%6.17M167.27%6.17M-------------65.80%2.31M-65.80%2.31M
Net PPE -2.63%229.99M0.39%234.15M-0.31%235.83M0.99%240.15M0.99%240.15M0.90%236.2M1.72%233.24M3.61%236.56M3.77%237.8M3.77%237.8M
-Gross PP&E -2.63%229.99M0.39%234.15M-0.31%235.83M-0.33%291.74M-0.33%291.74M0.90%236.2M1.72%233.24M3.61%236.56M4.80%292.7M4.80%292.7M
-Accum depreciation ------------6.04%-51.59M6.04%-51.59M-------------9.51%-54.91M-9.51%-54.91M
Goodwill and other intangible assets 30.24%138.96M-4.09%112.61M0.93%117.58M-2.29%114.44M-2.29%114.44M66.51%106.7M86.24%117.4M105.42%116.5M-6.15%117.12M-6.15%117.12M
-Other intangible assets 30.24%138.96M-4.09%112.61M0.93%117.58M-2.29%114.44M-2.29%114.44M66.51%106.7M86.24%117.4M105.42%116.5M-6.15%117.12M-6.15%117.12M
Holding of assets for sale-Non current --------------------------758K------------
Deferred tax assets-Non current 15.47%39.86M24.81%39.69M-9.48%48.8M-10.44%42.44M-10.44%42.44M3.00%34.52M-2.26%31.8M28.32%53.92M28.55%47.39M28.55%47.39M
Other assets ----------------------------------1K--1K
Total assets 6.52%14.14B5.85%14B5.60%13.69B7.13%13.47B7.13%13.47B6.85%13.28B7.18%13.23B8.85%12.96B10.36%12.57B10.36%12.57B
Liabilities
Financial or other derivative investment liabilities -------------36.24%1.54M-36.24%1.54M--------------2.42M--2.42M
-Current debt and capital lease obligation -------------36.24%1.54M-36.24%1.54M--------------2.42M--2.42M
-Including:Current capital Lease obligation -------------36.24%1.54M-36.24%1.54M--------------2.42M--2.42M
Insurance contract liabilities 4.99%9.36B83,635.26%9.32B81,705.68%9.11B6.83%9.08B6.83%9.08B2.65%8.92B-99.87%11.13M-99.86%11.13M7.71%8.5B7.71%8.5B
Reinsurance payable balance 398.11%55.46M-99.44%50.64M-99.59%36.08M6.84%34.12M6.84%34.12M-93.91%11.13M5,272.17%8.98B5,332.51%8.74B472.47%31.94M472.47%31.94M
Payables -24.02%267.44M-8.71%245.94M-17.54%272.44M39.92%104.61M39.92%104.61M68.00%351.98M-14.96%269.4M-19.49%330.41M273.20%74.76M273.20%74.76M
-Total tax payable 16.95%7.54M-58.48%7.57M-68.07%5.49M-76.85%6.37M-76.85%6.37M-65.06%6.45M4.20%18.24M30.83%17.19M144.59%27.5M144.59%27.5M
-Other payable -24.78%259.9M-5.09%238.37M-14.77%266.95M107.85%98.24M107.85%98.24M80.85%345.54M-16.08%251.16M-21.16%313.22M437.71%47.27M437.71%47.27M
Non-current financial liabilities 0.26%622.14M0.05%621.89M-0.10%621.38M-0.36%620.75M-0.36%620.75M18.92%620.53M18.99%621.55M18.92%621.98M19.03%623.02M19.03%623.02M
-Long term debt and capital lease obligation 0.26%622.14M0.05%621.89M-0.10%621.38M-0.36%620.75M-0.36%620.75M18.92%620.53M18.99%621.55M18.92%621.98M19.03%623.02M19.03%623.02M
-Including:Long term debt 0.00%620M0.00%620M0.00%620M0.00%620M0.00%620M19.23%620M19.23%620M19.23%620M19.23%620M19.23%620M
-Including:Long term capital lease obligation 304.53%2.14M21.76%1.89M-30.26%1.38M-75.07%752K-75.07%752K-70.29%530K-34.00%1.55M-34.20%1.98M-11.97%3.02M-11.97%3.02M
Deposits received under ceded insurance contract -------------27.41%12.44M-27.41%12.44M------------21.23%17.14M21.23%17.14M
Long term provisions ------------0.83%100.91M0.83%100.91M------------49.36%100.08M49.36%100.08M
Non current accrued and deferred income -------------39.24%36.7M-39.24%36.7M-------------43.78%60.41M-43.78%60.41M
-Non current accrued expenses -------------39.24%36.7M-39.24%36.7M-------------43.78%60.41M-43.78%60.41M
Long-term pension and other post-retirement benefit plans -------------25.73%3.46M-25.73%3.46M------------4.12%4.65M4.12%4.65M
Non current deferred liabilities 39.65%56.02M61.54%53.32M32.24%47.3M-9.68%36.01M-9.68%36.01M105.91%40.12M103.15%33.01M76.30%35.77M65.77%39.87M65.77%39.87M
Other liabilities ---1K------------------------------------
Total liabilities 4.25%10.37B3.82%10.29B3.53%10.09B6.13%10.03B6.13%10.03B3.12%9.94B3.05%9.92B5.50%9.74B9.17%9.45B9.17%9.45B
Shareholders'equity
Share capital 0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M
-common stock 0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M0.00%738.5M
Retained earnings 17.75%2.95B16.72%2.87B16.55%2.76B13.87%2.59B13.87%2.59B32.23%2.5B33.63%2.46B32.35%2.37B21.22%2.28B21.22%2.28B
Fixed asset revaluation reserve 13.92%61.42M12.48%60.64M13.01%60.1M10.47%59.56M10.47%59.56M3.59%53.91M4.71%53.91M4.69%53.18M2.12%53.91M2.12%53.91M
Other reserves -19.26%33.05M-41.26%34.22M-29.28%41.8M-8.04%49.75M-8.04%49.75M-59.84%40.93M-33.91%58.26M-37.95%59.1M-19.13%54.1M-19.13%54.1M
Total stockholders'equity 13.31%3.78B11.90%3.71B11.86%3.6B10.16%3.44B10.16%3.44B19.78%3.34B21.76%3.31B20.39%3.22B14.14%3.12B14.14%3.12B
Total equity 13.31%3.78B11.90%3.71B11.86%3.6B10.16%3.44B10.16%3.44B19.78%3.34B21.76%3.31B20.39%3.22B14.14%3.12B14.14%3.12B
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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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