馬來西亞市場個股詳情

HAILY (0237)

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延時15分鐘行情盤前競價 01/15 16:50 (北京)
8460.11萬總市值7.41市盈率TTM

0237 HAILY

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
資產
流動資產
現金及現金等價物與短期投資
73.55%3,726.1萬
-20.71%2,105.9萬
168.15%2,714.5萬
97.12%2,542.62萬
97.12%2,542.62萬
19.11%2,147萬
44.61%2,655.9萬
-18.22%1,012.3萬
-49.19%1,289.89萬
-49.19%1,289.89萬
-現金及現金等價物
73.55%3,726.1萬
-20.71%2,105.9萬
168.15%2,714.5萬
97.12%2,542.62萬
97.12%2,542.62萬
19.11%2,147萬
44.61%2,655.9萬
-18.22%1,012.3萬
-49.19%1,289.89萬
-49.19%1,289.89萬
-其中:現金
----
----
----
97.12%2,542.62萬
97.12%2,542.62萬
----
----
----
-49.19%1,289.89萬
-49.19%1,289.89萬
應收款項
16.70%2.08億
26.28%2.18億
18.85%1.97億
17.38%1.86億
17.38%1.86億
8.02%1.79億
8.50%1.73億
6.52%1.65億
25.07%1.58億
25.07%1.58億
-應收賬款淨額
55.27%1.49億
52.49%1.43億
36.33%1.2億
15.61%1.07億
15.61%1.07億
-5.75%9,587.2萬
-1.61%9,398.7萬
-8.05%8,816.9萬
17.48%9,226.81萬
17.48%9,226.81萬
-其他應收款
-28.02%5,951.4萬
-4.95%7,498.2萬
-1.09%7,646.7萬
19.85%7,920.93萬
19.85%7,920.93萬
30.05%8,267.7萬
23.65%7,888.4萬
30.02%7,731.1萬
37.46%6,608.99萬
37.46%6,608.99萬
預付費用
----
----
----
106.04%281.54萬
106.04%281.54萬
----
----
----
36.47%136.64萬
36.47%136.64萬
受限制現金
----
----
----
90.19%477.16萬
90.19%477.16萬
----
----
----
150.47%250.89萬
150.47%250.89萬
稅項資產
--0
0.00%2,000
0.00%2,000
0.00%2,534
0.00%2,534
0.00%2,000
0.00%2,000
0.00%2,000
10.56%2,534
10.56%2,534
流動資產合計
22.80%2.46億
20.02%2.39億
27.46%2.24億
24.99%2.19億
24.99%2.19億
9.11%2億
12.23%1.99億
4.69%1.76億
13.72%1.75億
13.72%1.75億
非流動資產
物業廠房及設備淨額
19.12%1,066.5萬
63.47%1,150.2萬
39.28%998.2萬
39.65%952.71萬
39.65%952.71萬
56.47%895.3萬
50.57%703.6萬
45.17%716.7萬
34.48%682.21萬
34.48%682.21萬
-物業、廠房及設備
----
----
----
16.52%2,309.87萬
16.52%2,309.87萬
----
----
----
16.54%1,982.4萬
16.54%1,982.4萬
-累計折舊
----
----
----
-4.38%-1,357.16萬
-4.38%-1,357.16萬
----
----
----
-8.91%-1,300.19萬
-8.91%-1,300.19萬
投資總額
20.63%481.9萬
11.26%444.5萬
6.46%425.3萬
0.02%399.56萬
0.02%399.56萬
2.57%399.5萬
56.54%399.5萬
56.54%399.5萬
56.55%399.49萬
56.55%399.49萬
-長期股權投資
----
----
----
--0
--0
----
----
----
--0
--0
-金融資產投資
----
----
----
0.02%399.56萬
0.02%399.56萬
----
----
----
56.55%399.49萬
56.55%399.49萬
-其中:以公允價值計量且其變動計入當期損益的金融資產總額
----
----
----
0.02%399.56萬
0.02%399.56萬
----
----
----
56.55%399.49萬
56.55%399.49萬
-其他投資
20.63%481.9萬
11.26%444.5萬
6.46%425.3萬
--399.6萬
--399.6萬
2.57%399.5萬
56.54%399.5萬
56.54%399.5萬
----
----
非流動遞延所得稅資產
----
----
----
--0
--0
-83.16%3.2萬
--24.2萬
--14.2萬
--8.06萬
--8.06萬
非流動資產合計
19.29%1,548.4萬
41.46%1,594.7萬
25.93%1,423.5萬
24.09%1,352.27萬
24.09%1,352.27萬
32.35%1,298萬
56.03%1,127.3萬
50.94%1,130.4萬
42.92%1,089.75萬
42.92%1,089.75萬
總資產
22.59%2.61億
21.17%2.55億
27.36%2.38億
24.94%2.32億
24.94%2.32億
10.29%2.13億
13.94%2.11億
6.67%1.87億
15.10%1.86億
15.10%1.86億
負債
流動負債
金融負債
0.48%209.5萬
-40.14%407.5萬
76.88%642.6萬
75.96%1,034.3萬
75.96%1,034.3萬
-79.56%208.5萬
-25.87%680.8萬
-61.20%363.3萬
-7.85%587.8萬
-7.85%587.8萬
-短期借款及資本租賃負債
0.48%209.5萬
-40.14%407.5萬
76.88%642.6萬
75.96%1,034.3萬
75.96%1,034.3萬
-79.56%208.5萬
-25.87%680.8萬
-61.20%363.3萬
-7.85%587.8萬
-7.85%587.8萬
-其中:短期借款
-53.22%59.5萬
-71.94%175.8萬
56.03%468.1萬
67.53%862.51萬
67.53%862.51萬
-86.45%127.2萬
-25.15%626.6萬
-64.79%300萬
-6.90%514.86萬
-6.90%514.86萬
-其中:資本租賃負債
84.50%150萬
327.49%231.7萬
175.67%174.5萬
135.50%171.79萬
135.50%171.79萬
-0.49%81.3萬
-33.33%54.2萬
-24.82%63.3萬
-14.08%72.95萬
-14.08%72.95萬
應付款項
28.20%1.38億
26.10%1.32億
24.26%1.16億
19.66%1.06億
19.66%1.06億
15.49%1.08億
24.89%1.05億
18.07%9,355.3萬
27.71%8,836.43萬
27.71%8,836.43萬
-應付帳款
27.76%1.36億
26.57%1.3億
24.46%1.15億
19.88%1.04億
19.88%1.04億
15.12%1.06億
23.77%1.03億
17.41%9,212.6萬
26.47%8,645.39萬
26.47%8,645.39萬
-應交稅費
64.00%215.5萬
3.50%221.9萬
11.28%158.8萬
-8.10%109.47萬
-8.10%109.47萬
55.50%131.4萬
120.12%214.4萬
86.54%142.7萬
158.37%119.11萬
158.37%119.11萬
-其他應付款
----
----
----
39.46%100.31萬
39.46%100.31萬
----
----
----
94.72%71.93萬
94.72%71.93萬
應計及遞延所得
--49.2萬
--243.3萬
--64.3萬
21.98%432.12萬
21.98%432.12萬
--0
--0
--0
-25.46%354.24萬
-25.46%354.24萬
其他流動負債
----
----
----
--1,000
--1,000
----
----
----
----
----
流動負債合計
28.12%1.41億
24.24%1.39億
26.89%1.23億
23.13%1.2億
23.13%1.2億
2.70%1.1億
9.17%1.11億
5.52%9,718.6萬
21.74%9,778.47萬
21.74%9,778.47萬
非流動負債
非流動金融負債
18.22%463.3萬
99.33%418.2萬
55.11%330.7萬
60.58%350.87萬
60.58%350.87萬
127.32%391.9萬
462.47%209.8萬
272.08%213.2萬
254.34%218.5萬
254.34%218.5萬
-長期借款及資本租賃
18.22%463.3萬
99.33%418.2萬
55.11%330.7萬
60.58%350.87萬
60.58%350.87萬
127.32%391.9萬
462.47%209.8萬
272.08%213.2萬
254.34%218.5萬
254.34%218.5萬
-其中:長期借款
47.03%133.8萬
9.39%107.2萬
-26.81%76.7萬
-24.80%83.91萬
-24.80%83.91萬
-23.01%91萬
--98萬
--104.8萬
--111.58萬
--111.58萬
-其中:長期資本租賃負債
9.50%329.5萬
178.18%311萬
134.32%254萬
149.68%266.96萬
149.68%266.96萬
455.17%300.9萬
199.73%111.8萬
89.18%108.4萬
73.39%106.92萬
73.39%106.92萬
非流動遞延所得稅負債
14.38%16.7萬
14.38%16.7萬
14.38%16.7萬
13.89%16.68萬
13.89%16.68萬
12.31%14.6萬
12.31%14.6萬
12.31%14.6萬
12.83%14.64萬
12.83%14.64萬
非流動負債合計
18.08%480萬
93.81%434.9萬
52.50%347.4萬
57.65%367.55萬
57.65%367.55萬
119.26%406.5萬
346.12%224.4萬
224.04%227.8萬
212.35%233.14萬
212.35%233.14萬
負債總額
27.77%1.46億
25.61%1.43億
27.48%1.27億
23.93%1.24億
23.93%1.24億
4.69%1.14億
10.82%1.14億
7.18%9,946.4萬
23.50%1億
23.50%1億
所有者權益
股本
11.49%7,745.8萬
11.49%7,745.8萬
26.45%7,745.8萬
26.45%7,745.75萬
26.45%7,745.75萬
13.42%6,947.6萬
13.42%6,947.6萬
0.00%6,125.5萬
0.00%6,125.5萬
0.00%6,125.5萬
-普通股
11.49%7,745.8萬
11.49%7,745.8萬
26.45%7,745.8萬
26.45%7,745.75萬
26.45%7,745.75萬
13.42%6,947.6萬
13.42%6,947.6萬
0.00%6,125.5萬
0.00%6,125.5萬
0.00%6,125.5萬
留存收益
12.22%7,818萬
11.10%7,502.2萬
11.50%7,383.3萬
9.63%7,092.08萬
9.63%7,092.08萬
10.38%6,966.7萬
10.58%6,752.4萬
8.22%6,622萬
9.02%6,469.1萬
9.02%6,469.1萬
其他儲備
0.00%-4,003萬
0.00%-4,003萬
0.00%-4,003萬
0.00%-4,002.98萬
0.00%-4,002.98萬
0.00%-4,003萬
0.00%-4,003萬
0.00%-4,003萬
0.00%-4,002.98萬
0.00%-4,002.98萬
股東權益
16.64%1.16億
15.96%1.12億
27.24%1.11億
26.11%1.08億
26.11%1.08億
17.52%9,911.3萬
17.84%9,697萬
6.10%8,744.5萬
6.65%8,591.62萬
6.65%8,591.62萬
總權益
16.64%1.16億
15.96%1.12億
27.24%1.11億
26.11%1.08億
26.11%1.08億
17.52%9,911.3萬
17.84%9,697萬
6.10%8,744.5萬
6.65%8,591.62萬
6.65%8,591.62萬
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31
資產
流動資產
現金及現金等價物與短期投資 73.55%3,726.1萬-20.71%2,105.9萬168.15%2,714.5萬97.12%2,542.62萬97.12%2,542.62萬19.11%2,147萬44.61%2,655.9萬-18.22%1,012.3萬-49.19%1,289.89萬-49.19%1,289.89萬
-現金及現金等價物 73.55%3,726.1萬-20.71%2,105.9萬168.15%2,714.5萬97.12%2,542.62萬97.12%2,542.62萬19.11%2,147萬44.61%2,655.9萬-18.22%1,012.3萬-49.19%1,289.89萬-49.19%1,289.89萬
-其中:現金 ------------97.12%2,542.62萬97.12%2,542.62萬-------------49.19%1,289.89萬-49.19%1,289.89萬
應收款項 16.70%2.08億26.28%2.18億18.85%1.97億17.38%1.86億17.38%1.86億8.02%1.79億8.50%1.73億6.52%1.65億25.07%1.58億25.07%1.58億
-應收賬款淨額 55.27%1.49億52.49%1.43億36.33%1.2億15.61%1.07億15.61%1.07億-5.75%9,587.2萬-1.61%9,398.7萬-8.05%8,816.9萬17.48%9,226.81萬17.48%9,226.81萬
-其他應收款 -28.02%5,951.4萬-4.95%7,498.2萬-1.09%7,646.7萬19.85%7,920.93萬19.85%7,920.93萬30.05%8,267.7萬23.65%7,888.4萬30.02%7,731.1萬37.46%6,608.99萬37.46%6,608.99萬
預付費用 ------------106.04%281.54萬106.04%281.54萬------------36.47%136.64萬36.47%136.64萬
受限制現金 ------------90.19%477.16萬90.19%477.16萬------------150.47%250.89萬150.47%250.89萬
稅項資產 --00.00%2,0000.00%2,0000.00%2,5340.00%2,5340.00%2,0000.00%2,0000.00%2,00010.56%2,53410.56%2,534
流動資產合計 22.80%2.46億20.02%2.39億27.46%2.24億24.99%2.19億24.99%2.19億9.11%2億12.23%1.99億4.69%1.76億13.72%1.75億13.72%1.75億
非流動資產
物業廠房及設備淨額 19.12%1,066.5萬63.47%1,150.2萬39.28%998.2萬39.65%952.71萬39.65%952.71萬56.47%895.3萬50.57%703.6萬45.17%716.7萬34.48%682.21萬34.48%682.21萬
-物業、廠房及設備 ------------16.52%2,309.87萬16.52%2,309.87萬------------16.54%1,982.4萬16.54%1,982.4萬
-累計折舊 -------------4.38%-1,357.16萬-4.38%-1,357.16萬-------------8.91%-1,300.19萬-8.91%-1,300.19萬
投資總額 20.63%481.9萬11.26%444.5萬6.46%425.3萬0.02%399.56萬0.02%399.56萬2.57%399.5萬56.54%399.5萬56.54%399.5萬56.55%399.49萬56.55%399.49萬
-長期股權投資 --------------0--0--------------0--0
-金融資產投資 ------------0.02%399.56萬0.02%399.56萬------------56.55%399.49萬56.55%399.49萬
-其中:以公允價值計量且其變動計入當期損益的金融資產總額 ------------0.02%399.56萬0.02%399.56萬------------56.55%399.49萬56.55%399.49萬
-其他投資 20.63%481.9萬11.26%444.5萬6.46%425.3萬--399.6萬--399.6萬2.57%399.5萬56.54%399.5萬56.54%399.5萬--------
非流動遞延所得稅資產 --------------0--0-83.16%3.2萬--24.2萬--14.2萬--8.06萬--8.06萬
非流動資產合計 19.29%1,548.4萬41.46%1,594.7萬25.93%1,423.5萬24.09%1,352.27萬24.09%1,352.27萬32.35%1,298萬56.03%1,127.3萬50.94%1,130.4萬42.92%1,089.75萬42.92%1,089.75萬
總資產 22.59%2.61億21.17%2.55億27.36%2.38億24.94%2.32億24.94%2.32億10.29%2.13億13.94%2.11億6.67%1.87億15.10%1.86億15.10%1.86億
負債
流動負債
金融負債 0.48%209.5萬-40.14%407.5萬76.88%642.6萬75.96%1,034.3萬75.96%1,034.3萬-79.56%208.5萬-25.87%680.8萬-61.20%363.3萬-7.85%587.8萬-7.85%587.8萬
-短期借款及資本租賃負債 0.48%209.5萬-40.14%407.5萬76.88%642.6萬75.96%1,034.3萬75.96%1,034.3萬-79.56%208.5萬-25.87%680.8萬-61.20%363.3萬-7.85%587.8萬-7.85%587.8萬
-其中:短期借款 -53.22%59.5萬-71.94%175.8萬56.03%468.1萬67.53%862.51萬67.53%862.51萬-86.45%127.2萬-25.15%626.6萬-64.79%300萬-6.90%514.86萬-6.90%514.86萬
-其中:資本租賃負債 84.50%150萬327.49%231.7萬175.67%174.5萬135.50%171.79萬135.50%171.79萬-0.49%81.3萬-33.33%54.2萬-24.82%63.3萬-14.08%72.95萬-14.08%72.95萬
應付款項 28.20%1.38億26.10%1.32億24.26%1.16億19.66%1.06億19.66%1.06億15.49%1.08億24.89%1.05億18.07%9,355.3萬27.71%8,836.43萬27.71%8,836.43萬
-應付帳款 27.76%1.36億26.57%1.3億24.46%1.15億19.88%1.04億19.88%1.04億15.12%1.06億23.77%1.03億17.41%9,212.6萬26.47%8,645.39萬26.47%8,645.39萬
-應交稅費 64.00%215.5萬3.50%221.9萬11.28%158.8萬-8.10%109.47萬-8.10%109.47萬55.50%131.4萬120.12%214.4萬86.54%142.7萬158.37%119.11萬158.37%119.11萬
-其他應付款 ------------39.46%100.31萬39.46%100.31萬------------94.72%71.93萬94.72%71.93萬
應計及遞延所得 --49.2萬--243.3萬--64.3萬21.98%432.12萬21.98%432.12萬--0--0--0-25.46%354.24萬-25.46%354.24萬
其他流動負債 --------------1,000--1,000--------------------
流動負債合計 28.12%1.41億24.24%1.39億26.89%1.23億23.13%1.2億23.13%1.2億2.70%1.1億9.17%1.11億5.52%9,718.6萬21.74%9,778.47萬21.74%9,778.47萬
非流動負債
非流動金融負債 18.22%463.3萬99.33%418.2萬55.11%330.7萬60.58%350.87萬60.58%350.87萬127.32%391.9萬462.47%209.8萬272.08%213.2萬254.34%218.5萬254.34%218.5萬
-長期借款及資本租賃 18.22%463.3萬99.33%418.2萬55.11%330.7萬60.58%350.87萬60.58%350.87萬127.32%391.9萬462.47%209.8萬272.08%213.2萬254.34%218.5萬254.34%218.5萬
-其中:長期借款 47.03%133.8萬9.39%107.2萬-26.81%76.7萬-24.80%83.91萬-24.80%83.91萬-23.01%91萬--98萬--104.8萬--111.58萬--111.58萬
-其中:長期資本租賃負債 9.50%329.5萬178.18%311萬134.32%254萬149.68%266.96萬149.68%266.96萬455.17%300.9萬199.73%111.8萬89.18%108.4萬73.39%106.92萬73.39%106.92萬
非流動遞延所得稅負債 14.38%16.7萬14.38%16.7萬14.38%16.7萬13.89%16.68萬13.89%16.68萬12.31%14.6萬12.31%14.6萬12.31%14.6萬12.83%14.64萬12.83%14.64萬
非流動負債合計 18.08%480萬93.81%434.9萬52.50%347.4萬57.65%367.55萬57.65%367.55萬119.26%406.5萬346.12%224.4萬224.04%227.8萬212.35%233.14萬212.35%233.14萬
負債總額 27.77%1.46億25.61%1.43億27.48%1.27億23.93%1.24億23.93%1.24億4.69%1.14億10.82%1.14億7.18%9,946.4萬23.50%1億23.50%1億
所有者權益
股本 11.49%7,745.8萬11.49%7,745.8萬26.45%7,745.8萬26.45%7,745.75萬26.45%7,745.75萬13.42%6,947.6萬13.42%6,947.6萬0.00%6,125.5萬0.00%6,125.5萬0.00%6,125.5萬
-普通股 11.49%7,745.8萬11.49%7,745.8萬26.45%7,745.8萬26.45%7,745.75萬26.45%7,745.75萬13.42%6,947.6萬13.42%6,947.6萬0.00%6,125.5萬0.00%6,125.5萬0.00%6,125.5萬
留存收益 12.22%7,818萬11.10%7,502.2萬11.50%7,383.3萬9.63%7,092.08萬9.63%7,092.08萬10.38%6,966.7萬10.58%6,752.4萬8.22%6,622萬9.02%6,469.1萬9.02%6,469.1萬
其他儲備 0.00%-4,003萬0.00%-4,003萬0.00%-4,003萬0.00%-4,002.98萬0.00%-4,002.98萬0.00%-4,003萬0.00%-4,003萬0.00%-4,003萬0.00%-4,002.98萬0.00%-4,002.98萬
股東權益 16.64%1.16億15.96%1.12億27.24%1.11億26.11%1.08億26.11%1.08億17.52%9,911.3萬17.84%9,697萬6.10%8,744.5萬6.65%8,591.62萬6.65%8,591.62萬
總權益 16.64%1.16億15.96%1.12億27.24%1.11億26.11%1.08億26.11%1.08億17.52%9,911.3萬17.84%9,697萬6.10%8,744.5萬6.65%8,591.62萬6.65%8,591.62萬
會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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