馬來西亞市場個股詳情

SNS (0259)

添加自選
  • 0.600
  • -0.005-0.83%
延時15分鐘行情休市中 01/16 16:58 (北京)
10.05億總市值21.43市盈率TTM

0259 SNS

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2025/10/31
(Q2)2025/07/31
(Q1)2025/04/30
(FY)2025/01/31
(Q4)2025/01/31
(Q3)2024/10/31
(Q2)2024/07/31
(Q1)2024/04/30
(FY)2024/01/31
(Q4)2024/01/31
經營活動現金流量(間接法)
經營活動產生的現金
-713.47%-1.28億
-52.44%1,071.4萬
263.94%7,158.1萬
-158.51%-3,174.38萬
-80.58%507.32萬
-119.25%-1,568.3萬
175.96%2,252.9萬
29.03%-4,366.3萬
75.20%5,425.52萬
-10.43%2,612.62萬
扣除非現金調整前淨利潤
-19.01%835.7萬
222.10%2,703.4萬
163.15%1,343.9萬
-4.71%4,142.28萬
-4.07%1,760.48萬
256.04%1,031.8萬
-29.46%839.3萬
-50.51%510.7萬
-0.57%4,346.8萬
117.19%1,835.2萬
非現金項目調整總額
-56.90%300.1萬
567.37%2,507.3萬
81.49%659.7萬
-18.07%1,655.5萬
-31.35%220萬
-12.74%696.3萬
-14.50%375.7萬
-21.44%363.5萬
-37.96%2,020.57萬
-80.59%320.47萬
-折舊與攤銷
6.96%390.5萬
7.06%377.6萬
1.59%370.8萬
1.79%1,452.46萬
14.41%369.66萬
-4.45%365.1萬
-2.97%352.7萬
1.90%365萬
5.95%1,426.9萬
-8.01%323.1萬
-在損益中確認的減值損失回撥
-37.56%28.1萬
702.82%42.8萬
43.11%47.8萬
-124.26%-44.07萬
-153.55%-115.37萬
275.10%45萬
68.58%-7.1萬
130.34%33.4萬
10.51%181.66萬
281.48%215.46萬
-資產準備金與勾銷
-938.35%-668.7萬
20,236.61%2,277.7萬
85.11%-3.9萬
-132.69%-84.6萬
-729.41%-21.4萬
-128.02%-64.4萬
-7.44%11.2萬
-294.07%-26.2萬
666.17%258.8萬
118.76%3.4萬
-處置利潤
-18.18%-13萬
-10.84%-9.2萬
73.26%-4.6萬
--0
344.64%36.5萬
-118.36%-11萬
69.37%-8.3萬
54.01%-17.2萬
104.36%3.61萬
111.71%8.21萬
-匯兌損益淨額
627.00%191.2萬
-3,158.57%-214.1萬
1,394.35%160.5萬
24.58%-11.41萬
-1,403.47%-32.31萬
332.74%26.3萬
3,400.00%7萬
-90.77%-12.4萬
-2,357.29%-15.12萬
269.97%2.48萬
-以股票支付的報酬
-0.82%279.8萬
--0
--0
2.49%285.22萬
-4,917.04%-6,773
1.37%282.1萬
---8,000
--4.6萬
--278.29萬
---135
-其他非現金項目
73.31%92.2萬
54.76%32.5萬
446.63%89.1萬
-118.39%-26.71萬
-540.08%-117.21萬
146.22%53.2萬
-81.47%21萬
-86.46%16.3萬
-66.14%145.23萬
-81.09%26.63萬
營運資本變動
-321.47%-1.39億
-498.81%-4,139.3萬
198.36%5,154.5萬
-852.61%-8,972.16萬
-422.39%-1,473.16萬
-146.68%-3,296.4萬
227.69%1,037.9萬
31.47%-5,240.5萬
79.22%-941.85萬
8.51%456.95萬
-應收款(增)減
168.75%1.74億
-859.13%-1.14億
-1,106.86%-1.86億
99.65%-46.02萬
32.08%-6,490.32萬
-59.71%6,485萬
118.81%1,503.5萬
86.81%-1,544.2萬
-306.98%-1.32億
-208.39%-9,555.27萬
-存貨(增)減
-89.68%-3,011.5萬
168.33%241.7萬
83.56%-252.5萬
-339.27%-2,961.5萬
-29.51%515.8萬
-267.00%-1,587.7萬
-112.13%-353.7萬
54.31%-1,535.9萬
322.61%1,237.73萬
-93.88%731.73萬
-應付款(減)增
-245.52%-2.83億
6,330.94%7,028.5萬
1,212.70%2.4億
-154.28%-5,969.73萬
-50.76%4,498.77萬
18.77%-8,194.4萬
-102.56%-112.8萬
-128.64%-2,161.3萬
1,202.55%1.1億
144.44%9,137.24萬
-其他流動資產變動
328.57%3萬
344.44%4萬
-711.11%-5.5萬
-173.67%-87.3萬
-51.98%-53.8萬
103.78%7,000
-97.08%9,000
110.23%9,000
-1,439.65%-31.9萬
-158.87%-35.4萬
-其他流動負債變動
----
----
----
135.74%5.09萬
64.29%241.09萬
-66.72%41萬
78.07%-37.1萬
-108.61%-239.9萬
-105.53%-14.25萬
3.07%146.75萬
已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流)
0
0
已付利息(經營活動產生的現金流)
-119.53%-75.3萬
-42.56%-27.8萬
-196.00%-29.6萬
10.78%-94.26萬
-30.46萬
-34.3萬
-19.5萬
-10萬
-105.65萬
已收到的利息(經營活動產生的現金流)
48.05%136.8萬
64.99%144.2萬
33.85%129.7萬
49.29%448.66萬
-41.12%171.96萬
2,048.84%92.4萬
3,137.04%87.4萬
6,360.00%96.9萬
3,717.09%300.52萬
5,139.87%292.02萬
已支付退稅
54.57%-189.5萬
4.99%-197.9萬
-2.72%-188.6萬
28.84%-1,012.07萬
-50.65%-203.07萬
30.53%-417.1萬
18.02%-208.3萬
57.60%-183.6萬
-3.45%-1,422.3萬
65.59%-134.8萬
其他經營現金流入(流出)
68.25%-2萬
5.71%-3.3萬
-7,275.00%-29.5萬
0
8.51%10.2萬
-152.00%-6.3萬
41.67%-3.5萬
55.56%-4,000
0
165.46%9.4萬
經營活動現金淨額
-566.51%-1.29億
-53.22%986.6萬
257.73%7,040.1萬
-191.28%-3,832.05萬
-82.95%455.95萬
-125.61%-1,933.6萬
277.28%2,109萬
32.22%-4,463.4萬
147.75%4,198.1萬
6.25%2,673.6萬
投資活動現金流量
物業、廠房及設備交易淨額
-3.62%-143.1萬
40.95%-126.9萬
-186.00%-230.8萬
-169.60%-523.37萬
-167.29%-89.67萬
-752.47%-138.1萬
-55.39%-214.9萬
53.33%-80.7萬
31.38%-194.13萬
175.20%133.27萬
投資產品交易淨額
-76.47%2.4萬
422.69%359.8萬
-8,815.79%-338.8萬
-258.77%-108.6萬
-100.09%-3.6萬
100.26%10.2萬
-12.40%-111.5萬
93.32%-3.8萬
--68.4萬
150.24%4,121.9萬
向其他方提供的預付現金及貸款
----
----
----
--0
----
----
----
----
--0
----
已收到的股息(投資活動產生的現金流)
----
----
----
-6.36%110.4萬
1.08%28.2萬
2.59%27.7萬
-2.52%27.1萬
-22.16%27.4萬
89.48%117.9萬
-35.45%27.9萬
已收到的利息(投資活動產生的現金流)
18.18%13萬
12.05%9.3萬
-73.26%4.6萬
26.35%42.89萬
-75.73%6.39萬
254.84%11萬
260.87%8.3萬
681.82%17.2萬
65.06%33.95萬
234.95%26.35萬
投資活動現金淨額
-9.24%-127.7萬
176.14%242.2萬
-739.52%-565萬
-199.95%-480.48萬
-99.47%21.82萬
96.99%-116.9萬
-53.38%-318.1萬
65.02%-67.3萬
40.59%-160.19萬
184.05%4,123.11萬
融資活動現金流量
債務發行/償還的淨額
35.73%619.2萬
3,678.45%683.9萬
589.10%5,836萬
641.80%2,456.38萬
206.33%1,135.18萬
108.41%456.2萬
-99.20%18.1萬
-77.49%846.9萬
67.55%-453.37萬
66.37%-1,067.57萬
普通股發行/回購的淨額
----
----
----
--1,574.46萬
--1,387.06萬
----
----
----
--0
--0
租賃融資增減
-8.28%-328.1萬
-1.85%-314.1萬
6.21%-307.9萬
-212.48%-1,049.7萬
52.82%-110萬
25.31%-303萬
-116.26%-308.4萬
-1.20%-328.3萬
176.20%933.25萬
25.91%-233.15萬
已支付現金股息
-3.89%-418.9萬
----
----
-33.64%-1,616.53萬
-100.93%-810.13萬
0.00%-403.2萬
----
----
-20.57%-1,209.58萬
0.00%-403.18萬
已付利息(籌資活動產生的現金流)
-43.93%-151.7萬
-71.04%-145.9萬
-55.25%-159.6萬
1.02%-371.28萬
-862.82%-77.78萬
13.11%-105.4萬
30.25%-85.3萬
27.45%-102.8萬
21.68%-375.1萬
107.32%10.2萬
其他籌資費用淨額
----
----
----
-258.90%-108.79萬
----
----
----
----
2,092.52%68.46萬
----
融資活動現金淨額
-66.37%-279.5萬
101.85%14.4萬
1,191.13%5,368.5萬
185.35%884.55萬
187.10%1,415.55萬
97.36%-168萬
-121.37%-778.8萬
-87.39%415.8萬
-121.94%-1,036.34萬
59.69%-1,625.24萬
現金淨流量
期初現金流
146.04%2.16億
159.10%2.01億
-28.77%8,460.3萬
34.05%1.19億
-2.58%6,534.6萬
-6.42%8,779.4萬
44.34%7,774.3萬
34.05%1.19億
226.55%8,860.19萬
-24.84%6,707.9萬
現金變動
-499.27%-1.33億
22.83%1,243.2萬
387.82%1.18億
-214.21%-3,427.99萬
-63.39%1,893.31萬
17.38%-2,218.5萬
-74.67%1,012.1萬
-18.22%-4,114.9萬
-51.17%3,001.57萬
8,242.20%5,171.47萬
匯率變動影響
-627.00%-191.2萬
3,158.57%214.1萬
-1,394.35%-160.5萬
-24.58%11.41萬
1,403.47%32.31萬
-332.74%-26.3萬
-3,400.00%-7萬
90.77%12.4萬
2,357.29%15.12萬
-269.97%-2.48萬
期末現金
24.18%8,114.6萬
146.04%2.16億
159.10%2.01億
-28.77%8,460.3萬
-28.77%8,460.3萬
-2.58%6,534.6萬
-6.42%8,779.4萬
44.34%7,774.3萬
34.05%1.19億
34.05%1.19億
自由現金流
-528.99%-1.3億
-54.61%859.7萬
249.84%6,809.1萬
-209.29%-4,355.43萬
-86.95%366.27萬
-127.50%-2,071.7萬
371.05%1,894.1萬
32.76%-4,544.1萬
182.34%3,985.32萬
19.99%2,806.82萬
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)2025/10/31(Q2)2025/07/31(Q1)2025/04/30(FY)2025/01/31(Q4)2025/01/31(Q3)2024/10/31(Q2)2024/07/31(Q1)2024/04/30(FY)2024/01/31(Q4)2024/01/31
經營活動現金流量(間接法)
經營活動產生的現金 -713.47%-1.28億-52.44%1,071.4萬263.94%7,158.1萬-158.51%-3,174.38萬-80.58%507.32萬-119.25%-1,568.3萬175.96%2,252.9萬29.03%-4,366.3萬75.20%5,425.52萬-10.43%2,612.62萬
扣除非現金調整前淨利潤 -19.01%835.7萬222.10%2,703.4萬163.15%1,343.9萬-4.71%4,142.28萬-4.07%1,760.48萬256.04%1,031.8萬-29.46%839.3萬-50.51%510.7萬-0.57%4,346.8萬117.19%1,835.2萬
非現金項目調整總額 -56.90%300.1萬567.37%2,507.3萬81.49%659.7萬-18.07%1,655.5萬-31.35%220萬-12.74%696.3萬-14.50%375.7萬-21.44%363.5萬-37.96%2,020.57萬-80.59%320.47萬
-折舊與攤銷 6.96%390.5萬7.06%377.6萬1.59%370.8萬1.79%1,452.46萬14.41%369.66萬-4.45%365.1萬-2.97%352.7萬1.90%365萬5.95%1,426.9萬-8.01%323.1萬
-在損益中確認的減值損失回撥 -37.56%28.1萬702.82%42.8萬43.11%47.8萬-124.26%-44.07萬-153.55%-115.37萬275.10%45萬68.58%-7.1萬130.34%33.4萬10.51%181.66萬281.48%215.46萬
-資產準備金與勾銷 -938.35%-668.7萬20,236.61%2,277.7萬85.11%-3.9萬-132.69%-84.6萬-729.41%-21.4萬-128.02%-64.4萬-7.44%11.2萬-294.07%-26.2萬666.17%258.8萬118.76%3.4萬
-處置利潤 -18.18%-13萬-10.84%-9.2萬73.26%-4.6萬--0344.64%36.5萬-118.36%-11萬69.37%-8.3萬54.01%-17.2萬104.36%3.61萬111.71%8.21萬
-匯兌損益淨額 627.00%191.2萬-3,158.57%-214.1萬1,394.35%160.5萬24.58%-11.41萬-1,403.47%-32.31萬332.74%26.3萬3,400.00%7萬-90.77%-12.4萬-2,357.29%-15.12萬269.97%2.48萬
-以股票支付的報酬 -0.82%279.8萬--0--02.49%285.22萬-4,917.04%-6,7731.37%282.1萬---8,000--4.6萬--278.29萬---135
-其他非現金項目 73.31%92.2萬54.76%32.5萬446.63%89.1萬-118.39%-26.71萬-540.08%-117.21萬146.22%53.2萬-81.47%21萬-86.46%16.3萬-66.14%145.23萬-81.09%26.63萬
營運資本變動 -321.47%-1.39億-498.81%-4,139.3萬198.36%5,154.5萬-852.61%-8,972.16萬-422.39%-1,473.16萬-146.68%-3,296.4萬227.69%1,037.9萬31.47%-5,240.5萬79.22%-941.85萬8.51%456.95萬
-應收款(增)減 168.75%1.74億-859.13%-1.14億-1,106.86%-1.86億99.65%-46.02萬32.08%-6,490.32萬-59.71%6,485萬118.81%1,503.5萬86.81%-1,544.2萬-306.98%-1.32億-208.39%-9,555.27萬
-存貨(增)減 -89.68%-3,011.5萬168.33%241.7萬83.56%-252.5萬-339.27%-2,961.5萬-29.51%515.8萬-267.00%-1,587.7萬-112.13%-353.7萬54.31%-1,535.9萬322.61%1,237.73萬-93.88%731.73萬
-應付款(減)增 -245.52%-2.83億6,330.94%7,028.5萬1,212.70%2.4億-154.28%-5,969.73萬-50.76%4,498.77萬18.77%-8,194.4萬-102.56%-112.8萬-128.64%-2,161.3萬1,202.55%1.1億144.44%9,137.24萬
-其他流動資產變動 328.57%3萬344.44%4萬-711.11%-5.5萬-173.67%-87.3萬-51.98%-53.8萬103.78%7,000-97.08%9,000110.23%9,000-1,439.65%-31.9萬-158.87%-35.4萬
-其他流動負債變動 ------------135.74%5.09萬64.29%241.09萬-66.72%41萬78.07%-37.1萬-108.61%-239.9萬-105.53%-14.25萬3.07%146.75萬
已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流) 00
已付利息(經營活動產生的現金流) -119.53%-75.3萬-42.56%-27.8萬-196.00%-29.6萬10.78%-94.26萬-30.46萬-34.3萬-19.5萬-10萬-105.65萬
已收到的利息(經營活動產生的現金流) 48.05%136.8萬64.99%144.2萬33.85%129.7萬49.29%448.66萬-41.12%171.96萬2,048.84%92.4萬3,137.04%87.4萬6,360.00%96.9萬3,717.09%300.52萬5,139.87%292.02萬
已支付退稅 54.57%-189.5萬4.99%-197.9萬-2.72%-188.6萬28.84%-1,012.07萬-50.65%-203.07萬30.53%-417.1萬18.02%-208.3萬57.60%-183.6萬-3.45%-1,422.3萬65.59%-134.8萬
其他經營現金流入(流出) 68.25%-2萬5.71%-3.3萬-7,275.00%-29.5萬08.51%10.2萬-152.00%-6.3萬41.67%-3.5萬55.56%-4,0000165.46%9.4萬
經營活動現金淨額 -566.51%-1.29億-53.22%986.6萬257.73%7,040.1萬-191.28%-3,832.05萬-82.95%455.95萬-125.61%-1,933.6萬277.28%2,109萬32.22%-4,463.4萬147.75%4,198.1萬6.25%2,673.6萬
投資活動現金流量
物業、廠房及設備交易淨額 -3.62%-143.1萬40.95%-126.9萬-186.00%-230.8萬-169.60%-523.37萬-167.29%-89.67萬-752.47%-138.1萬-55.39%-214.9萬53.33%-80.7萬31.38%-194.13萬175.20%133.27萬
投資產品交易淨額 -76.47%2.4萬422.69%359.8萬-8,815.79%-338.8萬-258.77%-108.6萬-100.09%-3.6萬100.26%10.2萬-12.40%-111.5萬93.32%-3.8萬--68.4萬150.24%4,121.9萬
向其他方提供的預付現金及貸款 --------------0------------------0----
已收到的股息(投資活動產生的現金流) -------------6.36%110.4萬1.08%28.2萬2.59%27.7萬-2.52%27.1萬-22.16%27.4萬89.48%117.9萬-35.45%27.9萬
已收到的利息(投資活動產生的現金流) 18.18%13萬12.05%9.3萬-73.26%4.6萬26.35%42.89萬-75.73%6.39萬254.84%11萬260.87%8.3萬681.82%17.2萬65.06%33.95萬234.95%26.35萬
投資活動現金淨額 -9.24%-127.7萬176.14%242.2萬-739.52%-565萬-199.95%-480.48萬-99.47%21.82萬96.99%-116.9萬-53.38%-318.1萬65.02%-67.3萬40.59%-160.19萬184.05%4,123.11萬
融資活動現金流量
債務發行/償還的淨額 35.73%619.2萬3,678.45%683.9萬589.10%5,836萬641.80%2,456.38萬206.33%1,135.18萬108.41%456.2萬-99.20%18.1萬-77.49%846.9萬67.55%-453.37萬66.37%-1,067.57萬
普通股發行/回購的淨額 --------------1,574.46萬--1,387.06萬--------------0--0
租賃融資增減 -8.28%-328.1萬-1.85%-314.1萬6.21%-307.9萬-212.48%-1,049.7萬52.82%-110萬25.31%-303萬-116.26%-308.4萬-1.20%-328.3萬176.20%933.25萬25.91%-233.15萬
已支付現金股息 -3.89%-418.9萬---------33.64%-1,616.53萬-100.93%-810.13萬0.00%-403.2萬---------20.57%-1,209.58萬0.00%-403.18萬
已付利息(籌資活動產生的現金流) -43.93%-151.7萬-71.04%-145.9萬-55.25%-159.6萬1.02%-371.28萬-862.82%-77.78萬13.11%-105.4萬30.25%-85.3萬27.45%-102.8萬21.68%-375.1萬107.32%10.2萬
其他籌資費用淨額 -------------258.90%-108.79萬----------------2,092.52%68.46萬----
融資活動現金淨額 -66.37%-279.5萬101.85%14.4萬1,191.13%5,368.5萬185.35%884.55萬187.10%1,415.55萬97.36%-168萬-121.37%-778.8萬-87.39%415.8萬-121.94%-1,036.34萬59.69%-1,625.24萬
現金淨流量
期初現金流 146.04%2.16億159.10%2.01億-28.77%8,460.3萬34.05%1.19億-2.58%6,534.6萬-6.42%8,779.4萬44.34%7,774.3萬34.05%1.19億226.55%8,860.19萬-24.84%6,707.9萬
現金變動 -499.27%-1.33億22.83%1,243.2萬387.82%1.18億-214.21%-3,427.99萬-63.39%1,893.31萬17.38%-2,218.5萬-74.67%1,012.1萬-18.22%-4,114.9萬-51.17%3,001.57萬8,242.20%5,171.47萬
匯率變動影響 -627.00%-191.2萬3,158.57%214.1萬-1,394.35%-160.5萬-24.58%11.41萬1,403.47%32.31萬-332.74%-26.3萬-3,400.00%-7萬90.77%12.4萬2,357.29%15.12萬-269.97%-2.48萬
期末現金 24.18%8,114.6萬146.04%2.16億159.10%2.01億-28.77%8,460.3萬-28.77%8,460.3萬-2.58%6,534.6萬-6.42%8,779.4萬44.34%7,774.3萬34.05%1.19億34.05%1.19億
自由現金流 -528.99%-1.3億-54.61%859.7萬249.84%6,809.1萬-209.29%-4,355.43萬-86.95%366.27萬-127.50%-2,071.7萬371.05%1,894.1萬32.76%-4,544.1萬182.34%3,985.32萬19.99%2,806.82萬
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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