馬來西亞市場個股詳情

IDBTECH (03030)

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延時15分鐘行情休市中 08/19 09:00 (北京)
6500.00萬總市值21.67市盈率TTM

03030 IDBTECH

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/06/30
(Q4)2025/06/30
(Q2)2024/12/31
(FY)2024/06/30
(Q4)2024/06/30
(Q2)2023/12/31
(FY)2023/06/30
(Q4)2023/06/30
(Q2)2022/12/31
(FY)2022/06/30
資產
流動資產
現金及現金等價物與短期投資
19.43%625.9萬
19.43%625.9萬
15.96%602.9萬
14.60%524.06萬
14.60%524.06萬
14.24%519.9萬
20.53%457.3萬
--457.3萬
87.44%455.1萬
55.33%379.4萬
-現金及現金等價物
-64.53%185.9萬
-64.53%185.9萬
-78.28%112.9萬
1,036.15%524.06萬
1,036.15%524.06萬
14.24%519.9萬
-76.87%46.13萬
--46.13萬
87.44%455.1萬
-18.36%199.4萬
-其中:現金
38.67%185.9萬
38.67%185.9萬
235.01%112.9萬
190.64%134.06萬
190.64%134.06萬
-64.56%33.7萬
-76.87%46.13萬
--46.13萬
51.43%95.1萬
210.35%199.4萬
-其中:現金等價物
----
----
----
--390萬
--390萬
35.06%486.2萬
----
----
100.00%360萬
----
-短期投資
--440萬
--440萬
--490萬
----
----
----
128.43%411.17萬
--411.17萬
----
--180萬
應收款項
46.14%210.8萬
46.14%210.8萬
-7.14%163.8萬
7.27%144.25萬
7.27%144.25萬
5.00%176.4萬
-33.24%134.47萬
--134.47萬
-20.83%168萬
2.07%201.42萬
-應收賬款淨額
1.06%192.7萬
1.06%192.7萬
-9.62%154萬
10.65%190.68萬
10.65%190.68萬
7.98%170.4萬
-19.15%172.32萬
--172.32萬
-22.34%157.8萬
-18.40%213.13萬
-其他應收款
138.98%18.1萬
138.98%18.1萬
63.33%9.8萬
-22.65%-46.43萬
-22.65%-46.43萬
-41.18%6萬
-223.37%-37.85萬
---37.85萬
13.33%10.2萬
81.66%-11.71萬
存貨
-54.86%3萬
-54.86%3萬
49.02%15.2萬
-56.82%6.65萬
-56.82%6.65萬
-19.05%10.2萬
114.42%15.39萬
--15.39萬
57.50%12.6萬
16.36%7.18萬
預付費用
----
----
----
246.06%19.48萬
246.06%19.48萬
----
4.90%5.63萬
--5.63萬
----
36.32%5.37萬
流動資產合計
20.92%839.7萬
20.92%839.7萬
10.67%781.9萬
13.33%694.44萬
13.33%694.44萬
11.14%706.5萬
3.27%612.78萬
--612.78萬
37.30%635.7萬
31.36%593.36萬
非流動資產
物業廠房及設備淨額
192.14%147.5萬
192.14%147.5萬
154.27%151.8萬
-20.89%50.49萬
-20.89%50.49萬
-16.85%59.7萬
-20.25%63.82萬
--63.82萬
25.96%71.8萬
212.31%80.02萬
-物業、廠房及設備
----
----
----
4.28%110.62萬
4.28%110.62萬
----
2.32%106.08萬
--106.08萬
25.96%71.8萬
81.74%103.67萬
-累計折舊
----
----
----
-42.29%-60.13萬
-42.29%-60.13萬
----
-78.69%-42.26萬
---42.26萬
----
24.73%-23.65萬
投資總額
----
----
----
--0
--0
----
--0
--0
----
--0
-長期股權投資
----
----
----
--0
--0
----
--0
--0
----
--0
商譽及其他無形資產
----
----
----
-99.99%2
-99.99%2
-79.55%9,000
-62.31%2.43萬
--2.43萬
-46.99%4.4萬
-31.17%6.44萬
-其他無形資產
----
----
----
-99.99%2
-99.99%2
----
-62.31%2.43萬
--2.43萬
----
-31.17%6.44萬
非流動資產合計
192.14%147.5萬
192.14%147.5萬
150.50%151.8萬
-23.78%50.49萬
-23.78%50.49萬
-20.47%60.6萬
-23.38%66.25萬
--66.25萬
16.69%76.2萬
147.20%86.46萬
總資產
32.52%987.2萬
32.52%987.2萬
21.72%933.7萬
9.71%744.93萬
9.71%744.93萬
7.75%767.1萬
-0.12%679.03萬
--679.03萬
34.75%711.9萬
39.69%679.82萬
負債
流動負債
金融負債
4.31%8.5萬
4.31%8.5萬
3.75%8.3萬
3.97%8.15萬
3.97%8.15萬
3.90%8萬
-6.28%7.84萬
--7.84萬
-1.28%7.7萬
75.56%8.36萬
-短期借款及資本租賃負債
4.31%8.5萬
4.31%8.5萬
3.75%8.3萬
3.97%8.15萬
3.97%8.15萬
3.90%8萬
-6.28%7.84萬
--7.84萬
-1.28%7.7萬
75.56%8.36萬
-其中:資本租賃負債
4.31%8.5萬
4.31%8.5萬
3.75%8.3萬
3.97%8.15萬
3.97%8.15萬
3.90%8萬
-6.28%7.84萬
--7.84萬
-1.28%7.7萬
75.56%8.36萬
應付款項
340.09%237.2萬
340.09%237.2萬
25.24%206.4萬
2.68%53.9萬
2.68%53.9萬
-12.20%164.8萬
-2.23%52.49萬
--52.49萬
46.99%187.7萬
32.08%53.69萬
-應付帳款
--0
--0
-6.67%4.2萬
-7.12%1.05萬
-7.12%1.05萬
114.29%4.5萬
--1.13萬
--1.13萬
-44.74%2.1萬
--0
-應交稅費
76.30%55.8萬
76.30%55.8萬
44.32%53.4萬
-15.26%31.65萬
-15.26%31.65萬
-27.02%37萬
-13.99%37.35萬
--37.35萬
496.47%50.7萬
134.26%43.43萬
-其他應付款
755.66%181.4萬
755.66%181.4萬
20.68%148.8萬
51.28%21.2萬
51.28%21.2萬
-8.60%123.3萬
36.50%14.01萬
--14.01萬
16.90%134.9萬
-35.44%10.27萬
應計及遞延所得
----
----
----
-3.12%89.03萬
-3.12%89.03萬
----
-20.67%91.89萬
--91.89萬
----
73.80%115.83萬
流動負債合計
62.63%245.7萬
62.63%245.7萬
24.25%214.7萬
-0.75%151.08萬
-0.75%151.08萬
-11.57%172.8萬
-14.43%152.22萬
--152.22萬
44.21%195.4萬
58.74%177.89萬
非流動負債
非流動金融負債
-29.76%20.5萬
-29.76%20.5萬
-25.67%24.9萬
-22.84%29.19萬
-22.84%29.19萬
-20.62%33.5萬
-18.57%37.83萬
--37.83萬
57.46%42.2萬
5,534.43%46.46萬
-長期借款及資本租賃
-29.76%20.5萬
-29.76%20.5萬
-25.67%24.9萬
-22.84%29.19萬
-22.84%29.19萬
-20.62%33.5萬
-18.57%37.83萬
--37.83萬
57.46%42.2萬
5,534.43%46.46萬
-其中:長期資本租賃負債
-29.76%20.5萬
-29.76%20.5萬
-25.67%24.9萬
-22.84%29.19萬
-22.84%29.19萬
-20.62%33.5萬
-18.57%37.83萬
--37.83萬
57.46%42.2萬
5,534.43%46.46萬
非流動負債合計
-29.76%20.5萬
-29.76%20.5萬
-25.67%24.9萬
-22.84%29.19萬
-22.84%29.19萬
-20.62%33.5萬
-18.57%37.83萬
--37.83萬
57.46%42.2萬
5,534.43%46.46萬
負債總額
47.67%266.2萬
47.67%266.2萬
16.14%239.6萬
-5.15%180.26萬
-5.15%180.26萬
-13.17%206.3萬
-15.29%190.05萬
--190.05萬
46.40%237.6萬
98.73%224.34萬
所有者權益
股本
-0.00%409.5萬
-0.00%409.5萬
0.00%409.5萬
0.00%409.51萬
0.00%409.51萬
0.00%409.5萬
0.00%409.51萬
--409.51萬
0.00%409.5萬
0.00%409.51萬
-普通股
-0.00%409.5萬
-0.00%409.5萬
0.00%409.5萬
0.00%409.51萬
0.00%409.51萬
0.00%409.5萬
0.00%409.51萬
--409.51萬
0.00%409.5萬
0.00%409.51萬
留存收益
70.22%379萬
70.22%379萬
60.92%352.1萬
51.50%222.65萬
51.50%222.65萬
65.38%218.8萬
29.53%146.96萬
--146.96萬
451.25%132.3萬
257.16%113.46萬
其他股本權益
-0.01%-67.5萬
-0.01%-67.5萬
0.00%-67.5萬
0.00%-67.49萬
0.00%-67.49萬
0.00%-67.5萬
0.00%-67.49萬
---67.49萬
0.00%-67.5萬
0.00%-67.49萬
股東權益
27.69%721萬
27.69%721萬
23.77%694.1萬
15.48%564.67萬
15.48%564.67萬
18.24%560.8萬
7.36%488.98萬
--488.98萬
29.59%474.3萬
21.85%455.48萬
總權益
27.69%721萬
27.69%721萬
23.77%694.1萬
15.48%564.67萬
15.48%564.67萬
18.24%560.8萬
7.36%488.98萬
--488.98萬
29.59%474.3萬
21.85%455.48萬
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)2025/06/30(Q4)2025/06/30(Q2)2024/12/31(FY)2024/06/30(Q4)2024/06/30(Q2)2023/12/31(FY)2023/06/30(Q4)2023/06/30(Q2)2022/12/31(FY)2022/06/30
資產
流動資產
現金及現金等價物與短期投資 19.43%625.9萬19.43%625.9萬15.96%602.9萬14.60%524.06萬14.60%524.06萬14.24%519.9萬20.53%457.3萬--457.3萬87.44%455.1萬55.33%379.4萬
-現金及現金等價物 -64.53%185.9萬-64.53%185.9萬-78.28%112.9萬1,036.15%524.06萬1,036.15%524.06萬14.24%519.9萬-76.87%46.13萬--46.13萬87.44%455.1萬-18.36%199.4萬
-其中:現金 38.67%185.9萬38.67%185.9萬235.01%112.9萬190.64%134.06萬190.64%134.06萬-64.56%33.7萬-76.87%46.13萬--46.13萬51.43%95.1萬210.35%199.4萬
-其中:現金等價物 --------------390萬--390萬35.06%486.2萬--------100.00%360萬----
-短期投資 --440萬--440萬--490萬------------128.43%411.17萬--411.17萬------180萬
應收款項 46.14%210.8萬46.14%210.8萬-7.14%163.8萬7.27%144.25萬7.27%144.25萬5.00%176.4萬-33.24%134.47萬--134.47萬-20.83%168萬2.07%201.42萬
-應收賬款淨額 1.06%192.7萬1.06%192.7萬-9.62%154萬10.65%190.68萬10.65%190.68萬7.98%170.4萬-19.15%172.32萬--172.32萬-22.34%157.8萬-18.40%213.13萬
-其他應收款 138.98%18.1萬138.98%18.1萬63.33%9.8萬-22.65%-46.43萬-22.65%-46.43萬-41.18%6萬-223.37%-37.85萬---37.85萬13.33%10.2萬81.66%-11.71萬
存貨 -54.86%3萬-54.86%3萬49.02%15.2萬-56.82%6.65萬-56.82%6.65萬-19.05%10.2萬114.42%15.39萬--15.39萬57.50%12.6萬16.36%7.18萬
預付費用 ------------246.06%19.48萬246.06%19.48萬----4.90%5.63萬--5.63萬----36.32%5.37萬
流動資產合計 20.92%839.7萬20.92%839.7萬10.67%781.9萬13.33%694.44萬13.33%694.44萬11.14%706.5萬3.27%612.78萬--612.78萬37.30%635.7萬31.36%593.36萬
非流動資產
物業廠房及設備淨額 192.14%147.5萬192.14%147.5萬154.27%151.8萬-20.89%50.49萬-20.89%50.49萬-16.85%59.7萬-20.25%63.82萬--63.82萬25.96%71.8萬212.31%80.02萬
-物業、廠房及設備 ------------4.28%110.62萬4.28%110.62萬----2.32%106.08萬--106.08萬25.96%71.8萬81.74%103.67萬
-累計折舊 -------------42.29%-60.13萬-42.29%-60.13萬-----78.69%-42.26萬---42.26萬----24.73%-23.65萬
投資總額 --------------0--0------0--0------0
-長期股權投資 --------------0--0------0--0------0
商譽及其他無形資產 -------------99.99%2-99.99%2-79.55%9,000-62.31%2.43萬--2.43萬-46.99%4.4萬-31.17%6.44萬
-其他無形資產 -------------99.99%2-99.99%2-----62.31%2.43萬--2.43萬-----31.17%6.44萬
非流動資產合計 192.14%147.5萬192.14%147.5萬150.50%151.8萬-23.78%50.49萬-23.78%50.49萬-20.47%60.6萬-23.38%66.25萬--66.25萬16.69%76.2萬147.20%86.46萬
總資產 32.52%987.2萬32.52%987.2萬21.72%933.7萬9.71%744.93萬9.71%744.93萬7.75%767.1萬-0.12%679.03萬--679.03萬34.75%711.9萬39.69%679.82萬
負債
流動負債
金融負債 4.31%8.5萬4.31%8.5萬3.75%8.3萬3.97%8.15萬3.97%8.15萬3.90%8萬-6.28%7.84萬--7.84萬-1.28%7.7萬75.56%8.36萬
-短期借款及資本租賃負債 4.31%8.5萬4.31%8.5萬3.75%8.3萬3.97%8.15萬3.97%8.15萬3.90%8萬-6.28%7.84萬--7.84萬-1.28%7.7萬75.56%8.36萬
-其中:資本租賃負債 4.31%8.5萬4.31%8.5萬3.75%8.3萬3.97%8.15萬3.97%8.15萬3.90%8萬-6.28%7.84萬--7.84萬-1.28%7.7萬75.56%8.36萬
應付款項 340.09%237.2萬340.09%237.2萬25.24%206.4萬2.68%53.9萬2.68%53.9萬-12.20%164.8萬-2.23%52.49萬--52.49萬46.99%187.7萬32.08%53.69萬
-應付帳款 --0--0-6.67%4.2萬-7.12%1.05萬-7.12%1.05萬114.29%4.5萬--1.13萬--1.13萬-44.74%2.1萬--0
-應交稅費 76.30%55.8萬76.30%55.8萬44.32%53.4萬-15.26%31.65萬-15.26%31.65萬-27.02%37萬-13.99%37.35萬--37.35萬496.47%50.7萬134.26%43.43萬
-其他應付款 755.66%181.4萬755.66%181.4萬20.68%148.8萬51.28%21.2萬51.28%21.2萬-8.60%123.3萬36.50%14.01萬--14.01萬16.90%134.9萬-35.44%10.27萬
應計及遞延所得 -------------3.12%89.03萬-3.12%89.03萬-----20.67%91.89萬--91.89萬----73.80%115.83萬
流動負債合計 62.63%245.7萬62.63%245.7萬24.25%214.7萬-0.75%151.08萬-0.75%151.08萬-11.57%172.8萬-14.43%152.22萬--152.22萬44.21%195.4萬58.74%177.89萬
非流動負債
非流動金融負債 -29.76%20.5萬-29.76%20.5萬-25.67%24.9萬-22.84%29.19萬-22.84%29.19萬-20.62%33.5萬-18.57%37.83萬--37.83萬57.46%42.2萬5,534.43%46.46萬
-長期借款及資本租賃 -29.76%20.5萬-29.76%20.5萬-25.67%24.9萬-22.84%29.19萬-22.84%29.19萬-20.62%33.5萬-18.57%37.83萬--37.83萬57.46%42.2萬5,534.43%46.46萬
-其中:長期資本租賃負債 -29.76%20.5萬-29.76%20.5萬-25.67%24.9萬-22.84%29.19萬-22.84%29.19萬-20.62%33.5萬-18.57%37.83萬--37.83萬57.46%42.2萬5,534.43%46.46萬
非流動負債合計 -29.76%20.5萬-29.76%20.5萬-25.67%24.9萬-22.84%29.19萬-22.84%29.19萬-20.62%33.5萬-18.57%37.83萬--37.83萬57.46%42.2萬5,534.43%46.46萬
負債總額 47.67%266.2萬47.67%266.2萬16.14%239.6萬-5.15%180.26萬-5.15%180.26萬-13.17%206.3萬-15.29%190.05萬--190.05萬46.40%237.6萬98.73%224.34萬
所有者權益
股本 -0.00%409.5萬-0.00%409.5萬0.00%409.5萬0.00%409.51萬0.00%409.51萬0.00%409.5萬0.00%409.51萬--409.51萬0.00%409.5萬0.00%409.51萬
-普通股 -0.00%409.5萬-0.00%409.5萬0.00%409.5萬0.00%409.51萬0.00%409.51萬0.00%409.5萬0.00%409.51萬--409.51萬0.00%409.5萬0.00%409.51萬
留存收益 70.22%379萬70.22%379萬60.92%352.1萬51.50%222.65萬51.50%222.65萬65.38%218.8萬29.53%146.96萬--146.96萬451.25%132.3萬257.16%113.46萬
其他股本權益 -0.01%-67.5萬-0.01%-67.5萬0.00%-67.5萬0.00%-67.49萬0.00%-67.49萬0.00%-67.5萬0.00%-67.49萬---67.49萬0.00%-67.5萬0.00%-67.49萬
股東權益 27.69%721萬27.69%721萬23.77%694.1萬15.48%564.67萬15.48%564.67萬18.24%560.8萬7.36%488.98萬--488.98萬29.59%474.3萬21.85%455.48萬
總權益 27.69%721萬27.69%721萬23.77%694.1萬15.48%564.67萬15.48%564.67萬18.24%560.8萬7.36%488.98萬--488.98萬29.59%474.3萬21.85%455.48萬
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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