馬來西亞市場個股詳情

BAT (4162)

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  • 4.720
  • -0.040-0.84%
延時15分鐘行情已收盤 01/16 16:50 (北京)
13.48億總市值-0.26市盈率TTM

4162 BAT

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
43.34%5,847.5萬
-72.38%2,165.5萬
-45.51%4,302.8萬
27.06%3,538.5萬
27.06%3,538.5萬
-33.84%4,079.5萬
426.34%7,839.3萬
-38.87%7,896.9萬
67.40%2,784.9萬
67.40%2,784.9萬
-現金及現金等價物
43.34%5,847.5萬
-72.38%2,165.5萬
-45.51%4,302.8萬
27.06%3,538.5萬
27.06%3,538.5萬
-33.84%4,079.5萬
426.34%7,839.3萬
-38.87%7,896.9萬
67.40%2,784.9萬
67.40%2,784.9萬
-其中:現金
43.34%5,847.5萬
-72.38%2,165.5萬
-45.51%4,302.8萬
27.06%3,538.5萬
27.06%3,538.5萬
-33.84%4,079.5萬
426.34%7,839.3萬
-38.87%7,896.9萬
67.40%2,784.9萬
67.40%2,784.9萬
應收款項
6.02%7.15億
15.04%6.58億
37.54%7.1億
6.92%6.69億
6.92%6.69億
6.12%6.75億
-16.56%5.72億
3.01%5.16億
-17.74%6.26億
-17.74%6.26億
-應收賬款淨額
6.02%7.15億
15.04%6.58億
37.54%7.1億
5.81%6.49億
5.81%6.49億
6.12%6.75億
-16.56%5.72億
3.01%5.16億
-17.09%6.13億
-17.09%6.13億
-其中:應收賬款
----
----
----
5.81%6.5億
5.81%6.5億
----
----
----
-17.07%6.14億
-17.07%6.14億
-其中:壞賬準備
----
----
----
-5.58%-85.1萬
-5.58%-85.1萬
----
----
----
7.46%-80.6萬
7.46%-80.6萬
-其他應收款
----
----
----
60.26%2,031.4萬
60.26%2,031.4萬
----
----
----
-40.47%1,267.6萬
-40.47%1,267.6萬
存貨
-41.87%5,830.5萬
-31.93%2,666.9萬
34.70%9,719萬
-76.54%1,053.8萬
-76.54%1,053.8萬
-1.21%1億
21.22%3,917.8萬
-1.71%7,215.2萬
-19.77%4,491萬
-19.77%4,491萬
稅項資產
55.13%1,309.1萬
-20.68%816.9萬
-36.74%585.3萬
-3.27%224.5萬
-3.27%224.5萬
175.60%843.9萬
350.33%1,029.9萬
303.71%925.3萬
6.91%232.1萬
6.91%232.1萬
套期保值資產
-60.64%63.1萬
-80.88%113萬
-74.50%221.1萬
-46.48%264.9萬
-46.48%264.9萬
-83.99%160.3萬
-36.07%591.1萬
423.99%867.2萬
156.74%495萬
156.74%495萬
流動資產合計
2.42%8.46億
1.40%7.16億
25.25%8.58億
1.99%7.2億
1.99%7.2億
1.70%8.26億
-5.17%7.06億
-3.17%6.85億
-19.82%7.06億
-19.82%7.06億
非流動資產
物業廠房及設備淨額
-17.83%4,367.5萬
-20.55%4,631.9萬
-22.97%4,701.8萬
-23.43%5,029.9萬
-23.43%5,029.9萬
-23.33%5,315.5萬
23.81%5,830萬
18.44%6,104萬
16.72%6,569.2萬
16.72%6,569.2萬
-物業、廠房及設備
----
----
----
-5.93%1.2億
-5.93%1.2億
----
----
----
20.57%1.28億
20.57%1.28億
-累計折舊
----
----
----
-12.51%-7,014.9萬
-12.51%-7,014.9萬
----
----
----
-24.91%-6,234.7萬
-24.91%-6,234.7萬
投資總額
----
----
----
--0
--0
----
----
----
--0
--0
-長期股權投資
----
----
----
--0
--0
----
----
----
--0
--0
商譽及其他無形資產
0.08%4.13億
0.17%4.13億
0.14%4.13億
0.12%4.13億
0.12%4.13億
-0.28%4.13億
-0.41%4.12億
-0.41%4.13億
-0.41%4.13億
-0.41%4.13億
-商譽
0.00%4.12億
0.00%4.12億
0.00%4.12億
0.00%4.12億
0.00%4.12億
0.00%4.12億
0.00%4.12億
0.00%4.12億
0.00%4.12億
0.00%4.12億
-其他無形資產
32.70%126.6萬
101.71%141.6萬
55.67%156.6萬
37.99%180.9萬
37.99%180.9萬
-54.87%95.4萬
-70.97%70.2萬
-63.06%100.6萬
-56.69%131.1萬
-56.69%131.1萬
非流動遞延所得稅資產
67.97%1,647.6萬
75.74%719.5萬
148.13%1,381.1萬
90.75%1,256.5萬
90.75%1,256.5萬
19.89%980.9萬
-51.26%409.4萬
-34.57%556.6萬
-15.68%658.7萬
-15.68%658.7萬
非流動資產合計
-0.53%4.73億
-1.72%4.67億
-1.09%4.74億
-1.84%4.76億
-1.84%4.76億
-3.20%4.76億
1.11%4.75億
1.02%4.79億
1.35%4.85億
1.35%4.85億
總資產
1.34%13.19億
0.14%11.82億
14.41%13.32億
0.43%11.96億
0.43%11.96億
-0.15%13.01億
-2.74%11.81億
-1.49%11.65億
-12.36%11.91億
-12.36%11.91億
負債
流動負債
金融負債
12.97%7.97億
-0.62%5.43億
32.61%7.73億
2.73%5.74億
2.73%5.74億
4.17%7.05億
-8.10%5.47億
-5.11%5.83億
-21.22%5.58億
-21.22%5.58億
-金融或其他衍生品投資負債
-74.23%519.9萬
3,328.80%857.2萬
932.94%351.2萬
417.06%418.3萬
417.06%418.3萬
3,864.24%2,017.8萬
-63.45%25萬
-75.75%34萬
-49.63%80.9萬
-49.63%80.9萬
-短期借款及資本租賃負債
15.53%7.92億
-2.15%5.35億
32.09%7.69億
2.13%5.69億
2.13%5.69億
1.26%6.85億
-8.04%5.47億
-4.95%5.82億
-21.15%5.58億
-21.15%5.58億
-其中:短期借款
15.85%7.8億
-1.88%5.23億
33.45%7.58億
2.76%5.58億
2.76%5.58億
1.51%6.73億
-8.58%5.33億
-5.33%5.68億
-21.87%5.43億
-21.87%5.43億
-其中:資本租賃負債
-1.98%1,205.3萬
-12.75%1,185.1萬
-22.30%1,106.7萬
-21.43%1,141.6萬
-21.43%1,141.6萬
-10.55%1,229.7萬
19.42%1,358.3萬
13.53%1,424.4萬
19.90%1,452.9萬
19.90%1,452.9萬
應付款項
-27.08%1.3億
-13.40%1.99億
-8.93%1.67億
-16.69%1.28億
-16.69%1.28億
-9.97%1.79億
0.56%2.3億
-4.50%1.83億
-18.53%1.54億
-18.53%1.54億
-應付帳款
-25.47%1.3億
-18.75%1.85億
-14.82%1.53億
-22.37%9,300.5萬
-22.37%9,300.5萬
-10.15%1.75億
13.60%2.28億
8.12%1.79億
12.52%1.2億
12.52%1.2億
-應交稅費
--0
580.59%1,395.9萬
273.43%1,395.9萬
672.07%1,395.9萬
672.07%1,395.9萬
-0.77%386.4萬
-92.69%205.1萬
-85.53%373.8萬
-95.42%180.8萬
-95.42%180.8萬
-其他應付款
----
----
----
-34.16%2,128.7萬
-34.16%2,128.7萬
----
----
----
-24.87%3,233.3萬
-24.87%3,233.3萬
現行撥備
----
----
----
89.31%2,383.8萬
89.31%2,383.8萬
----
----
----
-31.80%1,259.2萬
-31.80%1,259.2萬
應計及遞延所得
----
----
----
3.20%5,633.4萬
3.20%5,633.4萬
----
----
----
23.24%5,458.5萬
23.24%5,458.5萬
流動負債合計
4.86%9.27億
-4.41%7.43億
22.68%9.39億
0.33%7.82億
0.33%7.82億
0.96%8.84億
-5.70%7.77億
-4.96%7.66億
-18.84%7.79億
-18.84%7.79億
非流動負債
非流動金融負債
-19.76%2,214.7萬
-17.36%2,493.2萬
-19.64%2,485.7萬
-22.79%2,635.7萬
-22.79%2,635.7萬
-28.62%2,760.1萬
85.51%3,016.8萬
62.20%3,093.1萬
57.72%3,413.6萬
57.72%3,413.6萬
-長期借款及資本租賃
-19.76%2,214.7萬
-17.24%2,493.2萬
-19.64%2,485.7萬
-22.79%2,635.7萬
-22.79%2,635.7萬
-28.62%2,760.1萬
85.24%3,012.4萬
62.20%3,093.1萬
57.72%3,413.6萬
57.72%3,413.6萬
-其中:長期資本租賃負債
-19.76%2,214.7萬
-17.24%2,493.2萬
-19.64%2,485.7萬
-22.79%2,635.7萬
-22.79%2,635.7萬
-28.62%2,760.1萬
85.24%3,012.4萬
62.20%3,093.1萬
57.72%3,413.6萬
57.72%3,413.6萬
-衍生品負債
----
----
----
----
----
----
--4.4萬
----
----
----
非流動負債合計
-19.76%2,214.7萬
-17.36%2,493.2萬
-19.64%2,485.7萬
-22.79%2,635.7萬
-22.79%2,635.7萬
-28.62%2,760.1萬
85.51%3,016.8萬
62.20%3,093.1萬
57.72%3,413.6萬
57.72%3,413.6萬
負債總額
4.12%9.5億
-4.89%7.67億
21.04%9.64億
-0.64%8.08億
-0.64%8.08億
-0.29%9.12億
-3.93%8.07億
-3.41%7.97億
-17.16%8.14億
-17.16%8.14億
所有者權益
股本
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
-普通股
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
0.00%1.43億
留存收益
-11.95%2.29億
22.57%2.78億
3.63%2.27億
6.33%2.47億
6.33%2.47億
9.06%2.6億
0.82%2.27億
2.11%2.19億
-0.97%2.32億
-0.97%2.32億
其他儲備
78.91%-295.2萬
-244.27%-592.5萬
-124.49%-151萬
-150.61%-144.5萬
-150.61%-144.5萬
-302.18%-1,399.7萬
-33.88%410.7萬
3,904.55%616.7萬
1,640.85%285.5萬
1,640.85%285.5萬
股東權益
-5.16%3.69億
11.01%4.15億
0.08%3.68億
2.75%3.88億
2.75%3.88億
0.19%3.89億
-0.07%3.74億
2.95%3.68億
0.11%3.78億
0.11%3.78億
總權益
-5.16%3.69億
11.01%4.15億
0.08%3.68億
2.75%3.88億
2.75%3.88億
0.19%3.89億
-0.07%3.74億
2.95%3.68億
0.11%3.78億
0.11%3.78億
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 43.34%5,847.5萬-72.38%2,165.5萬-45.51%4,302.8萬27.06%3,538.5萬27.06%3,538.5萬-33.84%4,079.5萬426.34%7,839.3萬-38.87%7,896.9萬67.40%2,784.9萬67.40%2,784.9萬
-現金及現金等價物 43.34%5,847.5萬-72.38%2,165.5萬-45.51%4,302.8萬27.06%3,538.5萬27.06%3,538.5萬-33.84%4,079.5萬426.34%7,839.3萬-38.87%7,896.9萬67.40%2,784.9萬67.40%2,784.9萬
-其中:現金 43.34%5,847.5萬-72.38%2,165.5萬-45.51%4,302.8萬27.06%3,538.5萬27.06%3,538.5萬-33.84%4,079.5萬426.34%7,839.3萬-38.87%7,896.9萬67.40%2,784.9萬67.40%2,784.9萬
應收款項 6.02%7.15億15.04%6.58億37.54%7.1億6.92%6.69億6.92%6.69億6.12%6.75億-16.56%5.72億3.01%5.16億-17.74%6.26億-17.74%6.26億
-應收賬款淨額 6.02%7.15億15.04%6.58億37.54%7.1億5.81%6.49億5.81%6.49億6.12%6.75億-16.56%5.72億3.01%5.16億-17.09%6.13億-17.09%6.13億
-其中:應收賬款 ------------5.81%6.5億5.81%6.5億-------------17.07%6.14億-17.07%6.14億
-其中:壞賬準備 -------------5.58%-85.1萬-5.58%-85.1萬------------7.46%-80.6萬7.46%-80.6萬
-其他應收款 ------------60.26%2,031.4萬60.26%2,031.4萬-------------40.47%1,267.6萬-40.47%1,267.6萬
存貨 -41.87%5,830.5萬-31.93%2,666.9萬34.70%9,719萬-76.54%1,053.8萬-76.54%1,053.8萬-1.21%1億21.22%3,917.8萬-1.71%7,215.2萬-19.77%4,491萬-19.77%4,491萬
稅項資產 55.13%1,309.1萬-20.68%816.9萬-36.74%585.3萬-3.27%224.5萬-3.27%224.5萬175.60%843.9萬350.33%1,029.9萬303.71%925.3萬6.91%232.1萬6.91%232.1萬
套期保值資產 -60.64%63.1萬-80.88%113萬-74.50%221.1萬-46.48%264.9萬-46.48%264.9萬-83.99%160.3萬-36.07%591.1萬423.99%867.2萬156.74%495萬156.74%495萬
流動資產合計 2.42%8.46億1.40%7.16億25.25%8.58億1.99%7.2億1.99%7.2億1.70%8.26億-5.17%7.06億-3.17%6.85億-19.82%7.06億-19.82%7.06億
非流動資產
物業廠房及設備淨額 -17.83%4,367.5萬-20.55%4,631.9萬-22.97%4,701.8萬-23.43%5,029.9萬-23.43%5,029.9萬-23.33%5,315.5萬23.81%5,830萬18.44%6,104萬16.72%6,569.2萬16.72%6,569.2萬
-物業、廠房及設備 -------------5.93%1.2億-5.93%1.2億------------20.57%1.28億20.57%1.28億
-累計折舊 -------------12.51%-7,014.9萬-12.51%-7,014.9萬-------------24.91%-6,234.7萬-24.91%-6,234.7萬
投資總額 --------------0--0--------------0--0
-長期股權投資 --------------0--0--------------0--0
商譽及其他無形資產 0.08%4.13億0.17%4.13億0.14%4.13億0.12%4.13億0.12%4.13億-0.28%4.13億-0.41%4.12億-0.41%4.13億-0.41%4.13億-0.41%4.13億
-商譽 0.00%4.12億0.00%4.12億0.00%4.12億0.00%4.12億0.00%4.12億0.00%4.12億0.00%4.12億0.00%4.12億0.00%4.12億0.00%4.12億
-其他無形資產 32.70%126.6萬101.71%141.6萬55.67%156.6萬37.99%180.9萬37.99%180.9萬-54.87%95.4萬-70.97%70.2萬-63.06%100.6萬-56.69%131.1萬-56.69%131.1萬
非流動遞延所得稅資產 67.97%1,647.6萬75.74%719.5萬148.13%1,381.1萬90.75%1,256.5萬90.75%1,256.5萬19.89%980.9萬-51.26%409.4萬-34.57%556.6萬-15.68%658.7萬-15.68%658.7萬
非流動資產合計 -0.53%4.73億-1.72%4.67億-1.09%4.74億-1.84%4.76億-1.84%4.76億-3.20%4.76億1.11%4.75億1.02%4.79億1.35%4.85億1.35%4.85億
總資產 1.34%13.19億0.14%11.82億14.41%13.32億0.43%11.96億0.43%11.96億-0.15%13.01億-2.74%11.81億-1.49%11.65億-12.36%11.91億-12.36%11.91億
負債
流動負債
金融負債 12.97%7.97億-0.62%5.43億32.61%7.73億2.73%5.74億2.73%5.74億4.17%7.05億-8.10%5.47億-5.11%5.83億-21.22%5.58億-21.22%5.58億
-金融或其他衍生品投資負債 -74.23%519.9萬3,328.80%857.2萬932.94%351.2萬417.06%418.3萬417.06%418.3萬3,864.24%2,017.8萬-63.45%25萬-75.75%34萬-49.63%80.9萬-49.63%80.9萬
-短期借款及資本租賃負債 15.53%7.92億-2.15%5.35億32.09%7.69億2.13%5.69億2.13%5.69億1.26%6.85億-8.04%5.47億-4.95%5.82億-21.15%5.58億-21.15%5.58億
-其中:短期借款 15.85%7.8億-1.88%5.23億33.45%7.58億2.76%5.58億2.76%5.58億1.51%6.73億-8.58%5.33億-5.33%5.68億-21.87%5.43億-21.87%5.43億
-其中:資本租賃負債 -1.98%1,205.3萬-12.75%1,185.1萬-22.30%1,106.7萬-21.43%1,141.6萬-21.43%1,141.6萬-10.55%1,229.7萬19.42%1,358.3萬13.53%1,424.4萬19.90%1,452.9萬19.90%1,452.9萬
應付款項 -27.08%1.3億-13.40%1.99億-8.93%1.67億-16.69%1.28億-16.69%1.28億-9.97%1.79億0.56%2.3億-4.50%1.83億-18.53%1.54億-18.53%1.54億
-應付帳款 -25.47%1.3億-18.75%1.85億-14.82%1.53億-22.37%9,300.5萬-22.37%9,300.5萬-10.15%1.75億13.60%2.28億8.12%1.79億12.52%1.2億12.52%1.2億
-應交稅費 --0580.59%1,395.9萬273.43%1,395.9萬672.07%1,395.9萬672.07%1,395.9萬-0.77%386.4萬-92.69%205.1萬-85.53%373.8萬-95.42%180.8萬-95.42%180.8萬
-其他應付款 -------------34.16%2,128.7萬-34.16%2,128.7萬-------------24.87%3,233.3萬-24.87%3,233.3萬
現行撥備 ------------89.31%2,383.8萬89.31%2,383.8萬-------------31.80%1,259.2萬-31.80%1,259.2萬
應計及遞延所得 ------------3.20%5,633.4萬3.20%5,633.4萬------------23.24%5,458.5萬23.24%5,458.5萬
流動負債合計 4.86%9.27億-4.41%7.43億22.68%9.39億0.33%7.82億0.33%7.82億0.96%8.84億-5.70%7.77億-4.96%7.66億-18.84%7.79億-18.84%7.79億
非流動負債
非流動金融負債 -19.76%2,214.7萬-17.36%2,493.2萬-19.64%2,485.7萬-22.79%2,635.7萬-22.79%2,635.7萬-28.62%2,760.1萬85.51%3,016.8萬62.20%3,093.1萬57.72%3,413.6萬57.72%3,413.6萬
-長期借款及資本租賃 -19.76%2,214.7萬-17.24%2,493.2萬-19.64%2,485.7萬-22.79%2,635.7萬-22.79%2,635.7萬-28.62%2,760.1萬85.24%3,012.4萬62.20%3,093.1萬57.72%3,413.6萬57.72%3,413.6萬
-其中:長期資本租賃負債 -19.76%2,214.7萬-17.24%2,493.2萬-19.64%2,485.7萬-22.79%2,635.7萬-22.79%2,635.7萬-28.62%2,760.1萬85.24%3,012.4萬62.20%3,093.1萬57.72%3,413.6萬57.72%3,413.6萬
-衍生品負債 --------------------------4.4萬------------
非流動負債合計 -19.76%2,214.7萬-17.36%2,493.2萬-19.64%2,485.7萬-22.79%2,635.7萬-22.79%2,635.7萬-28.62%2,760.1萬85.51%3,016.8萬62.20%3,093.1萬57.72%3,413.6萬57.72%3,413.6萬
負債總額 4.12%9.5億-4.89%7.67億21.04%9.64億-0.64%8.08億-0.64%8.08億-0.29%9.12億-3.93%8.07億-3.41%7.97億-17.16%8.14億-17.16%8.14億
所有者權益
股本 0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億
-普通股 0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億0.00%1.43億
留存收益 -11.95%2.29億22.57%2.78億3.63%2.27億6.33%2.47億6.33%2.47億9.06%2.6億0.82%2.27億2.11%2.19億-0.97%2.32億-0.97%2.32億
其他儲備 78.91%-295.2萬-244.27%-592.5萬-124.49%-151萬-150.61%-144.5萬-150.61%-144.5萬-302.18%-1,399.7萬-33.88%410.7萬3,904.55%616.7萬1,640.85%285.5萬1,640.85%285.5萬
股東權益 -5.16%3.69億11.01%4.15億0.08%3.68億2.75%3.88億2.75%3.88億0.19%3.89億-0.07%3.74億2.95%3.68億0.11%3.78億0.11%3.78億
總權益 -5.16%3.69億11.01%4.15億0.08%3.68億2.75%3.88億2.75%3.88億0.19%3.89億-0.07%3.74億2.95%3.68億0.11%3.78億0.11%3.78億
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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