馬來西亞市場個股詳情

MALPAC (4936)

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  • 0.720
  • 0.0000.00%
延時15分鐘行情已收盤 12/08 16:44 (北京)
5400.00萬總市值-80.00市盈率TTM

4936 MALPAC

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2025/09/30
(FY)2025/06/30
(Q4)2025/06/30
(Q3)2025/03/31
(Q2)2024/12/31
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
(Q2)2023/12/31
資產
流動資產
現金及現金等價物與短期投資
-6.61%9,238.8萬
-9.18%7,826.87萬
-9.18%7,826.87萬
-3.43%9,215.5萬
-3.78%9,202.9萬
3.48%9,892.2萬
3.84%8,618.06萬
3.84%8,618.06萬
-0.48%9,542.6萬
-0.15%9,564.6萬
-現金及現金等價物
-15.34%4,529萬
-71.37%78.6萬
-71.37%78.6萬
-39.38%4,569.2萬
-41.97%5,271.4萬
-41.75%5,349.8萬
354.77%274.49萬
354.77%274.49萬
-16.18%7,536.9萬
1.81%9,083.4萬
-其中:現金
----
-71.37%78.6萬
-71.37%78.6萬
----
----
----
354.77%274.49萬
354.77%274.49萬
----
----
-短期投資
3.69%4,709.8萬
-7.13%7,748.27萬
-7.13%7,748.27萬
131.65%4,646.3萬
717.02%3,931.5萬
1,109.69%4,542.4萬
1.27%8,343.57萬
1.27%8,343.57萬
236.13%2,005.7萬
-26.80%481.2萬
應收款項
-1.13%1,571.7萬
4.84%1,641.44萬
4.84%1,641.44萬
-0.30%1,572.3萬
-0.05%1,571.9萬
1.07%1,589.6萬
0.28%1,565.63萬
0.28%1,565.63萬
0.32%1,577萬
0.05%1,572.7萬
-應收賬款淨額
-1.13%1,571.7萬
--0
--0
-0.30%1,572.3萬
-0.05%1,571.9萬
1.07%1,589.6萬
--0
--0
0.32%1,577萬
0.05%1,572.7萬
-其中:應收賬款
----
0.00%258.1萬
0.00%258.1萬
----
----
----
0.00%258.1萬
0.00%258.1萬
----
----
-其中:壞賬準備
----
0.00%-258.1萬
0.00%-258.1萬
----
----
----
0.00%-258.1萬
0.00%-258.1萬
----
----
-其他應收款
----
4.84%1,641.44萬
4.84%1,641.44萬
----
----
----
0.28%1,565.63萬
0.28%1,565.63萬
----
----
預付費用
----
0.21%10.72萬
0.21%10.72萬
----
----
----
0.00%10.7萬
0.00%10.7萬
----
----
受限制現金
----
3.92%1,254.69萬
3.92%1,254.69萬
----
----
----
-3.07%1,207.33萬
-3.07%1,207.33萬
----
----
稅項資產
9.87%16.7萬
51.68%12.99萬
51.68%12.99萬
51.94%31.3萬
141.67%29萬
162.07%15.2萬
379.29%8.56萬
379.29%8.56萬
58.46%20.6萬
79.10%12萬
持有待售資產
----
0.00%92.68萬
0.00%92.68萬
----
----
----
0.00%92.68萬
0.00%92.68萬
----
----
流動資產合計
-5.83%1.08億
-5.77%1.08億
-5.77%1.08億
-2.88%1.08億
-3.10%1.08億
2.37%1.15億
2.60%1.15億
2.60%1.15億
-0.30%1.11億
-0.08%1.11億
非流動資產
物業廠房及設備淨額
-23.97%33.3萬
-22.59%35.92萬
-22.59%35.92萬
342.53%38.5萬
384.71%41.2萬
381.32%43.8萬
356.97%46.41萬
356.97%46.41萬
-23.68%8.7萬
-33.07%8.5萬
-物業、廠房及設備
----
0.00%93.53萬
0.00%93.53萬
----
----
----
-37.08%93.53萬
-37.08%93.53萬
----
----
-累計折舊
----
-22.25%-57.6萬
-22.25%-57.6萬
----
----
----
65.98%-47.12萬
65.98%-47.12萬
----
----
投資物業
-0.28%5,953.1萬
-0.28%5,957.24萬
-0.28%5,957.24萬
-0.28%5,961.4萬
-0.28%5,965.6萬
-0.28%5,969.7萬
-0.28%5,973.87萬
-0.28%5,973.87萬
-1.81%5,978萬
-1.81%5,982.2萬
投資總額
-8.90%1,309.7萬
-17.06%1,261.75萬
-17.06%1,261.75萬
5.12%1,427萬
24.44%1,321.6萬
29.72%1,437.6萬
41.41%1,521.36萬
41.41%1,521.36萬
14.91%1,357.5萬
-11.97%1,062萬
-長期股權投資
----
--0
--0
----
----
----
--0
--0
----
----
-金融資產投資
-8.90%1,309.7萬
-17.06%1,261.75萬
-17.06%1,261.75萬
5.12%1,427萬
24.44%1,321.6萬
29.72%1,437.6萬
41.41%1,521.36萬
41.41%1,521.36萬
14.91%1,357.5萬
-11.97%1,062萬
-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
-8.90%1,309.7萬
-17.06%1,261.75萬
-17.06%1,261.75萬
5.12%1,427萬
24.44%1,321.6萬
29.72%1,437.6萬
41.41%1,521.36萬
41.41%1,521.36萬
14.91%1,357.5萬
-11.97%1,062萬
商譽及其他無形資產
0.00%9,000
0.00%8,931
0.00%8,931
0.00%9,000
0.00%9,000
0.00%9,000
0.00%8,931
0.00%8,931
0.00%9,000
0.00%9,000
-商譽
0.00%9,000
0.00%8,931
0.00%8,931
0.00%9,000
0.00%9,000
0.00%9,000
0.00%8,931
0.00%8,931
0.00%9,000
0.00%9,000
長期持有待售資產
0.00%92.7萬
--92.7萬
--92.7萬
1.76%92.7萬
1.20%92.7萬
--92.7萬
----
----
--91.1萬
--91.6萬
非流動資產合計
-2.05%7,389.7萬
-3.80%7,255.81萬
-3.80%7,255.81萬
1.13%7,520.5萬
3.87%7,422萬
6.20%7,544.7萬
6.57%7,542.54萬
6.57%7,542.54萬
2.12%7,436.2萬
-2.29%7,145.2萬
總資產
-4.33%1.82億
-4.99%1.81億
-4.99%1.81億
-1.27%1.83億
-0.38%1.82億
3.86%1.9億
4.14%1.9億
4.14%1.9億
0.66%1.86億
-0.95%1.83億
負債
流動負債
金融負債
-1.58%430.5萬
-0.69%442.11萬
-0.69%442.11萬
-5.63%445.8萬
-11.76%433.5萬
-8.24%437.4萬
-8.87%445.18萬
-8.87%445.18萬
-5.77%472.4萬
-2.67%491.3萬
-短期借款及資本租賃負債
-1.58%430.5萬
-0.69%442.11萬
-0.69%442.11萬
-5.63%445.8萬
-11.76%433.5萬
-8.24%437.4萬
-8.87%445.18萬
-8.87%445.18萬
-5.77%472.4萬
-2.67%491.3萬
-其中:短期借款
-1.58%430.5萬
-0.69%442.11萬
-0.69%442.11萬
-5.63%445.8萬
-11.76%433.5萬
-8.24%437.4萬
-8.87%445.18萬
-8.87%445.18萬
-5.77%472.4萬
-2.67%491.3萬
應付款項
-10.75%135.3萬
94.06%70.6萬
94.06%70.6萬
-43.69%108.9萬
-33.58%133.3萬
-33.04%151.6萬
-78.10%36.38萬
-78.10%36.38萬
10.20%193.4萬
5.97%200.7萬
-應付帳款
-10.75%135.3萬
--135.4萬
--135.4萬
-43.04%108.9萬
-31.99%133.3萬
-31.40%151.6萬
----
----
8.95%191.2萬
3.48%196萬
-應交稅費
--0
-99.97%47
-99.97%47
--0
--0
--0
52.45%17.49萬
52.45%17.49萬
--2.2萬
--4.7萬
-其他應付款
----
273.71%70.59萬
273.71%70.59萬
----
----
----
-87.79%18.89萬
-87.79%18.89萬
----
----
現行撥備
2.24%301.3萬
2.25%299.63萬
2.25%299.63萬
19.87%298萬
20.01%296.3萬
20.14%294.7萬
2.30%293.05萬
2.30%293.05萬
-30.44%248.6萬
-34.14%246.9萬
應計及遞延所得
----
5.09%64.83萬
5.09%64.83萬
----
----
----
-2.79%61.69萬
-2.79%61.69萬
----
----
流動負債合計
-1.88%867.1萬
4.89%877.17萬
4.89%877.17萬
-6.75%852.7萬
-8.07%863.1萬
-6.82%883.7萬
-16.75%836.3萬
-16.75%836.3萬
-11.58%914.4萬
-12.18%938.9萬
非流動負債
長期撥備
11.24%27.7萬
10.95%27.29萬
10.95%27.29萬
10.78%25.7萬
10.96%25.3萬
10.67%24.9萬
10.91%24.6萬
10.91%24.6萬
11.00%23.2萬
10.68%22.8萬
非流動負債合計
11.24%27.7萬
10.95%27.29萬
10.95%27.29萬
10.78%25.7萬
10.96%25.3萬
10.67%24.9萬
10.91%24.6萬
10.91%24.6萬
11.00%23.2萬
10.68%22.8萬
負債總額
-1.52%894.8萬
5.06%904.46萬
5.06%904.46萬
-6.31%878.4萬
-7.62%888.4萬
-6.42%908.6萬
-16.15%860.9萬
-16.15%860.9萬
-11.14%937.6萬
-11.75%961.7萬
所有者權益
股本
0.00%9,936.7萬
0.00%9,936.66萬
0.00%9,936.66萬
0.00%9,936.7萬
0.00%9,936.7萬
0.00%9,936.7萬
0.00%9,936.66萬
0.00%9,936.66萬
0.00%9,936.7萬
0.00%9,936.7萬
-普通股
0.00%9,936.7萬
0.00%9,936.66萬
0.00%9,936.66萬
0.00%9,936.7萬
0.00%9,936.7萬
0.00%9,936.7萬
0.00%9,936.66萬
0.00%9,936.66萬
0.00%9,936.7萬
0.00%9,936.7萬
留存收益
-9.89%7,385.4萬
-12.05%7,254.08萬
-12.05%7,254.08萬
-2.31%7,524.5萬
0.06%7,400.7萬
10.36%8,196.4萬
12.59%8,247.95萬
12.59%8,247.95萬
3.20%7,702.1萬
-0.64%7,396.1萬
股東權益
-4.47%1.73億
-5.47%1.72億
-5.47%1.72億
-1.01%1.75億
0.03%1.73億
4.43%1.81億
5.34%1.82億
5.34%1.82億
1.37%1.76億
-0.28%1.73億
總權益
-4.47%1.73億
-5.47%1.72億
-5.47%1.72億
-1.01%1.75億
0.03%1.73億
4.43%1.81億
5.34%1.82億
5.34%1.82億
1.37%1.76億
-0.28%1.73億
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q1)2025/09/30(FY)2025/06/30(Q4)2025/06/30(Q3)2025/03/31(Q2)2024/12/31(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31(Q2)2023/12/31
資產
流動資產
現金及現金等價物與短期投資 -6.61%9,238.8萬-9.18%7,826.87萬-9.18%7,826.87萬-3.43%9,215.5萬-3.78%9,202.9萬3.48%9,892.2萬3.84%8,618.06萬3.84%8,618.06萬-0.48%9,542.6萬-0.15%9,564.6萬
-現金及現金等價物 -15.34%4,529萬-71.37%78.6萬-71.37%78.6萬-39.38%4,569.2萬-41.97%5,271.4萬-41.75%5,349.8萬354.77%274.49萬354.77%274.49萬-16.18%7,536.9萬1.81%9,083.4萬
-其中:現金 -----71.37%78.6萬-71.37%78.6萬------------354.77%274.49萬354.77%274.49萬--------
-短期投資 3.69%4,709.8萬-7.13%7,748.27萬-7.13%7,748.27萬131.65%4,646.3萬717.02%3,931.5萬1,109.69%4,542.4萬1.27%8,343.57萬1.27%8,343.57萬236.13%2,005.7萬-26.80%481.2萬
應收款項 -1.13%1,571.7萬4.84%1,641.44萬4.84%1,641.44萬-0.30%1,572.3萬-0.05%1,571.9萬1.07%1,589.6萬0.28%1,565.63萬0.28%1,565.63萬0.32%1,577萬0.05%1,572.7萬
-應收賬款淨額 -1.13%1,571.7萬--0--0-0.30%1,572.3萬-0.05%1,571.9萬1.07%1,589.6萬--0--00.32%1,577萬0.05%1,572.7萬
-其中:應收賬款 ----0.00%258.1萬0.00%258.1萬------------0.00%258.1萬0.00%258.1萬--------
-其中:壞賬準備 ----0.00%-258.1萬0.00%-258.1萬------------0.00%-258.1萬0.00%-258.1萬--------
-其他應收款 ----4.84%1,641.44萬4.84%1,641.44萬------------0.28%1,565.63萬0.28%1,565.63萬--------
預付費用 ----0.21%10.72萬0.21%10.72萬------------0.00%10.7萬0.00%10.7萬--------
受限制現金 ----3.92%1,254.69萬3.92%1,254.69萬-------------3.07%1,207.33萬-3.07%1,207.33萬--------
稅項資產 9.87%16.7萬51.68%12.99萬51.68%12.99萬51.94%31.3萬141.67%29萬162.07%15.2萬379.29%8.56萬379.29%8.56萬58.46%20.6萬79.10%12萬
持有待售資產 ----0.00%92.68萬0.00%92.68萬------------0.00%92.68萬0.00%92.68萬--------
流動資產合計 -5.83%1.08億-5.77%1.08億-5.77%1.08億-2.88%1.08億-3.10%1.08億2.37%1.15億2.60%1.15億2.60%1.15億-0.30%1.11億-0.08%1.11億
非流動資產
物業廠房及設備淨額 -23.97%33.3萬-22.59%35.92萬-22.59%35.92萬342.53%38.5萬384.71%41.2萬381.32%43.8萬356.97%46.41萬356.97%46.41萬-23.68%8.7萬-33.07%8.5萬
-物業、廠房及設備 ----0.00%93.53萬0.00%93.53萬-------------37.08%93.53萬-37.08%93.53萬--------
-累計折舊 -----22.25%-57.6萬-22.25%-57.6萬------------65.98%-47.12萬65.98%-47.12萬--------
投資物業 -0.28%5,953.1萬-0.28%5,957.24萬-0.28%5,957.24萬-0.28%5,961.4萬-0.28%5,965.6萬-0.28%5,969.7萬-0.28%5,973.87萬-0.28%5,973.87萬-1.81%5,978萬-1.81%5,982.2萬
投資總額 -8.90%1,309.7萬-17.06%1,261.75萬-17.06%1,261.75萬5.12%1,427萬24.44%1,321.6萬29.72%1,437.6萬41.41%1,521.36萬41.41%1,521.36萬14.91%1,357.5萬-11.97%1,062萬
-長期股權投資 ------0--0--------------0--0--------
-金融資產投資 -8.90%1,309.7萬-17.06%1,261.75萬-17.06%1,261.75萬5.12%1,427萬24.44%1,321.6萬29.72%1,437.6萬41.41%1,521.36萬41.41%1,521.36萬14.91%1,357.5萬-11.97%1,062萬
-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 -8.90%1,309.7萬-17.06%1,261.75萬-17.06%1,261.75萬5.12%1,427萬24.44%1,321.6萬29.72%1,437.6萬41.41%1,521.36萬41.41%1,521.36萬14.91%1,357.5萬-11.97%1,062萬
商譽及其他無形資產 0.00%9,0000.00%8,9310.00%8,9310.00%9,0000.00%9,0000.00%9,0000.00%8,9310.00%8,9310.00%9,0000.00%9,000
-商譽 0.00%9,0000.00%8,9310.00%8,9310.00%9,0000.00%9,0000.00%9,0000.00%8,9310.00%8,9310.00%9,0000.00%9,000
長期持有待售資產 0.00%92.7萬--92.7萬--92.7萬1.76%92.7萬1.20%92.7萬--92.7萬----------91.1萬--91.6萬
非流動資產合計 -2.05%7,389.7萬-3.80%7,255.81萬-3.80%7,255.81萬1.13%7,520.5萬3.87%7,422萬6.20%7,544.7萬6.57%7,542.54萬6.57%7,542.54萬2.12%7,436.2萬-2.29%7,145.2萬
總資產 -4.33%1.82億-4.99%1.81億-4.99%1.81億-1.27%1.83億-0.38%1.82億3.86%1.9億4.14%1.9億4.14%1.9億0.66%1.86億-0.95%1.83億
負債
流動負債
金融負債 -1.58%430.5萬-0.69%442.11萬-0.69%442.11萬-5.63%445.8萬-11.76%433.5萬-8.24%437.4萬-8.87%445.18萬-8.87%445.18萬-5.77%472.4萬-2.67%491.3萬
-短期借款及資本租賃負債 -1.58%430.5萬-0.69%442.11萬-0.69%442.11萬-5.63%445.8萬-11.76%433.5萬-8.24%437.4萬-8.87%445.18萬-8.87%445.18萬-5.77%472.4萬-2.67%491.3萬
-其中:短期借款 -1.58%430.5萬-0.69%442.11萬-0.69%442.11萬-5.63%445.8萬-11.76%433.5萬-8.24%437.4萬-8.87%445.18萬-8.87%445.18萬-5.77%472.4萬-2.67%491.3萬
應付款項 -10.75%135.3萬94.06%70.6萬94.06%70.6萬-43.69%108.9萬-33.58%133.3萬-33.04%151.6萬-78.10%36.38萬-78.10%36.38萬10.20%193.4萬5.97%200.7萬
-應付帳款 -10.75%135.3萬--135.4萬--135.4萬-43.04%108.9萬-31.99%133.3萬-31.40%151.6萬--------8.95%191.2萬3.48%196萬
-應交稅費 --0-99.97%47-99.97%47--0--0--052.45%17.49萬52.45%17.49萬--2.2萬--4.7萬
-其他應付款 ----273.71%70.59萬273.71%70.59萬-------------87.79%18.89萬-87.79%18.89萬--------
現行撥備 2.24%301.3萬2.25%299.63萬2.25%299.63萬19.87%298萬20.01%296.3萬20.14%294.7萬2.30%293.05萬2.30%293.05萬-30.44%248.6萬-34.14%246.9萬
應計及遞延所得 ----5.09%64.83萬5.09%64.83萬-------------2.79%61.69萬-2.79%61.69萬--------
流動負債合計 -1.88%867.1萬4.89%877.17萬4.89%877.17萬-6.75%852.7萬-8.07%863.1萬-6.82%883.7萬-16.75%836.3萬-16.75%836.3萬-11.58%914.4萬-12.18%938.9萬
非流動負債
長期撥備 11.24%27.7萬10.95%27.29萬10.95%27.29萬10.78%25.7萬10.96%25.3萬10.67%24.9萬10.91%24.6萬10.91%24.6萬11.00%23.2萬10.68%22.8萬
非流動負債合計 11.24%27.7萬10.95%27.29萬10.95%27.29萬10.78%25.7萬10.96%25.3萬10.67%24.9萬10.91%24.6萬10.91%24.6萬11.00%23.2萬10.68%22.8萬
負債總額 -1.52%894.8萬5.06%904.46萬5.06%904.46萬-6.31%878.4萬-7.62%888.4萬-6.42%908.6萬-16.15%860.9萬-16.15%860.9萬-11.14%937.6萬-11.75%961.7萬
所有者權益
股本 0.00%9,936.7萬0.00%9,936.66萬0.00%9,936.66萬0.00%9,936.7萬0.00%9,936.7萬0.00%9,936.7萬0.00%9,936.66萬0.00%9,936.66萬0.00%9,936.7萬0.00%9,936.7萬
-普通股 0.00%9,936.7萬0.00%9,936.66萬0.00%9,936.66萬0.00%9,936.7萬0.00%9,936.7萬0.00%9,936.7萬0.00%9,936.66萬0.00%9,936.66萬0.00%9,936.7萬0.00%9,936.7萬
留存收益 -9.89%7,385.4萬-12.05%7,254.08萬-12.05%7,254.08萬-2.31%7,524.5萬0.06%7,400.7萬10.36%8,196.4萬12.59%8,247.95萬12.59%8,247.95萬3.20%7,702.1萬-0.64%7,396.1萬
股東權益 -4.47%1.73億-5.47%1.72億-5.47%1.72億-1.01%1.75億0.03%1.73億4.43%1.81億5.34%1.82億5.34%1.82億1.37%1.76億-0.28%1.73億
總權益 -4.47%1.73億-5.47%1.72億-5.47%1.72億-1.01%1.75億0.03%1.73億4.43%1.81億5.34%1.82億5.34%1.82億1.37%1.76億-0.28%1.73億
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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