馬來西亞市場個股詳情

RCECAP (9296)

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  • 1.190
  • +0.040+3.48%
延時15分鐘行情休市中 01/16 16:56 (北京)
17.47億總市值17.00市盈率TTM

9296 RCECAP

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2025/09/30
(Q1)2025/06/30
(FY)2025/03/31
(Q4)2025/03/31
(Q3)2024/12/31
(Q2)2024/09/30
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
經營活動現金流量(間接法)
經營活動產生的現金
21.12%5,517.1萬
-49.49%3,651.7萬
86.35%1.59億
-102.75%-100.66萬
30.49%4,188.8萬
2,722.34%4,555萬
298.18%7,229.8萬
155.13%8,517.71萬
848.85%3,665.71萬
14.78%3,210萬
扣除非現金調整前淨利潤
9.00%4,139.5萬
-12.22%3,550.3萬
-20.73%1.47億
-30.40%2,723.79萬
-10.83%4,087.1萬
-25.37%3,797.6萬
-17.44%4,044.6萬
0.49%1.85億
-15.73%3,913.42萬
-0.47%4,583.6萬
非現金項目調整總額
-36.94%349.1萬
217.48%619.4萬
304.58%3,972.06萬
709.41%2,844.86萬
-44.76%378.5萬
1,135.71%553.6萬
295.69%195.1萬
-39.20%981.77萬
20.77%351.47萬
73.64%685.2萬
-折舊與攤銷
39.34%143.1萬
23.77%130.7萬
17.65%447.28萬
22.30%126.68萬
18.09%112.3萬
13.98%102.7萬
15.54%105.6萬
6.16%380.18萬
13.30%103.58萬
2.81%95.1萬
-在損益中確認的減值損失回撥
----
----
12,565,795.57%1,985.41萬
12,018,327.22%1,898.91萬
----
----
----
-39.92%158
--158
----
-資產準備金與勾銷
-17.43%525.3萬
46.12%1,132萬
24.06%3,750.41萬
45.50%1,501.61萬
0.68%837.9萬
-7.42%636.2萬
64.24%774.7萬
5.38%3,023.14萬
26.59%1,032.04萬
52.06%832.2萬
-處置利潤
9.05%-666.6萬
6.13%-648.2萬
--0
--2,088.1萬
---664.7萬
---732.9萬
---690.5萬
78.73%-4.4萬
----
----
-以股票支付的報酬
----
----
13.66%539.55萬
----
----
----
----
65.59%474.72萬
----
----
-養老金及員工福利費用
-33.78%343.4萬
--0
----
----
--0
--518.6萬
--21萬
----
----
--474.7萬
-其他非現金項目
100.55%3.9萬
100.69%4.9萬
4.89%-2,750.6萬
-255.28%-2,770.4萬
299.48%1,429.9萬
3.90%-703.9萬
-6.55%-706.2萬
-53.98%-2,891.89萬
-26.66%-779.79萬
-40.19%-716.8萬
營運資本變動
404.66%1,028.5萬
-117.32%-518萬
74.86%-2,752.2萬
-846.17%-5,669.3萬
86.56%-276.8萬
103.84%203.8萬
200.21%2,990.1萬
34.32%-1.09億
88.95%-599.18萬
6.55%-2,058.8萬
-應收款(增)減
11.71%770.6萬
-112.73%-337萬
71.10%-2,955.91萬
-4,534.87%-5,259.61萬
58.69%-1,034.3萬
114.22%689.8萬
188.54%2,648.2萬
40.69%-1.02億
102.43%118.6萬
26.03%-2,503.8萬
-應付款(減)增
153.07%257.9萬
-152.94%-181萬
128.20%203.71萬
42.92%-409.69萬
70.22%757.5萬
-6.35%-486萬
4,583.56%341.9萬
-226.31%-722.48萬
-33.44%-717.78萬
-62.34%445萬
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)
已付利息(經營活動產生的現金流)
已收到的利息(經營活動產生的現金流)
已支付退稅
-7.19%-1,364.8萬
14.74%-1,599.9萬
-13.19%-6,734.78萬
25.64%-2,230.78萬
-22.46%-1,354.2萬
-55.57%-1,273.3萬
-82.89%-1,876.5萬
-38.87%-5,950.24萬
-108.68%-2,999.94萬
-2.39%-1,105.8萬
其他經營現金流入(流出)
0
0
0
0
0
0
0
0
0
0
經營活動現金淨額
26.53%4,152.3萬
-61.67%2,051.8萬
255.92%9,138.17萬
-450.18%-2,331.43萬
34.71%2,834.6萬
430.75%3,281.7萬
577.89%5,353.3萬
371.33%2,567.48萬
134.55%665.78萬
22.57%2,104.2萬
投資活動現金流量
物業、廠房及設備交易淨額
61.00%-11.7萬
-60.58%-16.7萬
57.63%-111.13萬
89.72%-10.63萬
2.28%-60.1萬
65.08%-30萬
9.57%-10.4萬
-13.14%-262.28萬
-579.12%-103.38萬
18.97%-61.5萬
業務交易淨額
----
----
---2,176.22萬
--781
----
----
----
--0
--0
----
已收到的股息(投資活動產生的現金流)
----
----
--0
----
----
----
----
--0
----
----
已收到的利息(投資活動產生的現金流)
-99.89%8,000
-99.97%2,000
-4.93%2,774.37萬
-12.81%685.87萬
-8.29%664.9萬
-3.39%713.5萬
6.29%710.1萬
53.51%2,918.26萬
26.56%786.66萬
40.20%725萬
其他投資變動淨額
--666.6萬
-6.13%648.2萬
63,226.99%2,773.8萬
----
----
----
--690.5萬
82.47%-4.39萬
--60
----
投資活動現金淨額
-296.68%-1,344.3萬
-9.72%631.7萬
-81.63%487.02萬
-1.17%675.32萬
-338.43%-1,571.5萬
4.73%683.5萬
6.56%699.7萬
61.27%2,651.59萬
17.55%683.29萬
49.39%659.1萬
融資活動現金流量
債務發行/償還的淨額
12.35%-9,105萬
311.99%1.43億
-306.27%-6,451.73萬
-26.60%-8,225.23萬
82.87%8,702.8萬
-109.83%-1.04億
-64.76%3,459萬
-88.98%3,127.85萬
-639.83%-6,496.85萬
-79.56%4,759萬
普通股發行/回購的淨額
--0
99.98%-1,000
33.81%-761.88萬
97.16%-17.78萬
4,452.38%91.4萬
-1,513.50%-263萬
-13.03%-572.5萬
6.41%-1,151.04萬
-444.88%-626.14萬
99.81%-2.1萬
租賃融資增減
-0.58%-34.4萬
-5.61%-33.9萬
-4.80%-136.75萬
-12.50%-36.55萬
-3.35%-33.9萬
-7.21%-34.2萬
3.60%-32.1萬
-9.14%-130.49萬
1.42%-32.49萬
-8.61%-32.8萬
已支付現金股息
--0
-0.16%-5,138.1萬
13.27%-9,533.85萬
-219.32%-494
24.89%-4,403.8萬
--0
0.00%-5,130萬
44.44%-1.1億
-10.20%414
65.22%-5,862.8萬
已付利息(籌資活動產生的現金流)
50.00%-1.7萬
43.59%-2.2萬
32.15%-13.01萬
57.70%-1.81萬
17.02%-3.9萬
30.61%-3.4萬
26.42%-3.9萬
16.65%-19.17萬
27.63%-4.27萬
18.97%-4.7萬
其他籌資費用淨額
-158.57%-5,050.8萬
7.95%-2,938.2萬
114.30%1.03億
-27.07%4,639.65萬
116.37%183.9萬
78.04%8,623.9萬
39.74%-3,191.8萬
159.33%4,785.56萬
858.10%6,361.56萬
85.11%-1,123.4萬
融資活動現金淨額
-587.26%-1.42億
212.19%6,138.3萬
-51.63%-6,641.57萬
-356.28%-3,641.77萬
300.13%4,536.5萬
-1,189.01%-2,065萬
-373.75%-5,471.3萬
-416.29%-4,380.04萬
-478.92%-798.14萬
1.19%-2,266.8萬
現金淨流量
期初現金流
208.99%1.66億
62.31%7,772.3萬
21.24%4,788.71萬
208.42%1.31億
94.33%7,270.6萬
26.63%5,370.4萬
21.24%4,788.7萬
-3.67%3,949.68萬
-16.66%4,237.8萬
-28.34%3,741.3萬
現金變動
-699.09%-1.14億
1,416.55%8,821.8萬
255.61%2,983.62萬
-1,061.63%-5,297.88萬
1,068.10%5,799.6萬
480.19%1,900.2萬
99.62%581.7萬
657.64%839.03萬
148.53%550.93萬
464.81%496.5萬
期末現金
-28.34%5,210.2萬
208.99%1.66億
62.31%7,772.33萬
62.31%7,772.33萬
208.42%1.31億
94.33%7,270.6萬
26.63%5,370.4萬
21.24%4,788.71萬
21.24%4,788.71萬
-16.66%4,237.8萬
自由現金流
-34.17%2,140.6萬
-61.91%2,035.1萬
292.04%9,019.93萬
-521.00%-2,349.17萬
35.83%2,774.5萬
401.61%3,251.7萬
586.57%5,342.9萬
291.93%2,300.79萬
128.73%557.99萬
26.08%2,042.7萬
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)2025/09/30(Q1)2025/06/30(FY)2025/03/31(Q4)2025/03/31(Q3)2024/12/31(Q2)2024/09/30(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31
經營活動現金流量(間接法)
經營活動產生的現金 21.12%5,517.1萬-49.49%3,651.7萬86.35%1.59億-102.75%-100.66萬30.49%4,188.8萬2,722.34%4,555萬298.18%7,229.8萬155.13%8,517.71萬848.85%3,665.71萬14.78%3,210萬
扣除非現金調整前淨利潤 9.00%4,139.5萬-12.22%3,550.3萬-20.73%1.47億-30.40%2,723.79萬-10.83%4,087.1萬-25.37%3,797.6萬-17.44%4,044.6萬0.49%1.85億-15.73%3,913.42萬-0.47%4,583.6萬
非現金項目調整總額 -36.94%349.1萬217.48%619.4萬304.58%3,972.06萬709.41%2,844.86萬-44.76%378.5萬1,135.71%553.6萬295.69%195.1萬-39.20%981.77萬20.77%351.47萬73.64%685.2萬
-折舊與攤銷 39.34%143.1萬23.77%130.7萬17.65%447.28萬22.30%126.68萬18.09%112.3萬13.98%102.7萬15.54%105.6萬6.16%380.18萬13.30%103.58萬2.81%95.1萬
-在損益中確認的減值損失回撥 --------12,565,795.57%1,985.41萬12,018,327.22%1,898.91萬-------------39.92%158--158----
-資產準備金與勾銷 -17.43%525.3萬46.12%1,132萬24.06%3,750.41萬45.50%1,501.61萬0.68%837.9萬-7.42%636.2萬64.24%774.7萬5.38%3,023.14萬26.59%1,032.04萬52.06%832.2萬
-處置利潤 9.05%-666.6萬6.13%-648.2萬--0--2,088.1萬---664.7萬---732.9萬---690.5萬78.73%-4.4萬--------
-以股票支付的報酬 --------13.66%539.55萬----------------65.59%474.72萬--------
-養老金及員工福利費用 -33.78%343.4萬--0----------0--518.6萬--21萬----------474.7萬
-其他非現金項目 100.55%3.9萬100.69%4.9萬4.89%-2,750.6萬-255.28%-2,770.4萬299.48%1,429.9萬3.90%-703.9萬-6.55%-706.2萬-53.98%-2,891.89萬-26.66%-779.79萬-40.19%-716.8萬
營運資本變動 404.66%1,028.5萬-117.32%-518萬74.86%-2,752.2萬-846.17%-5,669.3萬86.56%-276.8萬103.84%203.8萬200.21%2,990.1萬34.32%-1.09億88.95%-599.18萬6.55%-2,058.8萬
-應收款(增)減 11.71%770.6萬-112.73%-337萬71.10%-2,955.91萬-4,534.87%-5,259.61萬58.69%-1,034.3萬114.22%689.8萬188.54%2,648.2萬40.69%-1.02億102.43%118.6萬26.03%-2,503.8萬
-應付款(減)增 153.07%257.9萬-152.94%-181萬128.20%203.71萬42.92%-409.69萬70.22%757.5萬-6.35%-486萬4,583.56%341.9萬-226.31%-722.48萬-33.44%-717.78萬-62.34%445萬
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)
已付利息(經營活動產生的現金流)
已收到的利息(經營活動產生的現金流)
已支付退稅 -7.19%-1,364.8萬14.74%-1,599.9萬-13.19%-6,734.78萬25.64%-2,230.78萬-22.46%-1,354.2萬-55.57%-1,273.3萬-82.89%-1,876.5萬-38.87%-5,950.24萬-108.68%-2,999.94萬-2.39%-1,105.8萬
其他經營現金流入(流出) 0000000000
經營活動現金淨額 26.53%4,152.3萬-61.67%2,051.8萬255.92%9,138.17萬-450.18%-2,331.43萬34.71%2,834.6萬430.75%3,281.7萬577.89%5,353.3萬371.33%2,567.48萬134.55%665.78萬22.57%2,104.2萬
投資活動現金流量
物業、廠房及設備交易淨額 61.00%-11.7萬-60.58%-16.7萬57.63%-111.13萬89.72%-10.63萬2.28%-60.1萬65.08%-30萬9.57%-10.4萬-13.14%-262.28萬-579.12%-103.38萬18.97%-61.5萬
業務交易淨額 -----------2,176.22萬--781--------------0--0----
已收到的股息(投資活動產生的現金流) ----------0------------------0--------
已收到的利息(投資活動產生的現金流) -99.89%8,000-99.97%2,000-4.93%2,774.37萬-12.81%685.87萬-8.29%664.9萬-3.39%713.5萬6.29%710.1萬53.51%2,918.26萬26.56%786.66萬40.20%725萬
其他投資變動淨額 --666.6萬-6.13%648.2萬63,226.99%2,773.8萬--------------690.5萬82.47%-4.39萬--60----
投資活動現金淨額 -296.68%-1,344.3萬-9.72%631.7萬-81.63%487.02萬-1.17%675.32萬-338.43%-1,571.5萬4.73%683.5萬6.56%699.7萬61.27%2,651.59萬17.55%683.29萬49.39%659.1萬
融資活動現金流量
債務發行/償還的淨額 12.35%-9,105萬311.99%1.43億-306.27%-6,451.73萬-26.60%-8,225.23萬82.87%8,702.8萬-109.83%-1.04億-64.76%3,459萬-88.98%3,127.85萬-639.83%-6,496.85萬-79.56%4,759萬
普通股發行/回購的淨額 --099.98%-1,00033.81%-761.88萬97.16%-17.78萬4,452.38%91.4萬-1,513.50%-263萬-13.03%-572.5萬6.41%-1,151.04萬-444.88%-626.14萬99.81%-2.1萬
租賃融資增減 -0.58%-34.4萬-5.61%-33.9萬-4.80%-136.75萬-12.50%-36.55萬-3.35%-33.9萬-7.21%-34.2萬3.60%-32.1萬-9.14%-130.49萬1.42%-32.49萬-8.61%-32.8萬
已支付現金股息 --0-0.16%-5,138.1萬13.27%-9,533.85萬-219.32%-49424.89%-4,403.8萬--00.00%-5,130萬44.44%-1.1億-10.20%41465.22%-5,862.8萬
已付利息(籌資活動產生的現金流) 50.00%-1.7萬43.59%-2.2萬32.15%-13.01萬57.70%-1.81萬17.02%-3.9萬30.61%-3.4萬26.42%-3.9萬16.65%-19.17萬27.63%-4.27萬18.97%-4.7萬
其他籌資費用淨額 -158.57%-5,050.8萬7.95%-2,938.2萬114.30%1.03億-27.07%4,639.65萬116.37%183.9萬78.04%8,623.9萬39.74%-3,191.8萬159.33%4,785.56萬858.10%6,361.56萬85.11%-1,123.4萬
融資活動現金淨額 -587.26%-1.42億212.19%6,138.3萬-51.63%-6,641.57萬-356.28%-3,641.77萬300.13%4,536.5萬-1,189.01%-2,065萬-373.75%-5,471.3萬-416.29%-4,380.04萬-478.92%-798.14萬1.19%-2,266.8萬
現金淨流量
期初現金流 208.99%1.66億62.31%7,772.3萬21.24%4,788.71萬208.42%1.31億94.33%7,270.6萬26.63%5,370.4萬21.24%4,788.7萬-3.67%3,949.68萬-16.66%4,237.8萬-28.34%3,741.3萬
現金變動 -699.09%-1.14億1,416.55%8,821.8萬255.61%2,983.62萬-1,061.63%-5,297.88萬1,068.10%5,799.6萬480.19%1,900.2萬99.62%581.7萬657.64%839.03萬148.53%550.93萬464.81%496.5萬
期末現金 -28.34%5,210.2萬208.99%1.66億62.31%7,772.33萬62.31%7,772.33萬208.42%1.31億94.33%7,270.6萬26.63%5,370.4萬21.24%4,788.71萬21.24%4,788.71萬-16.66%4,237.8萬
自由現金流 -34.17%2,140.6萬-61.91%2,035.1萬292.04%9,019.93萬-521.00%-2,349.17萬35.83%2,774.5萬401.61%3,251.7萬586.57%5,342.9萬291.93%2,300.79萬128.73%557.99萬26.08%2,042.7萬
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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