马来西亚市场个股详情

MARCO (3514)

添加自选
  • 0.105
  • 0.0000.00%
延时15分钟行情已收盘 05/28 15:31 (北京)
1.11亿总市值2.10市盈率TTM

3514 MARCO

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(FY)2025/12/31
(Q4)2025/12/31
(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
资产
流动资产
现金及现金等价物与短期投资
27.60%1.1亿
13.06%1亿
13.06%1亿
22.48%9,825.5万
5.60%9,239万
9.68%8,613万
0.19%8,884.01万
0.19%8,884.01万
-24.91%8,022.2万
-28.40%8,748.7万
-现金及现金等价物
-1.94%4,663.2万
-14.11%5,728.44万
-14.11%5,728.44万
-18.37%3,787.4万
63.01%5,080.6万
71.83%4,755.4万
86.48%6,669.73万
86.48%6,669.73万
37.63%4,639.8万
-9.35%3,116.8万
-其中:现金
-1.94%4,663.2万
-26.27%3,915.73万
-26.27%3,915.73万
-18.37%3,787.4万
63.01%5,080.6万
71.83%4,755.4万
75.02%5,310.85万
75.02%5,310.85万
37.63%4,639.8万
-9.35%3,116.8万
-其中:现金等价物
----
33.40%1,812.71万
33.40%1,812.71万
----
----
----
150.54%1,358.88万
150.54%1,358.88万
----
----
-短期投资
64.00%6,326.6万
94.89%4,315.45万
94.89%4,315.45万
78.52%6,038.1万
-26.16%4,158.4万
-24.15%3,857.6万
-58.15%2,214.28万
-58.15%2,214.28万
-53.74%3,382.4万
-35.86%5,631.9万
应收款项
-33.22%1,689.4万
-9.98%1,472.08万
-9.98%1,472.08万
-3.46%1,811.6万
-44.30%1,776.4万
-38.16%2,529.8万
24.04%1,635.31万
24.04%1,635.31万
-10.09%1,876.5万
41.58%3,189.3万
-应收账款净额
-33.22%1,689.4万
-9.25%1,452.57万
-9.25%1,452.57万
-3.46%1,811.6万
-44.30%1,776.4万
-38.16%2,529.8万
24.92%1,600.69万
24.92%1,600.69万
-10.09%1,876.5万
41.58%3,189.3万
-其中:应收账款
----
-8.81%1,463.28万
-8.81%1,463.28万
----
----
----
24.88%1,604.73万
24.88%1,604.73万
----
----
-其中:坏账准备
----
-165.42%-10.71万
-165.42%-10.71万
----
----
----
-12.52%-4.04万
-12.52%-4.04万
----
----
-其他应收款
----
-43.63%19.51万
-43.63%19.51万
----
----
----
-6.27%34.61万
-6.27%34.61万
----
----
存货
-10.61%3,423.2万
-7.05%3,812.36万
-7.05%3,812.36万
-24.01%3,602.1万
-18.40%3,822万
-15.60%3,829.4万
-26.32%4,101.33万
-26.32%4,101.33万
95.35%4,740.5万
83.00%4,683.7万
预付费用
----
-23.91%263.19万
-23.91%263.19万
----
----
----
46.50%345.91万
46.50%345.91万
----
----
受限制现金
----
7.47%59.98万
7.47%59.98万
----
----
----
-2.85%55.81万
-2.85%55.81万
----
----
税项资产
----
84.86%30.81万
84.86%30.81万
----
----
----
3.13%16.67万
3.13%16.67万
----
----
流动资产合计
7.55%1.61亿
4.28%1.57亿
4.28%1.57亿
4.10%1.52亿
-10.73%1.48亿
-9.16%1.5亿
-6.37%1.5亿
-6.37%1.5亿
-3.67%1.46亿
-2.40%1.66亿
非流动资产
物业厂房及设备净额
39.61%731.3万
18.02%738.78万
18.02%738.78万
43.87%850.4万
19.75%834.3万
-38.14%523.8万
-30.71%626万
-30.71%626万
51.06%591.1万
61.39%696.7万
-物业、厂房及设备
39.61%731.3万
-17.80%2,240.81万
-17.80%2,240.81万
43.87%850.4万
19.75%834.3万
-38.14%523.8万
-0.15%2,725.98万
-0.15%2,725.98万
51.06%591.1万
61.39%696.7万
-累计折旧
----
28.47%-1,502.03万
28.47%-1,502.03万
----
----
----
-14.96%-2,099.97万
-14.96%-2,099.97万
----
----
投资物业
2.37%3,947万
2.36%3,953.32万
2.36%3,953.32万
2.23%3,962.9万
2.23%3,976万
-1.17%3,855.5万
-1.33%3,862.33万
-1.33%3,862.33万
2.37%3,876.6万
2.37%3,889.1万
投资总额
----
0.00%220
0.00%220
----
----
----
0.00%220
0.00%220
----
----
-金融资产投资
----
0.00%220
0.00%220
----
----
----
0.00%220
0.00%220
----
----
-其中:以公允价值计量且其变动计入当期损益的金融资产总额
----
0.00%220
0.00%220
----
----
----
0.00%220
0.00%220
----
----
商誉及其他无形资产
-1.99%1,454.2万
3.69%1,463.61万
3.69%1,463.61万
9.02%1,473.2万
9.09%1,477.5万
9.94%1,483.8万
5.34%1,411.49万
5.34%1,411.49万
5,283.67%1,351.3万
4,861.17%1,354.4万
-商誉
----
0.00%1,314.43万
0.00%1,314.43万
----
----
----
0.00%1,314.43万
0.00%1,314.43万
----
----
-其他无形资产
----
53.70%149.18万
53.70%149.18万
----
----
----
280.88%97.06万
280.88%97.06万
----
----
非流动递延所得税资产
-31.13%83.4万
-23.82%92.25万
-23.82%92.25万
-34.58%121.1万
-34.58%121.1万
-14.78%121.1万
-34.58%121.1万
-34.58%121.1万
48.79%185.1万
48.79%185.1万
非流动资产合计
3.87%6,215.9万
3.77%6,247.99万
3.77%6,247.99万
6.72%6,407.6万
4.63%6,408.9万
-4.09%5,984.2万
-5.07%6,020.95万
-5.07%6,020.95万
-9.48%6,004.1万
-7.76%6,125.3万
总资产
6.50%2.23亿
4.13%2.19亿
4.13%2.19亿
4.86%2.16亿
-6.60%2.12亿
-7.77%2.1亿
-6.00%2.11亿
-6.00%2.11亿
-5.44%2.06亿
-3.90%2.27亿
负债
流动负债
金融负债
74.58%290.5万
27.90%317.86万
27.90%317.86万
-34.97%188.2万
-29.51%228.8万
-57.99%166.4万
-37.25%248.53万
-37.25%248.53万
124.69%289.4万
159.27%324.6万
-短期借款及资本租赁负债
74.58%290.5万
27.90%317.86万
27.90%317.86万
-34.97%188.2万
-29.51%228.8万
-57.99%166.4万
-37.25%248.53万
-37.25%248.53万
124.69%289.4万
159.27%324.6万
-其中:短期借款
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-其中:资本租赁负债
74.58%290.5万
27.90%317.86万
27.90%317.86万
-34.97%188.2万
-29.51%228.8万
-57.99%166.4万
-37.25%248.53万
-37.25%248.53万
124.69%289.4万
159.27%324.6万
应付款项
7.07%1,388.4万
-56.68%389.68万
-56.68%389.68万
-5.95%1,246.7万
-33.37%1,069.9万
-33.35%1,296.7万
6.25%899.55万
6.25%899.55万
-28.05%1,325.6万
-19.60%1,605.7万
-应付账款
-2.49%1,233.8万
-90.66%56.97万
-90.66%56.97万
-7.58%1,188.2万
-32.83%986.5万
-29.00%1,265.3万
435.83%610.07万
435.83%610.07万
-29.29%1,285.7万
-20.95%1,468.6万
-应交税费
392.36%154.6万
145.89%85.6万
145.89%85.6万
46.62%58.5万
-39.17%83.4万
-80.77%31.4万
-74.99%34.81万
-74.99%34.81万
66.95%39.9万
-1.65%137.1万
-应付股息
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-其他应付款
----
-2.97%247.1万
-2.97%247.1万
----
----
----
-57.10%254.66万
-57.10%254.66万
----
----
现行拨备
----
-1.80%71.41万
-1.80%71.41万
----
----
----
-32.93%72.72万
-32.93%72.72万
----
----
应计及递延所得
----
19.91%787.94万
19.91%787.94万
----
----
----
-27.81%657.1万
-27.81%657.1万
----
----
流动负债合计
14.75%1,678.9万
-16.56%1,566.89万
-16.56%1,566.89万
-11.15%1,434.9万
-32.72%1,298.7万
-37.52%1,463.1万
-16.96%1,877.89万
-16.96%1,877.89万
-18.07%1,615万
-9.05%1,930.3万
非流动负债
非流动金融负债
39.27%182.3万
116.00%233.13万
116.00%233.13万
351.81%448.2万
281.41%377.6万
93.35%130.9万
-45.00%107.93万
-45.00%107.93万
36.26%99.2万
-8.16%99万
-长期借款及资本租赁
39.27%182.3万
116.00%233.13万
116.00%233.13万
351.81%448.2万
281.41%377.6万
93.35%130.9万
-45.00%107.93万
-45.00%107.93万
36.26%99.2万
-8.16%99万
-其中:长期资本租赁负债
39.27%182.3万
116.00%233.13万
116.00%233.13万
351.81%448.2万
281.41%377.6万
93.35%130.9万
-45.00%107.93万
-45.00%107.93万
36.26%99.2万
-8.16%99万
非流动负债合计
39.27%182.3万
116.00%233.13万
116.00%233.13万
351.81%448.2万
281.41%377.6万
93.35%130.9万
-45.00%107.93万
-45.00%107.93万
36.26%99.2万
-8.16%99万
负债总额
16.76%1,861.2万
-9.36%1,800.02万
-9.36%1,800.02万
9.85%1,883.1万
-17.40%1,676.3万
-33.84%1,594万
-19.20%1,985.82万
-19.20%1,985.82万
-16.13%1,714.2万
-9.00%2,029.3万
所有者权益
股本
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
-普通股
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
0.00%1.31亿
资本公积
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
17.82%7,237.4万
18.04%6,910.64万
18.04%6,910.64万
14.62%6,544万
-15.31%6,350.3万
-13.38%6,142.7万
-12.97%5,854.51万
-12.97%5,854.51万
-13.06%5,709.4万
-8.80%7,498万
固定资产重估价值准备
0.00%121万
0.00%120.97万
0.00%120.97万
0.00%121万
0.00%121万
0.00%121万
0.00%120.97万
0.00%120.97万
0.00%121万
0.00%121万
其他储备
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
股东权益
5.65%2.05亿
5.54%2.01亿
5.54%2.01亿
4.41%1.98亿
-5.54%1.96亿
-4.67%1.94亿
-4.37%1.91亿
-4.37%1.91亿
-4.33%1.89亿
-3.37%2.07亿
总权益
5.65%2.05亿
5.54%2.01亿
5.54%2.01亿
4.41%1.98亿
-5.54%1.96亿
-4.67%1.94亿
-4.37%1.91亿
-4.37%1.91亿
-4.33%1.89亿
-3.37%2.07亿
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q1)2026/03/31(FY)2025/12/31(Q4)2025/12/31(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
资产
流动资产
现金及现金等价物与短期投资 27.60%1.1亿13.06%1亿13.06%1亿22.48%9,825.5万5.60%9,239万9.68%8,613万0.19%8,884.01万0.19%8,884.01万-24.91%8,022.2万-28.40%8,748.7万
-现金及现金等价物 -1.94%4,663.2万-14.11%5,728.44万-14.11%5,728.44万-18.37%3,787.4万63.01%5,080.6万71.83%4,755.4万86.48%6,669.73万86.48%6,669.73万37.63%4,639.8万-9.35%3,116.8万
-其中:现金 -1.94%4,663.2万-26.27%3,915.73万-26.27%3,915.73万-18.37%3,787.4万63.01%5,080.6万71.83%4,755.4万75.02%5,310.85万75.02%5,310.85万37.63%4,639.8万-9.35%3,116.8万
-其中:现金等价物 ----33.40%1,812.71万33.40%1,812.71万------------150.54%1,358.88万150.54%1,358.88万--------
-短期投资 64.00%6,326.6万94.89%4,315.45万94.89%4,315.45万78.52%6,038.1万-26.16%4,158.4万-24.15%3,857.6万-58.15%2,214.28万-58.15%2,214.28万-53.74%3,382.4万-35.86%5,631.9万
应收款项 -33.22%1,689.4万-9.98%1,472.08万-9.98%1,472.08万-3.46%1,811.6万-44.30%1,776.4万-38.16%2,529.8万24.04%1,635.31万24.04%1,635.31万-10.09%1,876.5万41.58%3,189.3万
-应收账款净额 -33.22%1,689.4万-9.25%1,452.57万-9.25%1,452.57万-3.46%1,811.6万-44.30%1,776.4万-38.16%2,529.8万24.92%1,600.69万24.92%1,600.69万-10.09%1,876.5万41.58%3,189.3万
-其中:应收账款 -----8.81%1,463.28万-8.81%1,463.28万------------24.88%1,604.73万24.88%1,604.73万--------
-其中:坏账准备 -----165.42%-10.71万-165.42%-10.71万-------------12.52%-4.04万-12.52%-4.04万--------
-其他应收款 -----43.63%19.51万-43.63%19.51万-------------6.27%34.61万-6.27%34.61万--------
存货 -10.61%3,423.2万-7.05%3,812.36万-7.05%3,812.36万-24.01%3,602.1万-18.40%3,822万-15.60%3,829.4万-26.32%4,101.33万-26.32%4,101.33万95.35%4,740.5万83.00%4,683.7万
预付费用 -----23.91%263.19万-23.91%263.19万------------46.50%345.91万46.50%345.91万--------
受限制现金 ----7.47%59.98万7.47%59.98万-------------2.85%55.81万-2.85%55.81万--------
税项资产 ----84.86%30.81万84.86%30.81万------------3.13%16.67万3.13%16.67万--------
流动资产合计 7.55%1.61亿4.28%1.57亿4.28%1.57亿4.10%1.52亿-10.73%1.48亿-9.16%1.5亿-6.37%1.5亿-6.37%1.5亿-3.67%1.46亿-2.40%1.66亿
非流动资产
物业厂房及设备净额 39.61%731.3万18.02%738.78万18.02%738.78万43.87%850.4万19.75%834.3万-38.14%523.8万-30.71%626万-30.71%626万51.06%591.1万61.39%696.7万
-物业、厂房及设备 39.61%731.3万-17.80%2,240.81万-17.80%2,240.81万43.87%850.4万19.75%834.3万-38.14%523.8万-0.15%2,725.98万-0.15%2,725.98万51.06%591.1万61.39%696.7万
-累计折旧 ----28.47%-1,502.03万28.47%-1,502.03万-------------14.96%-2,099.97万-14.96%-2,099.97万--------
投资物业 2.37%3,947万2.36%3,953.32万2.36%3,953.32万2.23%3,962.9万2.23%3,976万-1.17%3,855.5万-1.33%3,862.33万-1.33%3,862.33万2.37%3,876.6万2.37%3,889.1万
投资总额 ----0.00%2200.00%220------------0.00%2200.00%220--------
-金融资产投资 ----0.00%2200.00%220------------0.00%2200.00%220--------
-其中:以公允价值计量且其变动计入当期损益的金融资产总额 ----0.00%2200.00%220------------0.00%2200.00%220--------
商誉及其他无形资产 -1.99%1,454.2万3.69%1,463.61万3.69%1,463.61万9.02%1,473.2万9.09%1,477.5万9.94%1,483.8万5.34%1,411.49万5.34%1,411.49万5,283.67%1,351.3万4,861.17%1,354.4万
-商誉 ----0.00%1,314.43万0.00%1,314.43万------------0.00%1,314.43万0.00%1,314.43万--------
-其他无形资产 ----53.70%149.18万53.70%149.18万------------280.88%97.06万280.88%97.06万--------
非流动递延所得税资产 -31.13%83.4万-23.82%92.25万-23.82%92.25万-34.58%121.1万-34.58%121.1万-14.78%121.1万-34.58%121.1万-34.58%121.1万48.79%185.1万48.79%185.1万
非流动资产合计 3.87%6,215.9万3.77%6,247.99万3.77%6,247.99万6.72%6,407.6万4.63%6,408.9万-4.09%5,984.2万-5.07%6,020.95万-5.07%6,020.95万-9.48%6,004.1万-7.76%6,125.3万
总资产 6.50%2.23亿4.13%2.19亿4.13%2.19亿4.86%2.16亿-6.60%2.12亿-7.77%2.1亿-6.00%2.11亿-6.00%2.11亿-5.44%2.06亿-3.90%2.27亿
负债
流动负债
金融负债 74.58%290.5万27.90%317.86万27.90%317.86万-34.97%188.2万-29.51%228.8万-57.99%166.4万-37.25%248.53万-37.25%248.53万124.69%289.4万159.27%324.6万
-短期借款及资本租赁负债 74.58%290.5万27.90%317.86万27.90%317.86万-34.97%188.2万-29.51%228.8万-57.99%166.4万-37.25%248.53万-37.25%248.53万124.69%289.4万159.27%324.6万
-其中:短期借款 --0--0--0--0--0--0--0--0--0--0
-其中:资本租赁负债 74.58%290.5万27.90%317.86万27.90%317.86万-34.97%188.2万-29.51%228.8万-57.99%166.4万-37.25%248.53万-37.25%248.53万124.69%289.4万159.27%324.6万
应付款项 7.07%1,388.4万-56.68%389.68万-56.68%389.68万-5.95%1,246.7万-33.37%1,069.9万-33.35%1,296.7万6.25%899.55万6.25%899.55万-28.05%1,325.6万-19.60%1,605.7万
-应付账款 -2.49%1,233.8万-90.66%56.97万-90.66%56.97万-7.58%1,188.2万-32.83%986.5万-29.00%1,265.3万435.83%610.07万435.83%610.07万-29.29%1,285.7万-20.95%1,468.6万
-应交税费 392.36%154.6万145.89%85.6万145.89%85.6万46.62%58.5万-39.17%83.4万-80.77%31.4万-74.99%34.81万-74.99%34.81万66.95%39.9万-1.65%137.1万
-应付股息 --0--0--0--0--0--0--0--0--0--0
-其他应付款 -----2.97%247.1万-2.97%247.1万-------------57.10%254.66万-57.10%254.66万--------
现行拨备 -----1.80%71.41万-1.80%71.41万-------------32.93%72.72万-32.93%72.72万--------
应计及递延所得 ----19.91%787.94万19.91%787.94万-------------27.81%657.1万-27.81%657.1万--------
流动负债合计 14.75%1,678.9万-16.56%1,566.89万-16.56%1,566.89万-11.15%1,434.9万-32.72%1,298.7万-37.52%1,463.1万-16.96%1,877.89万-16.96%1,877.89万-18.07%1,615万-9.05%1,930.3万
非流动负债
非流动金融负债 39.27%182.3万116.00%233.13万116.00%233.13万351.81%448.2万281.41%377.6万93.35%130.9万-45.00%107.93万-45.00%107.93万36.26%99.2万-8.16%99万
-长期借款及资本租赁 39.27%182.3万116.00%233.13万116.00%233.13万351.81%448.2万281.41%377.6万93.35%130.9万-45.00%107.93万-45.00%107.93万36.26%99.2万-8.16%99万
-其中:长期资本租赁负债 39.27%182.3万116.00%233.13万116.00%233.13万351.81%448.2万281.41%377.6万93.35%130.9万-45.00%107.93万-45.00%107.93万36.26%99.2万-8.16%99万
非流动负债合计 39.27%182.3万116.00%233.13万116.00%233.13万351.81%448.2万281.41%377.6万93.35%130.9万-45.00%107.93万-45.00%107.93万36.26%99.2万-8.16%99万
负债总额 16.76%1,861.2万-9.36%1,800.02万-9.36%1,800.02万9.85%1,883.1万-17.40%1,676.3万-33.84%1,594万-19.20%1,985.82万-19.20%1,985.82万-16.13%1,714.2万-9.00%2,029.3万
所有者权益
股本 0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿
-普通股 0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿0.00%1.31亿
资本公积 --0--0--0--0--0--0--0--0--0--0
留存收益 17.82%7,237.4万18.04%6,910.64万18.04%6,910.64万14.62%6,544万-15.31%6,350.3万-13.38%6,142.7万-12.97%5,854.51万-12.97%5,854.51万-13.06%5,709.4万-8.80%7,498万
固定资产重估价值准备 0.00%121万0.00%120.97万0.00%120.97万0.00%121万0.00%121万0.00%121万0.00%120.97万0.00%120.97万0.00%121万0.00%121万
其他储备 --0--0--0--0--0--0--0--0--0--0
股东权益 5.65%2.05亿5.54%2.01亿5.54%2.01亿4.41%1.98亿-5.54%1.96亿-4.67%1.94亿-4.37%1.91亿-4.37%1.91亿-4.33%1.89亿-3.37%2.07亿
总权益 5.65%2.05亿5.54%2.01亿5.54%2.01亿4.41%1.98亿-5.54%1.96亿-4.67%1.94亿-4.37%1.91亿-4.37%1.91亿-4.33%1.89亿-3.37%2.07亿
会计准则 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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