马来西亚市场个股详情

LUXCHEM (5143)

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  • 0.390
  • 0.0000.00%
延时15分钟行情未开盘 01/15 11:47 (北京)
4.17亿总市值8.86市盈率TTM

5143 LUXCHEM

季报+年报
显示同比 yoy
隐藏空行 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
经营活动现金流量(间接法)
经营活动产生的现金
1,455.29%2,907.18万
4,750.87%3,844.26万
38.49%2,268.83万
-62.64%2,810.1万
-41.77%1,307.08万
-111.60%-214.51万
-94.99%79.25万
-11.32%1,638.28万
-49.59%7,522.62万
-25.61%2,244.53万
扣除非现金调整前净利润
39.80%1,531.49万
-33.87%1,357.42万
-8.70%1,687.22万
38.05%7,969.36万
60.61%2,973.26万
-19.77%1,095.48万
53.63%2,052.53万
51.47%1,848.08万
-15.87%5,772.69万
318.60%1,851.28万
非现金项目调整总额
-9.96%276.01万
-4.78%198.91万
52.29%413.47万
-36.48%971.87万
-73.16%184.95万
-8.71%306.54万
-9.51%208.9万
-1.02%271.5万
-6.74%1,529.92万
3.92%689万
-折旧与摊销
2.44%343.62万
-1.68%337.26万
-2.34%334.47万
3.79%1,357.31万
-0.80%336.37万
1.33%335.45万
6.90%343.02万
8.13%342.47万
6.04%1,307.73万
5.32%339.08万
-在损益中确认的减值损失回拨
-92.72%6,498
-22.44%4.69万
416.34%4.56万
-88.83%47.8万
-92.40%31.94万
538.78%8.92万
29.97%6.05万
-37.94%8,831
137.72%427.76万
163.77%420.28万
-处置利润
111.32%2.89万
91.47%-2,920
-30.85%-8.33万
71.99%-16.31万
261.12%18.98万
-312.12%-25.5万
55.63%-3.42万
80.43%-6.37万
-104.25%-58.22万
-254.69%-11.78万
-汇兑损益净额
-129.53%-23.03万
794.28%34.94万
218.50%70.03万
53.33%70.78万
-173.08%-24.18万
343.15%78万
86.78%-5.03万
-34.46%21.99万
-73.72%46.16万
-81.16%33.08万
-养老金及员工福利费用
----
----
----
6.43%12.96万
--12.96万
----
----
----
81.20%12.18万
----
-其他非现金项目
46.75%-48.11万
-34.91%-177.69万
114.56%12.74万
-143.41%-500.66万
-84.06%-191.13万
-1,019.40%-90.34万
-169.31%-131.71万
-94.99%-87.48万
-379.92%-205.68万
-1,156.86%-103.85万
营运资本变动
168.03%1,099.68万
204.85%2,287.93万
134.93%168.14万
-2,886.83%-6,131.13万
-525.90%-1,851.13万
-1,188.48%-1,616.52万
-15,411.19%-2,182.18万
-236.35%-481.3万
-96.57%220万
-115.47%-295.76万
-应收款(增)减
657.35%839.06万
146.93%891.81万
255.49%1,248.22万
-3,889.11%-3,837.17万
-1,904.11%-1,245.03万
128.24%110.79万
-210.41%-1,900.19万
-177.43%-802.74万
-98.20%101.27万
115.15%69.01万
-存货(增)减
144.81%257.29万
359.92%2,427.77万
38.19%922.35万
-1,322.99%-3,427.51万
-65.56%-2,586.68万
-814.45%-574.24万
-294.73%-934.06万
-26.22%667.46万
-103.98%-240.87万
-266.27%-1,562.39万
-应付款(减)增
100.29%3.33万
-258.21%-1,031.65万
-478.70%-2,002.43万
215.22%1,133.55万
65.38%1,980.58万
-291.03%-1,153.08万
344.36%652.07万
78.22%-346.02万
106.83%359.6万
-16.11%1,197.62万
已付股息(经营活动产生的现金流)
已收到的股息(经营活动产生的现金流)
已付利息(经营活动产生的现金流)
16.45%-57.57万
-9.67%-78.67万
-55.11%-86.64万
-7.33%-273.3万
-19.96%-76.81万
-9.02%-68.9万
-17.09%-71.73万
15.55%-55.85万
2.28%-254.63万
-2.86%-64.03万
已收到的利息(经营活动产生的现金流)
-33.55%106.57万
25.86%257.27万
-48.33%74.63万
67.67%777.9万
59.31%268.66万
121.65%160.39万
83.68%204.4万
29.36%144.44万
142.73%463.94万
136.31%168.64万
已支付退税
-20.94%-762.36万
9.59%-287.86万
-55.78%-478.1万
-31.47%-1,894.58万
-288.61%-638.92万
-147.49%-630.36万
31.32%-318.4万
45.04%-306.91万
45.27%-1,441.07万
70.59%-164.41万
其他经营现金流入(流出)
1
-1
0
-81.77%-6.31万
-81.77%-6.31万
0
0
0
-1,121.68%-3.47万
-1,122.11%-3.47万
经营活动现金净额
391.20%2,193.84万
3,607.77%3,735万
25.27%1,778.73万
-77.51%1,413.81万
-60.86%853.7万
-146.96%-753.37万
-109.12%-106.48万
6.40%1,419.95万
-48.55%6,287.39万
-11.58%2,181.25万
投资活动现金流量
物业、厂房及设备交易净额
-13,081.44%-898.49万
-777.44%-637.79万
-549.09%-548.63万
-50.45%-1,407.73万
-713.89%-1,243.7万
98.04%-6.82万
71.31%-72.69万
53.52%-84.52万
76.62%-935.7万
37.38%-152.81万
无形资产交易净额
---5.74万
--0
80.97%-1.53万
-246.55%-15.14万
-4,714.26%-6.48万
--0
---5,981
---8.06万
83.92%-4.37万
93.89%-1,346
业务交易净额
--0
----
----
---60.74万
--0
--0
----
----
--0
--0
投资产品交易净额
-46.61%1,806.85万
572.27%1,406.64万
57.64%-365.74万
91.62%-901.15万
13.46%-3,124.49万
185.74%3,384.49万
91.79%-297.85万
-301.67%-863.31万
-628.26%-1.08亿
-103.81%-3,610.45万
向其他方提供的预付现金及贷款
----
----
----
--0
----
----
----
----
--0
----
已收到的股息(投资活动产生的现金流)
-53.65%1,259
30.84%1,069
1,459.56%3.03万
-96.19%6,960
-98.50%1,486
-5.63%2,716
-98.94%817
-48.34%1,941
163.64%18.26万
892.88%9.9万
其他投资变动净额
----
----
0.00%-1
----
----
----
----
---1
---1
---2
投资活动现金净额
-73.28%902.75万
278.09%768.96万
4.48%-912.87万
79.59%-2,384.06万
-16.55%-4,374.52万
178.58%3,377.95万
88.85%-431.79万
-487.51%-955.7万
-112.34%-1.17亿
-86.12%-3,753.49万
融资活动现金流量
债务发行/偿还的净额
404.30%566.91万
-2,114.43%-2,195.24万
-245.36%-1,269.32万
666.34%2,951.3万
355.83%2,155.41万
-115.42%-186.3万
113.02%108.98万
1,859.45%873.22万
86.61%-521.12万
-6,737.58%-842.52万
普通股发行/回购的净额
--0
--0
---38.48万
----
----
--0
--0
--0
----
----
租赁融资增减
-11.37%-12.31万
4.26%-10.5万
10.17%-10.62万
30.41%-47.89万
-20.06%-14.06万
5.69%-11.05万
29.95%-10.97万
60.26%-11.82万
7.62%-68.83万
34.83%-11.71万
已支付现金股息
12.57%-748.28万
--0
-25.00%-1,069.77万
0.00%-1,711.63万
--0
-33.33%-855.81万
--0
---855.81万
20.00%-1,711.63万
--0
非控制性权益现金股息
33.45%-165.6万
--0
-33.97%-283.95万
-55.15%-460.8万
--0
-84.33%-248.85万
--0
---211.95万
35.92%-297万
--0
已付利息(筹资活动产生的现金流)
12.83%-8,852
3.53%-9,218
33.12%-7,429
4.11%-3.95万
29.51%-8,649
7.56%-1.02万
13.96%-9,555
-63.40%-1.11万
2.39%-4.12万
-44.78%-1.23万
其他筹资费用净额
----
----
----
--1
----
----
--342.47万
---342.47万
----
----
融资活动现金净额
72.36%-360.16万
-2,373.73%-2,206.67万
-1,188.28%-2,672.87万
127.93%727.03万
350.22%2,140.49万
-411.34%-1,303.03万
104.65%97.05万
-159.18%-207.48万
60.42%-2,602.68万
-13,882.62%-855.46万
现金净流量
期初现金流
3.02%1.19亿
-19.92%9,628.12万
-2.65%1.15亿
-40.23%1.18亿
-9.94%1.28亿
-30.12%1.16亿
-43.40%1.2亿
-40.23%1.18亿
0.50%1.97亿
-26.55%1.42亿
现金变动
107.06%2,736.42万
620.68%2,297.3万
-803.73%-1,807.01万
96.96%-243.22万
43.14%-1,380.33万
158.06%1,321.55万
90.79%-441.21万
-82.89%256.78万
-5,570.26%-7,994.18万
-646.79%-2,427.69万
汇率变动影响
81.97%-11.72万
17.37%-25.3万
-1,785.51%-18.28万
-189.90%-68.76万
191.24%25.77万
-92.30%-64.99万
-138.81%-30.62万
-98.18%1.08万
261.07%76.49万
76.77%-28.24万
现金变动之外的其他现金调整
----
----
----
---1
----
----
----
----
----
----
期末现金
14.19%1.46亿
3.02%1.19亿
-19.92%9,628.12万
-2.65%1.15亿
-2.65%1.15亿
-9.94%1.28亿
-30.12%1.16亿
-43.40%1.2亿
-40.23%1.18亿
-40.23%1.18亿
自由现金流
251.87%1,287.04万
1,776.98%3,093.81万
-7.54%1,227.22万
-102.03%-107.17万
-120.02%-402.57万
-168.04%-847.48万
-120.21%-184.49万
18.44%1,327.37万
-35.09%5,290.36万
-9.40%2,011.25万
会计准则
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
经营活动现金流量(间接法)
经营活动产生的现金 1,455.29%2,907.18万4,750.87%3,844.26万38.49%2,268.83万-62.64%2,810.1万-41.77%1,307.08万-111.60%-214.51万-94.99%79.25万-11.32%1,638.28万-49.59%7,522.62万-25.61%2,244.53万
扣除非现金调整前净利润 39.80%1,531.49万-33.87%1,357.42万-8.70%1,687.22万38.05%7,969.36万60.61%2,973.26万-19.77%1,095.48万53.63%2,052.53万51.47%1,848.08万-15.87%5,772.69万318.60%1,851.28万
非现金项目调整总额 -9.96%276.01万-4.78%198.91万52.29%413.47万-36.48%971.87万-73.16%184.95万-8.71%306.54万-9.51%208.9万-1.02%271.5万-6.74%1,529.92万3.92%689万
-折旧与摊销 2.44%343.62万-1.68%337.26万-2.34%334.47万3.79%1,357.31万-0.80%336.37万1.33%335.45万6.90%343.02万8.13%342.47万6.04%1,307.73万5.32%339.08万
-在损益中确认的减值损失回拨 -92.72%6,498-22.44%4.69万416.34%4.56万-88.83%47.8万-92.40%31.94万538.78%8.92万29.97%6.05万-37.94%8,831137.72%427.76万163.77%420.28万
-处置利润 111.32%2.89万91.47%-2,920-30.85%-8.33万71.99%-16.31万261.12%18.98万-312.12%-25.5万55.63%-3.42万80.43%-6.37万-104.25%-58.22万-254.69%-11.78万
-汇兑损益净额 -129.53%-23.03万794.28%34.94万218.50%70.03万53.33%70.78万-173.08%-24.18万343.15%78万86.78%-5.03万-34.46%21.99万-73.72%46.16万-81.16%33.08万
-养老金及员工福利费用 ------------6.43%12.96万--12.96万------------81.20%12.18万----
-其他非现金项目 46.75%-48.11万-34.91%-177.69万114.56%12.74万-143.41%-500.66万-84.06%-191.13万-1,019.40%-90.34万-169.31%-131.71万-94.99%-87.48万-379.92%-205.68万-1,156.86%-103.85万
营运资本变动 168.03%1,099.68万204.85%2,287.93万134.93%168.14万-2,886.83%-6,131.13万-525.90%-1,851.13万-1,188.48%-1,616.52万-15,411.19%-2,182.18万-236.35%-481.3万-96.57%220万-115.47%-295.76万
-应收款(增)减 657.35%839.06万146.93%891.81万255.49%1,248.22万-3,889.11%-3,837.17万-1,904.11%-1,245.03万128.24%110.79万-210.41%-1,900.19万-177.43%-802.74万-98.20%101.27万115.15%69.01万
-存货(增)减 144.81%257.29万359.92%2,427.77万38.19%922.35万-1,322.99%-3,427.51万-65.56%-2,586.68万-814.45%-574.24万-294.73%-934.06万-26.22%667.46万-103.98%-240.87万-266.27%-1,562.39万
-应付款(减)增 100.29%3.33万-258.21%-1,031.65万-478.70%-2,002.43万215.22%1,133.55万65.38%1,980.58万-291.03%-1,153.08万344.36%652.07万78.22%-346.02万106.83%359.6万-16.11%1,197.62万
已付股息(经营活动产生的现金流)
已收到的股息(经营活动产生的现金流)
已付利息(经营活动产生的现金流) 16.45%-57.57万-9.67%-78.67万-55.11%-86.64万-7.33%-273.3万-19.96%-76.81万-9.02%-68.9万-17.09%-71.73万15.55%-55.85万2.28%-254.63万-2.86%-64.03万
已收到的利息(经营活动产生的现金流) -33.55%106.57万25.86%257.27万-48.33%74.63万67.67%777.9万59.31%268.66万121.65%160.39万83.68%204.4万29.36%144.44万142.73%463.94万136.31%168.64万
已支付退税 -20.94%-762.36万9.59%-287.86万-55.78%-478.1万-31.47%-1,894.58万-288.61%-638.92万-147.49%-630.36万31.32%-318.4万45.04%-306.91万45.27%-1,441.07万70.59%-164.41万
其他经营现金流入(流出) 1-10-81.77%-6.31万-81.77%-6.31万000-1,121.68%-3.47万-1,122.11%-3.47万
经营活动现金净额 391.20%2,193.84万3,607.77%3,735万25.27%1,778.73万-77.51%1,413.81万-60.86%853.7万-146.96%-753.37万-109.12%-106.48万6.40%1,419.95万-48.55%6,287.39万-11.58%2,181.25万
投资活动现金流量
物业、厂房及设备交易净额 -13,081.44%-898.49万-777.44%-637.79万-549.09%-548.63万-50.45%-1,407.73万-713.89%-1,243.7万98.04%-6.82万71.31%-72.69万53.52%-84.52万76.62%-935.7万37.38%-152.81万
无形资产交易净额 ---5.74万--080.97%-1.53万-246.55%-15.14万-4,714.26%-6.48万--0---5,981---8.06万83.92%-4.37万93.89%-1,346
业务交易净额 --0-----------60.74万--0--0----------0--0
投资产品交易净额 -46.61%1,806.85万572.27%1,406.64万57.64%-365.74万91.62%-901.15万13.46%-3,124.49万185.74%3,384.49万91.79%-297.85万-301.67%-863.31万-628.26%-1.08亿-103.81%-3,610.45万
向其他方提供的预付现金及贷款 --------------0------------------0----
已收到的股息(投资活动产生的现金流) -53.65%1,25930.84%1,0691,459.56%3.03万-96.19%6,960-98.50%1,486-5.63%2,716-98.94%817-48.34%1,941163.64%18.26万892.88%9.9万
其他投资变动净额 --------0.00%-1-------------------1---1---2
投资活动现金净额 -73.28%902.75万278.09%768.96万4.48%-912.87万79.59%-2,384.06万-16.55%-4,374.52万178.58%3,377.95万88.85%-431.79万-487.51%-955.7万-112.34%-1.17亿-86.12%-3,753.49万
融资活动现金流量
债务发行/偿还的净额 404.30%566.91万-2,114.43%-2,195.24万-245.36%-1,269.32万666.34%2,951.3万355.83%2,155.41万-115.42%-186.3万113.02%108.98万1,859.45%873.22万86.61%-521.12万-6,737.58%-842.52万
普通股发行/回购的净额 --0--0---38.48万----------0--0--0--------
租赁融资增减 -11.37%-12.31万4.26%-10.5万10.17%-10.62万30.41%-47.89万-20.06%-14.06万5.69%-11.05万29.95%-10.97万60.26%-11.82万7.62%-68.83万34.83%-11.71万
已支付现金股息 12.57%-748.28万--0-25.00%-1,069.77万0.00%-1,711.63万--0-33.33%-855.81万--0---855.81万20.00%-1,711.63万--0
非控制性权益现金股息 33.45%-165.6万--0-33.97%-283.95万-55.15%-460.8万--0-84.33%-248.85万--0---211.95万35.92%-297万--0
已付利息(筹资活动产生的现金流) 12.83%-8,8523.53%-9,21833.12%-7,4294.11%-3.95万29.51%-8,6497.56%-1.02万13.96%-9,555-63.40%-1.11万2.39%-4.12万-44.78%-1.23万
其他筹资费用净额 --------------1----------342.47万---342.47万--------
融资活动现金净额 72.36%-360.16万-2,373.73%-2,206.67万-1,188.28%-2,672.87万127.93%727.03万350.22%2,140.49万-411.34%-1,303.03万104.65%97.05万-159.18%-207.48万60.42%-2,602.68万-13,882.62%-855.46万
现金净流量
期初现金流 3.02%1.19亿-19.92%9,628.12万-2.65%1.15亿-40.23%1.18亿-9.94%1.28亿-30.12%1.16亿-43.40%1.2亿-40.23%1.18亿0.50%1.97亿-26.55%1.42亿
现金变动 107.06%2,736.42万620.68%2,297.3万-803.73%-1,807.01万96.96%-243.22万43.14%-1,380.33万158.06%1,321.55万90.79%-441.21万-82.89%256.78万-5,570.26%-7,994.18万-646.79%-2,427.69万
汇率变动影响 81.97%-11.72万17.37%-25.3万-1,785.51%-18.28万-189.90%-68.76万191.24%25.77万-92.30%-64.99万-138.81%-30.62万-98.18%1.08万261.07%76.49万76.77%-28.24万
现金变动之外的其他现金调整 ---------------1------------------------
期末现金 14.19%1.46亿3.02%1.19亿-19.92%9,628.12万-2.65%1.15亿-2.65%1.15亿-9.94%1.28亿-30.12%1.16亿-43.40%1.2亿-40.23%1.18亿-40.23%1.18亿
自由现金流 251.87%1,287.04万1,776.98%3,093.81万-7.54%1,227.22万-102.03%-107.17万-120.02%-402.57万-168.04%-847.48万-120.21%-184.49万18.44%1,327.37万-35.09%5,290.36万-9.40%2,011.25万
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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