马来西亚市场个股详情

SINARAN (5172)

添加自选
  • 0.075
  • +0.005+7.14%
延时15分钟行情休市中 05/29 16:57 (北京)
7882.21万总市值-15.00市盈率TTM

5172 SINARAN

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
-9.89%1,177.4万
-12.19%1,345万
-12.19%1,345万
-28.21%1,200.9万
-46.31%1,159.7万
-48.00%1,306.6万
-39.20%1,531.8万
-39.20%1,531.8万
-32.77%1,672.8万
0.78%2,159.9万
-现金及现金等价物
-52.90%107.2万
63.02%271.1万
63.02%271.1万
88.64%365.2万
-52.04%351.9万
-79.51%227.6万
-86.00%166.3万
-86.00%166.3万
-90.92%193.6万
-63.12%733.7万
-其中:现金
-52.90%107.2万
63.02%271.1万
63.02%271.1万
88.64%365.2万
-52.04%351.9万
-79.51%227.6万
-86.00%166.3万
-86.00%166.3万
-90.92%193.6万
-63.12%733.7万
-短期投资
-0.82%1,070.2万
-21.35%1,073.9万
-21.35%1,073.9万
-43.50%835.7万
-43.36%807.8万
-23.04%1,079万
2.56%1,365.5万
2.56%1,365.5万
314.69%1,479.2万
828.52%1,426.2万
应收款项
32.59%527.3万
-49.20%111.3万
-49.20%111.3万
-66.44%929.3万
-76.87%743.5万
-87.54%397.7万
-93.31%219.1万
-93.31%219.1万
-14.95%2,769.2万
-35.28%3,214.9万
-应收账款净额
-50.89%192.6万
-49.56%108.7万
-49.56%108.7万
-81.10%474.8万
-83.03%537.4万
-87.56%392.2万
-93.33%215.5万
-93.33%215.5万
-21.24%2,511.9万
-33.97%3,166.3万
-其中:应收账款
-41.04%234.5万
-31.86%150.6万
-31.86%150.6万
-82.26%480.3万
-83.85%542.9万
-88.12%397.7万
-93.55%221万
-93.55%221万
--2,707.3万
--3,361.7万
-其中:坏账准备
-661.82%-41.9万
-661.82%-41.9万
-661.82%-41.9万
97.19%-5.5万
97.19%-5.5万
97.19%-5.5万
97.19%-5.5万
97.19%-5.5万
---195.4万
---195.4万
-其他应收款
5,985.45%334.7万
-27.78%2.6万
-27.78%2.6万
76.64%454.5万
324.07%206.1万
-85.75%5.5万
-91.95%3.6万
-91.95%3.6万
286.34%257.3万
-71.81%48.6万
存货
----
----
----
----
----
----
--0
--0
--0
-69.72%9.9万
预付费用
----
23,263.16%443.9万
23,263.16%443.9万
----
----
----
0.00%1.9万
0.00%1.9万
----
----
税项资产
----
----
----
----
----
----
--0
--0
121.43%6.2万
5.88%5.4万
其他流动资产
----
----
----
----
----
----
----
----
-8.43%63万
1.16%69.6万
流动资产合计
0.02%1,704.7万
8.41%1,900.2万
8.41%1,900.2万
-52.78%2,130.2万
-65.14%1,903.2万
-70.56%1,704.3万
-70.19%1,752.8万
-70.19%1,752.8万
-22.97%4,511.2万
-24.35%5,459.7万
非流动资产
物业厂房及设备净额
-22.50%9.3万
-72.92%10.4万
-72.92%10.4万
-99.54%11.4万
-99.65%12.6万
-99.68%12万
-98.97%38.4万
-98.97%38.4万
-34.25%2,498.4万
-5.90%3,634.5万
-物业、厂房及设备
-22.50%9.3万
-68.67%12.5万
-68.67%12.5万
-99.54%11.4万
-99.65%12.6万
-99.68%12万
-99.52%39.9万
-99.52%39.9万
-34.25%2,498.4万
-5.90%3,634.5万
-累计折旧
----
-40.00%-2.1万
-40.00%-2.1万
----
----
----
99.97%-1.5万
99.97%-1.5万
----
----
投资总额
----
--0
--0
----
----
----
--0
--0
----
----
-长期股权投资
----
--0
--0
----
----
----
--0
--0
----
----
-其他投资
----
----
----
----
----
----
--991.6万
--991.6万
----
----
商誉及其他无形资产
----
--0
--0
----
----
----
--0
--0
----
----
非流动资产合计
-22.50%9.3万
-72.92%10.4万
-72.92%10.4万
-99.54%11.4万
-99.65%12.6万
-99.68%12万
-98.97%38.4万
-98.97%38.4万
-48.51%2,498.4万
-15.71%3,634.5万
总资产
-0.13%1,714万
6.67%1,910.6万
6.67%1,910.6万
-69.45%2,141.6万
-78.93%1,915.8万
-81.95%1,716.3万
-81.37%1,791.2万
-81.37%1,791.2万
-34.55%7,009.6万
-21.12%9,094.2万
负债
流动负债
金融负债
7.69%2.8万
-77.22%3.6万
-77.22%3.6万
-99.78%4.5万
-99.68%7.1万
-99.89%2.6万
-99.29%15.8万
-99.29%15.8万
-8.44%2,035.6万
1.19%2,249.6万
-短期借款及资本租赁负债
7.69%2.8万
-77.22%3.6万
-77.22%3.6万
-99.78%4.5万
-99.68%7.1万
-99.89%2.6万
-99.29%15.8万
-99.29%15.8万
-8.44%2,035.6万
1.19%2,249.6万
-其中:短期借款
----
----
----
----
----
----
--0
--0
-8.44%2,035.6万
1.19%2,249.6万
-其中:资本租赁负债
7.69%2.8万
-77.22%3.6万
-77.22%3.6万
--4.5万
--7.1万
--2.6万
--15.8万
--15.8万
----
----
应付款项
-72.01%53.2万
94.34%51.5万
94.34%51.5万
-84.44%444.4万
-96.11%117.4万
-94.09%190.1万
-99.08%26.5万
-99.08%26.5万
-23.12%2,855.9万
-31.77%3,019.9万
-应付账款
-72.00%35万
--51.1万
--51.1万
-94.82%141.4万
-99.00%29.1万
-95.93%125万
--0
--0
11.23%2,729.9万
-9.14%2,905.5万
-应交税费
----
----
----
----
----
----
--0
--0
----
----
-其他应付款
-72.04%18.2万
-98.49%4,000
-98.49%4,000
140.48%303万
-22.81%88.3万
-55.20%65.1万
-32.57%26.5万
-32.57%26.5万
-90.00%126万
-90.69%114.4万
应计及递延所得
--183.8万
1,959.75%327.5万
1,959.75%327.5万
----
----
----
-96.98%15.9万
-96.98%15.9万
--0
109.07%255.9万
流动负债合计
24.44%239.8万
557.39%382.6万
557.39%382.6万
-90.82%448.9万
-97.75%124.5万
-96.64%192.7万
-98.97%58.2万
-98.97%58.2万
-19.29%4,891.5万
-18.41%5,525.4万
非流动负债
非流动金融负债
-28.38%5.3万
-74.15%5.3万
-74.15%5.3万
-97.75%5.3万
-97.96%5.3万
-97.17%7.4万
-92.06%20.5万
-92.06%20.5万
-63.38%235.1万
-59.53%259.8万
-长期借款及资本租赁
-28.38%5.3万
-74.15%5.3万
-74.15%5.3万
-97.75%5.3万
-97.96%5.3万
-97.17%7.4万
-92.06%20.5万
-92.06%20.5万
-63.38%235.1万
-59.53%259.8万
-其中:长期借款
----
----
----
----
----
----
--0
--0
-63.38%235.1万
-59.53%259.8万
-其中:长期资本租赁负债
-28.38%5.3万
-74.15%5.3万
-74.15%5.3万
--5.3万
--5.3万
--7.4万
--20.5万
--20.5万
----
----
非流动递延所得税负债
----
----
----
----
----
----
--0
--0
-11.97%244.9万
-2.67%273.4万
非流动负债合计
-28.38%5.3万
-74.15%5.3万
-74.15%5.3万
-98.90%5.3万
-99.01%5.3万
-98.63%7.4万
-96.17%20.5万
-96.17%20.5万
-47.84%480万
-42.23%533.2万
负债总额
22.49%245.1万
392.88%387.9万
392.88%387.9万
-91.54%454.2万
-97.86%129.8万
-96.81%200.1万
-98.73%78.7万
-98.73%78.7万
-23.05%5,371.5万
-21.26%6,058.6万
所有者权益
股本
9.27%4,670.2万
9.27%4,670.2万
9.27%4,670.2万
9.27%4,670.2万
-58.33%4,614.1万
-61.40%4,274.1万
-61.40%4,274.1万
-61.40%4,274.1万
-61.40%4,274.1万
0.00%1.11亿
-普通股
9.27%4,670.2万
9.27%4,670.2万
9.27%4,670.2万
9.27%4,670.2万
-58.33%4,614.1万
-61.40%4,274.1万
-61.40%4,274.1万
-61.40%4,274.1万
-61.40%4,274.1万
0.00%1.11亿
留存收益
-17.53%-3,240.7万
-24.43%-3,186.9万
-24.43%-3,186.9万
-142.95%-3,021.7万
-300.27%-2,883.7万
-270.52%-2,757.4万
-237.19%-2,561.1万
-237.19%-2,561.1万
221.76%7,034.6万
-37.26%1,439.9万
其他储备
--0
--0
--0
99.99%-5,000
100.59%55.6万
99.99%-5,000
99.99%-5,000
99.99%-5,000
-1.46%-9,670.6万
0.59%-9,478.4万
其他股本权益
--39.4万
--39.4万
--39.4万
--39.4万
----
----
----
----
----
----
股东权益
-3.12%1,468.9万
-11.08%1,522.7万
-11.08%1,522.7万
3.01%1,687.4万
-41.16%1,786万
-53.09%1,516.2万
-50.22%1,712.5万
-50.22%1,712.5万
-56.07%1,638.1万
-20.83%3,035.6万
总权益
-3.12%1,468.9万
-11.08%1,522.7万
-11.08%1,522.7万
3.01%1,687.4万
-41.16%1,786万
-53.09%1,516.2万
-50.22%1,712.5万
-50.22%1,712.5万
-56.07%1,638.1万
-20.83%3,035.6万
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(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 -9.89%1,177.4万-12.19%1,345万-12.19%1,345万-28.21%1,200.9万-46.31%1,159.7万-48.00%1,306.6万-39.20%1,531.8万-39.20%1,531.8万-32.77%1,672.8万0.78%2,159.9万
-现金及现金等价物 -52.90%107.2万63.02%271.1万63.02%271.1万88.64%365.2万-52.04%351.9万-79.51%227.6万-86.00%166.3万-86.00%166.3万-90.92%193.6万-63.12%733.7万
-其中:现金 -52.90%107.2万63.02%271.1万63.02%271.1万88.64%365.2万-52.04%351.9万-79.51%227.6万-86.00%166.3万-86.00%166.3万-90.92%193.6万-63.12%733.7万
-短期投资 -0.82%1,070.2万-21.35%1,073.9万-21.35%1,073.9万-43.50%835.7万-43.36%807.8万-23.04%1,079万2.56%1,365.5万2.56%1,365.5万314.69%1,479.2万828.52%1,426.2万
应收款项 32.59%527.3万-49.20%111.3万-49.20%111.3万-66.44%929.3万-76.87%743.5万-87.54%397.7万-93.31%219.1万-93.31%219.1万-14.95%2,769.2万-35.28%3,214.9万
-应收账款净额 -50.89%192.6万-49.56%108.7万-49.56%108.7万-81.10%474.8万-83.03%537.4万-87.56%392.2万-93.33%215.5万-93.33%215.5万-21.24%2,511.9万-33.97%3,166.3万
-其中:应收账款 -41.04%234.5万-31.86%150.6万-31.86%150.6万-82.26%480.3万-83.85%542.9万-88.12%397.7万-93.55%221万-93.55%221万--2,707.3万--3,361.7万
-其中:坏账准备 -661.82%-41.9万-661.82%-41.9万-661.82%-41.9万97.19%-5.5万97.19%-5.5万97.19%-5.5万97.19%-5.5万97.19%-5.5万---195.4万---195.4万
-其他应收款 5,985.45%334.7万-27.78%2.6万-27.78%2.6万76.64%454.5万324.07%206.1万-85.75%5.5万-91.95%3.6万-91.95%3.6万286.34%257.3万-71.81%48.6万
存货 --------------------------0--0--0-69.72%9.9万
预付费用 ----23,263.16%443.9万23,263.16%443.9万------------0.00%1.9万0.00%1.9万--------
税项资产 --------------------------0--0121.43%6.2万5.88%5.4万
其他流动资产 ---------------------------------8.43%63万1.16%69.6万
流动资产合计 0.02%1,704.7万8.41%1,900.2万8.41%1,900.2万-52.78%2,130.2万-65.14%1,903.2万-70.56%1,704.3万-70.19%1,752.8万-70.19%1,752.8万-22.97%4,511.2万-24.35%5,459.7万
非流动资产
物业厂房及设备净额 -22.50%9.3万-72.92%10.4万-72.92%10.4万-99.54%11.4万-99.65%12.6万-99.68%12万-98.97%38.4万-98.97%38.4万-34.25%2,498.4万-5.90%3,634.5万
-物业、厂房及设备 -22.50%9.3万-68.67%12.5万-68.67%12.5万-99.54%11.4万-99.65%12.6万-99.68%12万-99.52%39.9万-99.52%39.9万-34.25%2,498.4万-5.90%3,634.5万
-累计折旧 -----40.00%-2.1万-40.00%-2.1万------------99.97%-1.5万99.97%-1.5万--------
投资总额 ------0--0--------------0--0--------
-长期股权投资 ------0--0--------------0--0--------
-其他投资 --------------------------991.6万--991.6万--------
商誉及其他无形资产 ------0--0--------------0--0--------
非流动资产合计 -22.50%9.3万-72.92%10.4万-72.92%10.4万-99.54%11.4万-99.65%12.6万-99.68%12万-98.97%38.4万-98.97%38.4万-48.51%2,498.4万-15.71%3,634.5万
总资产 -0.13%1,714万6.67%1,910.6万6.67%1,910.6万-69.45%2,141.6万-78.93%1,915.8万-81.95%1,716.3万-81.37%1,791.2万-81.37%1,791.2万-34.55%7,009.6万-21.12%9,094.2万
负债
流动负债
金融负债 7.69%2.8万-77.22%3.6万-77.22%3.6万-99.78%4.5万-99.68%7.1万-99.89%2.6万-99.29%15.8万-99.29%15.8万-8.44%2,035.6万1.19%2,249.6万
-短期借款及资本租赁负债 7.69%2.8万-77.22%3.6万-77.22%3.6万-99.78%4.5万-99.68%7.1万-99.89%2.6万-99.29%15.8万-99.29%15.8万-8.44%2,035.6万1.19%2,249.6万
-其中:短期借款 --------------------------0--0-8.44%2,035.6万1.19%2,249.6万
-其中:资本租赁负债 7.69%2.8万-77.22%3.6万-77.22%3.6万--4.5万--7.1万--2.6万--15.8万--15.8万--------
应付款项 -72.01%53.2万94.34%51.5万94.34%51.5万-84.44%444.4万-96.11%117.4万-94.09%190.1万-99.08%26.5万-99.08%26.5万-23.12%2,855.9万-31.77%3,019.9万
-应付账款 -72.00%35万--51.1万--51.1万-94.82%141.4万-99.00%29.1万-95.93%125万--0--011.23%2,729.9万-9.14%2,905.5万
-应交税费 --------------------------0--0--------
-其他应付款 -72.04%18.2万-98.49%4,000-98.49%4,000140.48%303万-22.81%88.3万-55.20%65.1万-32.57%26.5万-32.57%26.5万-90.00%126万-90.69%114.4万
应计及递延所得 --183.8万1,959.75%327.5万1,959.75%327.5万-------------96.98%15.9万-96.98%15.9万--0109.07%255.9万
流动负债合计 24.44%239.8万557.39%382.6万557.39%382.6万-90.82%448.9万-97.75%124.5万-96.64%192.7万-98.97%58.2万-98.97%58.2万-19.29%4,891.5万-18.41%5,525.4万
非流动负债
非流动金融负债 -28.38%5.3万-74.15%5.3万-74.15%5.3万-97.75%5.3万-97.96%5.3万-97.17%7.4万-92.06%20.5万-92.06%20.5万-63.38%235.1万-59.53%259.8万
-长期借款及资本租赁 -28.38%5.3万-74.15%5.3万-74.15%5.3万-97.75%5.3万-97.96%5.3万-97.17%7.4万-92.06%20.5万-92.06%20.5万-63.38%235.1万-59.53%259.8万
-其中:长期借款 --------------------------0--0-63.38%235.1万-59.53%259.8万
-其中:长期资本租赁负债 -28.38%5.3万-74.15%5.3万-74.15%5.3万--5.3万--5.3万--7.4万--20.5万--20.5万--------
非流动递延所得税负债 --------------------------0--0-11.97%244.9万-2.67%273.4万
非流动负债合计 -28.38%5.3万-74.15%5.3万-74.15%5.3万-98.90%5.3万-99.01%5.3万-98.63%7.4万-96.17%20.5万-96.17%20.5万-47.84%480万-42.23%533.2万
负债总额 22.49%245.1万392.88%387.9万392.88%387.9万-91.54%454.2万-97.86%129.8万-96.81%200.1万-98.73%78.7万-98.73%78.7万-23.05%5,371.5万-21.26%6,058.6万
所有者权益
股本 9.27%4,670.2万9.27%4,670.2万9.27%4,670.2万9.27%4,670.2万-58.33%4,614.1万-61.40%4,274.1万-61.40%4,274.1万-61.40%4,274.1万-61.40%4,274.1万0.00%1.11亿
-普通股 9.27%4,670.2万9.27%4,670.2万9.27%4,670.2万9.27%4,670.2万-58.33%4,614.1万-61.40%4,274.1万-61.40%4,274.1万-61.40%4,274.1万-61.40%4,274.1万0.00%1.11亿
留存收益 -17.53%-3,240.7万-24.43%-3,186.9万-24.43%-3,186.9万-142.95%-3,021.7万-300.27%-2,883.7万-270.52%-2,757.4万-237.19%-2,561.1万-237.19%-2,561.1万221.76%7,034.6万-37.26%1,439.9万
其他储备 --0--0--099.99%-5,000100.59%55.6万99.99%-5,00099.99%-5,00099.99%-5,000-1.46%-9,670.6万0.59%-9,478.4万
其他股本权益 --39.4万--39.4万--39.4万--39.4万------------------------
股东权益 -3.12%1,468.9万-11.08%1,522.7万-11.08%1,522.7万3.01%1,687.4万-41.16%1,786万-53.09%1,516.2万-50.22%1,712.5万-50.22%1,712.5万-56.07%1,638.1万-20.83%3,035.6万
总权益 -3.12%1,468.9万-11.08%1,522.7万-11.08%1,522.7万3.01%1,687.4万-41.16%1,786万-53.09%1,516.2万-50.22%1,712.5万-50.22%1,712.5万-56.07%1,638.1万-20.83%3,035.6万
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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