马来西亚市场个股详情

TAKAFUL (6139)

添加自选
  • 3.390
  • 0.0000.00%
延时15分钟行情休市中 01/23 16:50 (北京)
29.57亿总市值7.81市盈率TTM

6139 TAKAFUL

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
资产
金融资产投资
9.96%112.02亿
12.42%111.12亿
11.84%107.96亿
53.56%10.61亿
53.56%10.61亿
11.96%101.88亿
11.43%98.84亿
9.91%96.54亿
-6.63%6.91亿
-6.63%6.91亿
-债务证券
6.73%94.9亿
11.77%95.97亿
10.20%93.03亿
----
----
10.11%88.91亿
7.89%85.86亿
7.31%84.42亿
----
----
-权益股份投资
15.52%6.31亿
10.79%6.2亿
16.89%5.75亿
----
----
49.52%5.46亿
122.32%5.6亿
87.02%4.92亿
----
----
-可供出售证券
44.18%10.81亿
21.22%8.95亿
27.58%9.18亿
----
----
13.75%7.5亿
11.82%7.38亿
10.17%7.19亿
----
----
-以公允价值计量且其变动计入当期损益的金融资产总额
----
----
----
53.56%10.61亿
53.56%10.61亿
----
----
----
-6.63%6.91亿
-6.63%6.91亿
现金及现金等价物与短期投资
84.06%12.03亿
96.95%11.99亿
17.65%7.79亿
7.88%101.62亿
7.88%101.62亿
-26.29%6.54亿
-17.13%6.09亿
-31.48%6.62亿
-5.32%94.2亿
-5.32%94.2亿
-现金及现金等价物
84.06%12.03亿
96.95%11.99亿
17.65%7.79亿
-23.72%6.5亿
-23.72%6.5亿
-26.29%6.54亿
-17.13%6.09亿
-31.48%6.62亿
-58.81%8.51亿
-58.81%8.51亿
-短期投资
----
----
----
11.02%95.13亿
11.02%95.13亿
----
----
----
8.71%85.69亿
8.71%85.69亿
净贷款
-15.63%21.4亿
-21.26%19.84亿
5.91%24.52亿
-2.07%213.3万
-2.07%213.3万
24.38%25.37亿
13.51%25.2亿
37.78%23.15亿
-6.60%217.8万
-6.60%217.8万
再保险资产
15.56%17.62亿
20.93%17.75亿
17.51%16.91亿
12.95%15.54亿
12.95%15.54亿
36.63%15.25亿
28.07%14.68亿
38.39%14.39亿
29.59%13.76亿
29.59%13.76亿
保险合同资产
54.39%8.54亿
44.79%8.19亿
33.71%8.12亿
104.54%7.85亿
104.54%7.85亿
52.94%5.53亿
45.70%5.66亿
59.69%6.07亿
17.45%3.84亿
17.45%3.84亿
应收款项
-12.83%1,298.5万
40.55%1,769.9万
103.44%1,795.8万
8.37%2.01亿
8.37%2.01亿
-40.27%1,489.7万
1,981.49%1,259.3万
--882.7万
47.27%1.85亿
47.27%1.85亿
-其他应收款
----
----
----
11.27%1.82亿
11.27%1.82亿
----
----
----
36.58%1.64亿
36.58%1.64亿
-应收税款
-12.83%1,298.5万
40.55%1,769.9万
103.44%1,795.8万
-13.66%1,857.3万
-13.66%1,857.3万
-40.27%1,489.7万
1,981.49%1,259.3万
--882.7万
263.55%2,151.1万
263.55%2,151.1万
承继再保险合同项下存款
----
----
----
14.20%22.54亿
14.20%22.54亿
----
----
----
310.54%19.74亿
310.54%19.74亿
预付费用
----
----
----
287.40%5,173.4万
287.40%5,173.4万
----
----
----
177.80%1,335.4万
177.80%1,335.4万
物业、厂房及设备净额
1.57%2.93亿
0.80%2.93亿
1.02%2.95亿
-0.24%2.92亿
-0.24%2.92亿
0.34%2.88亿
1.78%2.91亿
2.56%2.92亿
2.69%2.93亿
2.69%2.93亿
-物业、厂房及设备
1.57%2.93亿
0.80%2.93亿
1.02%2.95亿
0.94%4.52亿
0.94%4.52亿
0.34%2.88亿
1.78%2.91亿
2.56%2.92亿
3.07%4.47亿
3.07%4.47亿
-累计折旧
----
----
----
-3.17%-1.6亿
-3.17%-1.6亿
----
----
----
-3.79%-1.55亿
-3.79%-1.55亿
投资物业
-18.01%3,849.4万
-16.82%3,882.8万
-14.21%4,006.2万
0.46%4,059.5万
0.46%4,059.5万
-2.93%4,695.2万
-3.52%4,668.2万
18.37%4,669.7万
2.48%4,041万
2.48%4,041万
商誉及其他无形资产
44.82%3,770.2万
55.76%3,625.5万
34.10%3,314.4万
8.34%2,749.2万
8.34%2,749.2万
4.60%2,603.3万
9.97%2,327.6万
18.76%2,471.6万
44.25%2,537.5万
44.25%2,537.5万
-其他无形资产
44.82%3,770.2万
55.76%3,625.5万
34.10%3,314.4万
8.34%2,749.2万
8.34%2,749.2万
4.60%2,603.3万
9.97%2,327.6万
18.76%2,471.6万
44.25%2,537.5万
44.25%2,537.5万
非流动递延所得税资产
-1.28%2.68亿
-2.40%2.67亿
-1.23%2.71亿
-0.20%2.72亿
-0.20%2.72亿
-2.01%2.71亿
0.53%2.73亿
-10.91%2.74亿
-1.46%2.73亿
-1.46%2.73亿
总资产
10.61%178.11亿
11.78%175.42亿
12.16%171.87亿
13.81%167.03亿
13.81%167.03亿
13.68%161.04亿
12.20%156.93亿
13.49%153.24亿
10.26%146.76亿
10.26%146.76亿
负债
流动金融负债
----
----
----
--42.9万
--42.9万
----
----
----
----
----
-短期借款及资本租赁负债
----
----
----
--42.9万
--42.9万
----
----
----
----
----
-其中:短期资本租赁负债
----
----
----
--42.9万
--42.9万
----
----
----
----
----
保险合同负债
12.70%3.39亿
5,719.23%146.84亿
31.11%3.48亿
14.14%140.6亿
14.14%140.6亿
18.40%3.01亿
-97.87%2.52亿
-97.73%2.65亿
9.12%123.19亿
9.12%123.19亿
应付再保险余额
6.06%143.5亿
-97.25%3.65亿
9.75%142.52亿
9.89%2.94亿
9.89%2.94亿
15.04%135.29亿
5,277.96%132.72亿
17,594.50%129.86亿
27.39%2.68亿
27.39%2.68亿
应付款项
-10.58%2.34亿
-17.72%2.13亿
66.95%4.14亿
2.71%3.85亿
2.71%3.85亿
-35.11%2.61亿
18.37%2.58亿
12.70%2.48亿
2.13%3.75亿
2.13%3.75亿
-应交税费
-45.85%1,374.5万
-47.08%604.9万
23.37%599.1万
-25.62%1,762万
-25.62%1,762万
89.84%2,538.3万
71.25%1,143.1万
-61.39%485.6万
-2.05%2,368.8万
-2.05%2,368.8万
-应付股息
----
----
----
21.43%1.42亿
21.43%1.42亿
----
----
----
3.70%1.17亿
3.70%1.17亿
-其他应付款
-6.79%2.2亿
-16.36%2.07亿
67.82%4.08亿
-3.81%2.25亿
-3.81%2.25亿
-39.40%2.36亿
16.70%2.47亿
17.19%2.43亿
1.80%2.34亿
1.80%2.34亿
非流动金融负债
91,036.91%5.01亿
49.38%109.2万
79.37%135.6万
-20.18%72.4万
-20.18%72.4万
11.34%55万
20.43%73.1万
2.58%75.6万
110.44%90.7万
110.44%90.7万
-长期借款及资本租赁负债
91,036.91%5.01亿
49.38%109.2万
79.37%135.6万
-20.18%72.4万
-20.18%72.4万
11.34%55万
20.43%73.1万
2.58%75.6万
110.44%90.7万
110.44%90.7万
-其中:长借借款
--5亿
----
----
----
----
----
----
----
----
----
-其中:长期资本租赁负债
108.73%114.8万
49.38%109.2万
79.37%135.6万
-20.18%72.4万
-20.18%72.4万
11.34%55万
20.43%73.1万
2.58%75.6万
110.44%90.7万
110.44%90.7万
非流动递延所得税负债
--1,762.3万
--1,569.5万
--993.7万
--1,112.3万
--1,112.3万
----
----
----
--0
--0
总负债
9.57%154.42亿
10.85%152.79亿
11.30%150.25亿
13.81%147.51亿
13.81%147.51亿
13.48%140.93亿
11.87%137.83亿
12.48%135亿
9.23%129.62亿
9.23%129.62亿
所有者权益
股本
48.26%3.58亿
48.26%3.58亿
48.26%3.58亿
0.00%2.41亿
0.00%2.41亿
0.00%2.41亿
0.00%2.41亿
0.00%2.41亿
0.00%2.41亿
0.00%2.41亿
-普通股
48.26%3.58亿
48.26%3.58亿
48.26%3.58亿
0.00%2.41亿
0.00%2.41亿
0.00%2.41亿
0.00%2.41亿
0.00%2.41亿
0.00%2.41亿
0.00%2.41亿
留存收益
13.68%19.4亿
13.62%18.25亿
15.07%17.41亿
16.71%16.47亿
16.71%16.47亿
15.91%17.07亿
16.27%16.06亿
23.44%15.13亿
19.55%14.11亿
19.55%14.11亿
固定资产重估储备
4.05%2,186.7万
3.68%2,165.8万
3.47%2,145.6万
3.36%2,124.8万
3.36%2,124.8万
3.39%2,101.6万
2.87%2,088.9万
3.63%2,073.7万
3.04%2,055.7万
3.04%2,055.7万
其他储备
108.18%1,704.2万
296.14%2,605万
-41.36%785.9万
28.88%806.3万
28.88%806.3万
136.30%818.6万
153.55%657.6万
173.05%1,340.1万
119.86%625.6万
119.86%625.6万
股东权益
18.19%23.37亿
18.96%22.31亿
18.99%21.28亿
14.19%19.17亿
14.19%19.17亿
15.52%19.77亿
14.97%18.75亿
21.77%17.89亿
19.08%16.79亿
19.08%16.79亿
非控制性权益
-3.63%3,240.3万
-6.61%3,286.2万
-4.95%3,347万
-3.04%3,410.7万
-3.04%3,410.7万
-5.68%3,362.3万
-2.87%3,518.7万
12.09%3,521.4万
4.94%3,517.5万
4.94%3,517.5万
总权益
17.83%23.7亿
18.49%22.63亿
18.53%21.62亿
13.84%19.51亿
13.84%19.51亿
15.09%20.11亿
14.58%19.1亿
21.57%18.24亿
18.76%17.14亿
18.76%17.14亿
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(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
资产
金融资产投资 9.96%112.02亿12.42%111.12亿11.84%107.96亿53.56%10.61亿53.56%10.61亿11.96%101.88亿11.43%98.84亿9.91%96.54亿-6.63%6.91亿-6.63%6.91亿
-债务证券 6.73%94.9亿11.77%95.97亿10.20%93.03亿--------10.11%88.91亿7.89%85.86亿7.31%84.42亿--------
-权益股份投资 15.52%6.31亿10.79%6.2亿16.89%5.75亿--------49.52%5.46亿122.32%5.6亿87.02%4.92亿--------
-可供出售证券 44.18%10.81亿21.22%8.95亿27.58%9.18亿--------13.75%7.5亿11.82%7.38亿10.17%7.19亿--------
-以公允价值计量且其变动计入当期损益的金融资产总额 ------------53.56%10.61亿53.56%10.61亿-------------6.63%6.91亿-6.63%6.91亿
现金及现金等价物与短期投资 84.06%12.03亿96.95%11.99亿17.65%7.79亿7.88%101.62亿7.88%101.62亿-26.29%6.54亿-17.13%6.09亿-31.48%6.62亿-5.32%94.2亿-5.32%94.2亿
-现金及现金等价物 84.06%12.03亿96.95%11.99亿17.65%7.79亿-23.72%6.5亿-23.72%6.5亿-26.29%6.54亿-17.13%6.09亿-31.48%6.62亿-58.81%8.51亿-58.81%8.51亿
-短期投资 ------------11.02%95.13亿11.02%95.13亿------------8.71%85.69亿8.71%85.69亿
净贷款 -15.63%21.4亿-21.26%19.84亿5.91%24.52亿-2.07%213.3万-2.07%213.3万24.38%25.37亿13.51%25.2亿37.78%23.15亿-6.60%217.8万-6.60%217.8万
再保险资产 15.56%17.62亿20.93%17.75亿17.51%16.91亿12.95%15.54亿12.95%15.54亿36.63%15.25亿28.07%14.68亿38.39%14.39亿29.59%13.76亿29.59%13.76亿
保险合同资产 54.39%8.54亿44.79%8.19亿33.71%8.12亿104.54%7.85亿104.54%7.85亿52.94%5.53亿45.70%5.66亿59.69%6.07亿17.45%3.84亿17.45%3.84亿
应收款项 -12.83%1,298.5万40.55%1,769.9万103.44%1,795.8万8.37%2.01亿8.37%2.01亿-40.27%1,489.7万1,981.49%1,259.3万--882.7万47.27%1.85亿47.27%1.85亿
-其他应收款 ------------11.27%1.82亿11.27%1.82亿------------36.58%1.64亿36.58%1.64亿
-应收税款 -12.83%1,298.5万40.55%1,769.9万103.44%1,795.8万-13.66%1,857.3万-13.66%1,857.3万-40.27%1,489.7万1,981.49%1,259.3万--882.7万263.55%2,151.1万263.55%2,151.1万
承继再保险合同项下存款 ------------14.20%22.54亿14.20%22.54亿------------310.54%19.74亿310.54%19.74亿
预付费用 ------------287.40%5,173.4万287.40%5,173.4万------------177.80%1,335.4万177.80%1,335.4万
物业、厂房及设备净额 1.57%2.93亿0.80%2.93亿1.02%2.95亿-0.24%2.92亿-0.24%2.92亿0.34%2.88亿1.78%2.91亿2.56%2.92亿2.69%2.93亿2.69%2.93亿
-物业、厂房及设备 1.57%2.93亿0.80%2.93亿1.02%2.95亿0.94%4.52亿0.94%4.52亿0.34%2.88亿1.78%2.91亿2.56%2.92亿3.07%4.47亿3.07%4.47亿
-累计折旧 -------------3.17%-1.6亿-3.17%-1.6亿-------------3.79%-1.55亿-3.79%-1.55亿
投资物业 -18.01%3,849.4万-16.82%3,882.8万-14.21%4,006.2万0.46%4,059.5万0.46%4,059.5万-2.93%4,695.2万-3.52%4,668.2万18.37%4,669.7万2.48%4,041万2.48%4,041万
商誉及其他无形资产 44.82%3,770.2万55.76%3,625.5万34.10%3,314.4万8.34%2,749.2万8.34%2,749.2万4.60%2,603.3万9.97%2,327.6万18.76%2,471.6万44.25%2,537.5万44.25%2,537.5万
-其他无形资产 44.82%3,770.2万55.76%3,625.5万34.10%3,314.4万8.34%2,749.2万8.34%2,749.2万4.60%2,603.3万9.97%2,327.6万18.76%2,471.6万44.25%2,537.5万44.25%2,537.5万
非流动递延所得税资产 -1.28%2.68亿-2.40%2.67亿-1.23%2.71亿-0.20%2.72亿-0.20%2.72亿-2.01%2.71亿0.53%2.73亿-10.91%2.74亿-1.46%2.73亿-1.46%2.73亿
总资产 10.61%178.11亿11.78%175.42亿12.16%171.87亿13.81%167.03亿13.81%167.03亿13.68%161.04亿12.20%156.93亿13.49%153.24亿10.26%146.76亿10.26%146.76亿
负债
流动金融负债 --------------42.9万--42.9万--------------------
-短期借款及资本租赁负债 --------------42.9万--42.9万--------------------
-其中:短期资本租赁负债 --------------42.9万--42.9万--------------------
保险合同负债 12.70%3.39亿5,719.23%146.84亿31.11%3.48亿14.14%140.6亿14.14%140.6亿18.40%3.01亿-97.87%2.52亿-97.73%2.65亿9.12%123.19亿9.12%123.19亿
应付再保险余额 6.06%143.5亿-97.25%3.65亿9.75%142.52亿9.89%2.94亿9.89%2.94亿15.04%135.29亿5,277.96%132.72亿17,594.50%129.86亿27.39%2.68亿27.39%2.68亿
应付款项 -10.58%2.34亿-17.72%2.13亿66.95%4.14亿2.71%3.85亿2.71%3.85亿-35.11%2.61亿18.37%2.58亿12.70%2.48亿2.13%3.75亿2.13%3.75亿
-应交税费 -45.85%1,374.5万-47.08%604.9万23.37%599.1万-25.62%1,762万-25.62%1,762万89.84%2,538.3万71.25%1,143.1万-61.39%485.6万-2.05%2,368.8万-2.05%2,368.8万
-应付股息 ------------21.43%1.42亿21.43%1.42亿------------3.70%1.17亿3.70%1.17亿
-其他应付款 -6.79%2.2亿-16.36%2.07亿67.82%4.08亿-3.81%2.25亿-3.81%2.25亿-39.40%2.36亿16.70%2.47亿17.19%2.43亿1.80%2.34亿1.80%2.34亿
非流动金融负债 91,036.91%5.01亿49.38%109.2万79.37%135.6万-20.18%72.4万-20.18%72.4万11.34%55万20.43%73.1万2.58%75.6万110.44%90.7万110.44%90.7万
-长期借款及资本租赁负债 91,036.91%5.01亿49.38%109.2万79.37%135.6万-20.18%72.4万-20.18%72.4万11.34%55万20.43%73.1万2.58%75.6万110.44%90.7万110.44%90.7万
-其中:长借借款 --5亿------------------------------------
-其中:长期资本租赁负债 108.73%114.8万49.38%109.2万79.37%135.6万-20.18%72.4万-20.18%72.4万11.34%55万20.43%73.1万2.58%75.6万110.44%90.7万110.44%90.7万
非流动递延所得税负债 --1,762.3万--1,569.5万--993.7万--1,112.3万--1,112.3万--------------0--0
总负债 9.57%154.42亿10.85%152.79亿11.30%150.25亿13.81%147.51亿13.81%147.51亿13.48%140.93亿11.87%137.83亿12.48%135亿9.23%129.62亿9.23%129.62亿
所有者权益
股本 48.26%3.58亿48.26%3.58亿48.26%3.58亿0.00%2.41亿0.00%2.41亿0.00%2.41亿0.00%2.41亿0.00%2.41亿0.00%2.41亿0.00%2.41亿
-普通股 48.26%3.58亿48.26%3.58亿48.26%3.58亿0.00%2.41亿0.00%2.41亿0.00%2.41亿0.00%2.41亿0.00%2.41亿0.00%2.41亿0.00%2.41亿
留存收益 13.68%19.4亿13.62%18.25亿15.07%17.41亿16.71%16.47亿16.71%16.47亿15.91%17.07亿16.27%16.06亿23.44%15.13亿19.55%14.11亿19.55%14.11亿
固定资产重估储备 4.05%2,186.7万3.68%2,165.8万3.47%2,145.6万3.36%2,124.8万3.36%2,124.8万3.39%2,101.6万2.87%2,088.9万3.63%2,073.7万3.04%2,055.7万3.04%2,055.7万
其他储备 108.18%1,704.2万296.14%2,605万-41.36%785.9万28.88%806.3万28.88%806.3万136.30%818.6万153.55%657.6万173.05%1,340.1万119.86%625.6万119.86%625.6万
股东权益 18.19%23.37亿18.96%22.31亿18.99%21.28亿14.19%19.17亿14.19%19.17亿15.52%19.77亿14.97%18.75亿21.77%17.89亿19.08%16.79亿19.08%16.79亿
非控制性权益 -3.63%3,240.3万-6.61%3,286.2万-4.95%3,347万-3.04%3,410.7万-3.04%3,410.7万-5.68%3,362.3万-2.87%3,518.7万12.09%3,521.4万4.94%3,517.5万4.94%3,517.5万
总权益 17.83%23.7亿18.49%22.63亿18.53%21.62亿13.84%19.51亿13.84%19.51亿15.09%20.11亿14.58%19.1亿21.57%18.24亿18.76%17.14亿18.76%17.14亿
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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