马来西亚市场个股详情

MNRB (6459)

添加自选
  • 2.640
  • +0.030+1.15%
延时15分钟行情休市中 05/29 16:52 (北京)
20.67亿总市值3.79市盈率TTM

6459 MNRB

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2026/03/31
(Q4)2026/03/31
(Q3)2025/12/31
(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
资产
金融资产投资
30.41%126.51亿
30.41%126.51亿
6.35%125.86亿
9.14%125.61亿
6.98%122.9亿
2.74%97.01亿
2.74%97.01亿
9.01%118.35亿
8.16%115.1亿
8.48%114.88亿
-可供出售证券
279.74%126.51亿
279.74%126.51亿
6.35%125.86亿
9.14%125.61亿
6.98%122.9亿
-25.69%33.31亿
-25.69%33.31亿
9.01%118.35亿
8.16%115.1亿
8.48%114.88亿
-以公允价值计量且其变动计入当期损益的金融资产总额
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28.43%63.7亿
28.43%63.7亿
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长期股权投资
-1.27%1.64亿
-1.27%1.64亿
3.65%1.65亿
-9.63%1.6亿
-6.15%1.72亿
-5.21%1.66亿
-5.21%1.66亿
309.21%1.59亿
34.97%1.77亿
36.02%1.84亿
现金及现金等价物与短期投资
-97.97%4,595万
-97.97%4,595万
-14.01%9,362.9万
-63.31%7,569.5万
-27.61%8,587.8万
27.86%22.65亿
27.86%22.65亿
-39.15%1.09亿
-13.85%2.06亿
-19.79%1.19亿
-现金及现金等价物
-96.53%4,595万
-96.53%4,595万
-14.01%9,362.9万
-63.31%7,569.5万
-27.61%8,587.8万
15.55%13.23亿
15.55%13.23亿
-39.15%1.09亿
-13.85%2.06亿
-19.79%1.19亿
-短期投资
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----
50.36%9.42亿
50.36%9.42亿
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净贷款
----
----
----
----
----
-13.58%223.3万
-13.58%223.3万
----
----
----
再保险资产
21.78%7.52亿
21.78%7.52亿
4.89%7.41亿
-21.81%6.81亿
-7.32%6.35亿
20.85%6.18亿
20.85%6.18亿
-24.71%7.07亿
-6.49%8.71亿
14.20%6.85亿
保险合同资产
-3.31%1.02亿
-3.31%1.02亿
88.85%1.01亿
69.28%9,015.1万
3.76%5,525.5万
59.54%1.06亿
59.54%1.06亿
24.20%5,325.4万
49.20%5,325.4万
-13.85%5,325.4万
应收款项
-76.74%4,839.2万
-76.74%4,839.2万
30.30%4,871.5万
66.83%4,743万
74.83%4,712.2万
4.45%2.08亿
4.45%2.08亿
-2.79%3,738.8万
-27.38%2,843万
-43.21%2,695.3万
-其他应收款
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-7.71%1.59亿
-7.71%1.59亿
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-应收税款
-0.92%4,839.2万
-0.92%4,839.2万
30.30%4,871.5万
66.83%4,743万
74.83%4,712.2万
82.94%4,884万
82.94%4,884万
-2.79%3,738.8万
-27.38%2,843万
-43.21%2,695.3万
预付费用
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----
----
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167.27%617.4万
167.27%617.4万
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----
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物业、厂房及设备净额
-3.00%2.33亿
-3.00%2.33亿
-2.63%2.3亿
0.39%2.34亿
-0.31%2.36亿
0.99%2.4亿
0.99%2.4亿
0.90%2.36亿
1.72%2.33亿
3.61%2.37亿
-物业、厂房及设备
-20.15%2.33亿
-20.15%2.33亿
-2.63%2.3亿
0.39%2.34亿
-0.31%2.36亿
-0.33%2.92亿
-0.33%2.92亿
0.90%2.36亿
1.72%2.33亿
3.61%2.37亿
-累计折旧
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----
6.04%-5,159.1万
6.04%-5,159.1万
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商誉及其他无形资产
61.03%1.84亿
61.03%1.84亿
30.24%1.39亿
-4.09%1.13亿
0.93%1.18亿
-2.29%1.14亿
-2.29%1.14亿
66.51%1.07亿
86.24%1.17亿
105.42%1.16亿
-其他无形资产
61.03%1.84亿
61.03%1.84亿
30.24%1.39亿
-4.09%1.13亿
0.93%1.18亿
-2.29%1.14亿
-2.29%1.14亿
66.51%1.07亿
86.24%1.17亿
105.42%1.16亿
持有待售资产-流动资产
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--75.8万
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非流动递延所得税资产
-7.49%3,926.2万
-7.49%3,926.2万
15.47%3,986.3万
24.81%3,968.9万
-9.48%4,880.3万
-10.44%4,244.2万
-10.44%4,244.2万
3.00%3,452.1万
-2.26%3,179.9万
28.32%5,391.7万
总资产
5.58%142.2亿
5.58%142.2亿
6.52%141.45亿
5.85%140.02亿
5.60%136.87亿
7.13%134.69亿
7.13%134.69亿
6.85%132.78亿
7.18%132.29亿
8.85%129.62亿
负债
流动金融负债
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-36.24%154.1万
-36.24%154.1万
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-短期借款及资本租赁负债
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-36.24%154.1万
-36.24%154.1万
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----
-其中:短期资本租赁负债
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-36.24%154.1万
-36.24%154.1万
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保险合同负债
2.90%93.4亿
2.90%93.4亿
4.99%93.64亿
83,635.26%93.23亿
81,705.68%91.08亿
6.83%90.77亿
6.83%90.77亿
2.65%89.19亿
-99.87%1,113.4万
-99.86%1,113.4万
应付再保险余额
-25.70%2,535.5万
-25.70%2,535.5万
398.11%5,546万
-99.44%5,063.5万
-99.59%3,608.1万
6.84%3,412.4万
6.84%3,412.4万
-93.91%1,113.4万
5,272.17%89.81亿
5,332.51%87.43亿
应付款项
154.24%2.66亿
154.24%2.66亿
-24.02%2.67亿
-8.71%2.46亿
-17.54%2.72亿
39.92%1.05亿
39.92%1.05亿
68.00%3.52亿
-14.96%2.69亿
-19.49%3.3亿
-应交税费
278.79%2,411.4万
278.79%2,411.4万
16.95%754.1万
-58.48%757.2万
-68.07%549万
-76.85%636.6万
-76.85%636.6万
-65.06%644.8万
4.20%1,823.6万
30.83%1,719.4万
-其他应付款
146.17%2.42亿
146.17%2.42亿
-24.78%2.6亿
-5.09%2.38亿
-14.77%2.67亿
107.85%9,824.2万
107.85%9,824.2万
80.85%3.46亿
-16.08%2.51亿
-21.16%3.13亿
非流动金融负债
8.27%6.72亿
8.27%6.72亿
0.26%6.22亿
0.05%6.22亿
-0.10%6.21亿
-0.36%6.21亿
-0.36%6.21亿
18.92%6.21亿
18.99%6.22亿
18.92%6.22亿
-长期借款及资本租赁负债
8.27%6.72亿
8.27%6.72亿
0.26%6.22亿
0.05%6.22亿
-0.10%6.21亿
-0.36%6.21亿
-0.36%6.21亿
18.92%6.21亿
18.99%6.22亿
18.92%6.22亿
-其中:长借借款
8.06%6.7亿
8.06%6.7亿
0.00%6.2亿
0.00%6.2亿
0.00%6.2亿
0.00%6.2亿
0.00%6.2亿
19.23%6.2亿
19.23%6.2亿
19.23%6.2亿
-其中:长期资本租赁负债
178.86%209.7万
178.86%209.7万
304.53%214.4万
21.76%189.1万
-30.26%137.8万
-75.07%75.2万
-75.07%75.2万
-70.29%53万
-34.00%155.3万
-34.20%197.6万
分出保险合同中收到的存款
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-27.41%1,243.9万
-27.41%1,243.9万
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长期拨备
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0.83%1.01亿
0.83%1.01亿
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长期应计及递延收入
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-39.24%3,670万
-39.24%3,670万
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-长期应计费用
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-39.24%3,670万
-39.24%3,670万
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长期养老金及其他退休后福利计划
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-25.73%345.6万
-25.73%345.6万
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非流动递延所得税负债
-6.28%3,375.3万
-6.28%3,375.3万
39.65%5,602.1万
61.54%5,331.5万
32.24%4,730.4万
-9.68%3,601.4万
-9.68%3,601.4万
105.91%4,011.5万
103.15%3,300.5万
76.30%3,577.2万
其他负债
---1,000
---1,000
---1,000
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总负债
3.09%103.38亿
3.09%103.38亿
4.25%103.65亿
3.82%102.95亿
3.53%100.85亿
6.13%100.28亿
6.13%100.28亿
3.12%99.43亿
3.05%99.16亿
5.50%97.42亿
所有者权益
股本
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
-普通股
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
0.00%7.39亿
留存收益
18.01%30.6亿
18.01%30.6亿
17.75%29.46亿
16.72%28.74亿
16.55%27.61亿
13.87%25.93亿
13.87%25.93亿
32.23%25.02亿
33.63%24.62亿
32.35%23.69亿
固定资产重估储备
13.18%6,740.8万
13.18%6,740.8万
13.92%6,141.7万
12.48%6,063.7万
13.01%6,009.7万
10.47%5,955.7万
10.47%5,955.7万
3.59%5,391.1万
4.71%5,391.1万
4.69%5,317.9万
其他储备
-67.50%1,616.6万
-67.50%1,616.6万
-19.26%3,304.9万
-41.26%3,422.1万
-29.28%4,179.8万
-8.04%4,974.8万
-8.04%4,974.8万
-59.84%4,093.4万
-33.91%5,825.8万
-37.95%5,910.3万
股东权益
12.83%38.82亿
12.83%38.82亿
13.31%37.79亿
11.90%37.07亿
11.86%36.02亿
10.16%34.41亿
10.16%34.41亿
19.78%33.36亿
21.76%33.13亿
20.39%32.2亿
总权益
12.83%38.82亿
12.83%38.82亿
13.31%37.79亿
11.90%37.07亿
11.86%36.02亿
10.16%34.41亿
10.16%34.41亿
19.78%33.36亿
21.76%33.13亿
20.39%32.2亿
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)2026/03/31(Q4)2026/03/31(Q3)2025/12/31(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
资产
金融资产投资 30.41%126.51亿30.41%126.51亿6.35%125.86亿9.14%125.61亿6.98%122.9亿2.74%97.01亿2.74%97.01亿9.01%118.35亿8.16%115.1亿8.48%114.88亿
-可供出售证券 279.74%126.51亿279.74%126.51亿6.35%125.86亿9.14%125.61亿6.98%122.9亿-25.69%33.31亿-25.69%33.31亿9.01%118.35亿8.16%115.1亿8.48%114.88亿
-以公允价值计量且其变动计入当期损益的金融资产总额 --------------------28.43%63.7亿28.43%63.7亿------------
长期股权投资 -1.27%1.64亿-1.27%1.64亿3.65%1.65亿-9.63%1.6亿-6.15%1.72亿-5.21%1.66亿-5.21%1.66亿309.21%1.59亿34.97%1.77亿36.02%1.84亿
现金及现金等价物与短期投资 -97.97%4,595万-97.97%4,595万-14.01%9,362.9万-63.31%7,569.5万-27.61%8,587.8万27.86%22.65亿27.86%22.65亿-39.15%1.09亿-13.85%2.06亿-19.79%1.19亿
-现金及现金等价物 -96.53%4,595万-96.53%4,595万-14.01%9,362.9万-63.31%7,569.5万-27.61%8,587.8万15.55%13.23亿15.55%13.23亿-39.15%1.09亿-13.85%2.06亿-19.79%1.19亿
-短期投资 --------------------50.36%9.42亿50.36%9.42亿------------
净贷款 ---------------------13.58%223.3万-13.58%223.3万------------
再保险资产 21.78%7.52亿21.78%7.52亿4.89%7.41亿-21.81%6.81亿-7.32%6.35亿20.85%6.18亿20.85%6.18亿-24.71%7.07亿-6.49%8.71亿14.20%6.85亿
保险合同资产 -3.31%1.02亿-3.31%1.02亿88.85%1.01亿69.28%9,015.1万3.76%5,525.5万59.54%1.06亿59.54%1.06亿24.20%5,325.4万49.20%5,325.4万-13.85%5,325.4万
应收款项 -76.74%4,839.2万-76.74%4,839.2万30.30%4,871.5万66.83%4,743万74.83%4,712.2万4.45%2.08亿4.45%2.08亿-2.79%3,738.8万-27.38%2,843万-43.21%2,695.3万
-其他应收款 ---------------------7.71%1.59亿-7.71%1.59亿------------
-应收税款 -0.92%4,839.2万-0.92%4,839.2万30.30%4,871.5万66.83%4,743万74.83%4,712.2万82.94%4,884万82.94%4,884万-2.79%3,738.8万-27.38%2,843万-43.21%2,695.3万
预付费用 --------------------167.27%617.4万167.27%617.4万------------
物业、厂房及设备净额 -3.00%2.33亿-3.00%2.33亿-2.63%2.3亿0.39%2.34亿-0.31%2.36亿0.99%2.4亿0.99%2.4亿0.90%2.36亿1.72%2.33亿3.61%2.37亿
-物业、厂房及设备 -20.15%2.33亿-20.15%2.33亿-2.63%2.3亿0.39%2.34亿-0.31%2.36亿-0.33%2.92亿-0.33%2.92亿0.90%2.36亿1.72%2.33亿3.61%2.37亿
-累计折旧 --------------------6.04%-5,159.1万6.04%-5,159.1万------------
商誉及其他无形资产 61.03%1.84亿61.03%1.84亿30.24%1.39亿-4.09%1.13亿0.93%1.18亿-2.29%1.14亿-2.29%1.14亿66.51%1.07亿86.24%1.17亿105.42%1.16亿
-其他无形资产 61.03%1.84亿61.03%1.84亿30.24%1.39亿-4.09%1.13亿0.93%1.18亿-2.29%1.14亿-2.29%1.14亿66.51%1.07亿86.24%1.17亿105.42%1.16亿
持有待售资产-流动资产 ----------------------------------75.8万----
非流动递延所得税资产 -7.49%3,926.2万-7.49%3,926.2万15.47%3,986.3万24.81%3,968.9万-9.48%4,880.3万-10.44%4,244.2万-10.44%4,244.2万3.00%3,452.1万-2.26%3,179.9万28.32%5,391.7万
总资产 5.58%142.2亿5.58%142.2亿6.52%141.45亿5.85%140.02亿5.60%136.87亿7.13%134.69亿7.13%134.69亿6.85%132.78亿7.18%132.29亿8.85%129.62亿
负债
流动金融负债 ---------------------36.24%154.1万-36.24%154.1万------------
-短期借款及资本租赁负债 ---------------------36.24%154.1万-36.24%154.1万------------
-其中:短期资本租赁负债 ---------------------36.24%154.1万-36.24%154.1万------------
保险合同负债 2.90%93.4亿2.90%93.4亿4.99%93.64亿83,635.26%93.23亿81,705.68%91.08亿6.83%90.77亿6.83%90.77亿2.65%89.19亿-99.87%1,113.4万-99.86%1,113.4万
应付再保险余额 -25.70%2,535.5万-25.70%2,535.5万398.11%5,546万-99.44%5,063.5万-99.59%3,608.1万6.84%3,412.4万6.84%3,412.4万-93.91%1,113.4万5,272.17%89.81亿5,332.51%87.43亿
应付款项 154.24%2.66亿154.24%2.66亿-24.02%2.67亿-8.71%2.46亿-17.54%2.72亿39.92%1.05亿39.92%1.05亿68.00%3.52亿-14.96%2.69亿-19.49%3.3亿
-应交税费 278.79%2,411.4万278.79%2,411.4万16.95%754.1万-58.48%757.2万-68.07%549万-76.85%636.6万-76.85%636.6万-65.06%644.8万4.20%1,823.6万30.83%1,719.4万
-其他应付款 146.17%2.42亿146.17%2.42亿-24.78%2.6亿-5.09%2.38亿-14.77%2.67亿107.85%9,824.2万107.85%9,824.2万80.85%3.46亿-16.08%2.51亿-21.16%3.13亿
非流动金融负债 8.27%6.72亿8.27%6.72亿0.26%6.22亿0.05%6.22亿-0.10%6.21亿-0.36%6.21亿-0.36%6.21亿18.92%6.21亿18.99%6.22亿18.92%6.22亿
-长期借款及资本租赁负债 8.27%6.72亿8.27%6.72亿0.26%6.22亿0.05%6.22亿-0.10%6.21亿-0.36%6.21亿-0.36%6.21亿18.92%6.21亿18.99%6.22亿18.92%6.22亿
-其中:长借借款 8.06%6.7亿8.06%6.7亿0.00%6.2亿0.00%6.2亿0.00%6.2亿0.00%6.2亿0.00%6.2亿19.23%6.2亿19.23%6.2亿19.23%6.2亿
-其中:长期资本租赁负债 178.86%209.7万178.86%209.7万304.53%214.4万21.76%189.1万-30.26%137.8万-75.07%75.2万-75.07%75.2万-70.29%53万-34.00%155.3万-34.20%197.6万
分出保险合同中收到的存款 ---------------------27.41%1,243.9万-27.41%1,243.9万------------
长期拨备 --------------------0.83%1.01亿0.83%1.01亿------------
长期应计及递延收入 ---------------------39.24%3,670万-39.24%3,670万------------
-长期应计费用 ---------------------39.24%3,670万-39.24%3,670万------------
长期养老金及其他退休后福利计划 ---------------------25.73%345.6万-25.73%345.6万------------
非流动递延所得税负债 -6.28%3,375.3万-6.28%3,375.3万39.65%5,602.1万61.54%5,331.5万32.24%4,730.4万-9.68%3,601.4万-9.68%3,601.4万105.91%4,011.5万103.15%3,300.5万76.30%3,577.2万
其他负债 ---1,000---1,000---1,000----------------------------
总负债 3.09%103.38亿3.09%103.38亿4.25%103.65亿3.82%102.95亿3.53%100.85亿6.13%100.28亿6.13%100.28亿3.12%99.43亿3.05%99.16亿5.50%97.42亿
所有者权益
股本 0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿
-普通股 0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿0.00%7.39亿
留存收益 18.01%30.6亿18.01%30.6亿17.75%29.46亿16.72%28.74亿16.55%27.61亿13.87%25.93亿13.87%25.93亿32.23%25.02亿33.63%24.62亿32.35%23.69亿
固定资产重估储备 13.18%6,740.8万13.18%6,740.8万13.92%6,141.7万12.48%6,063.7万13.01%6,009.7万10.47%5,955.7万10.47%5,955.7万3.59%5,391.1万4.71%5,391.1万4.69%5,317.9万
其他储备 -67.50%1,616.6万-67.50%1,616.6万-19.26%3,304.9万-41.26%3,422.1万-29.28%4,179.8万-8.04%4,974.8万-8.04%4,974.8万-59.84%4,093.4万-33.91%5,825.8万-37.95%5,910.3万
股东权益 12.83%38.82亿12.83%38.82亿13.31%37.79亿11.90%37.07亿11.86%36.02亿10.16%34.41亿10.16%34.41亿19.78%33.36亿21.76%33.13亿20.39%32.2亿
总权益 12.83%38.82亿12.83%38.82亿13.31%37.79亿11.90%37.07亿11.86%36.02亿10.16%34.41亿10.16%34.41亿19.78%33.36亿21.76%33.13亿20.39%32.2亿
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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