马来西亚市场个股详情

SKPRES (7155)

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  • 0.355
  • +0.020+5.97%
延时15分钟行情休市中 05/29 16:58 (北京)
5.55亿总市值16.14市盈率TTM

7155 SKPRES

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
经营活动现金流量(间接法)
经营活动产生的现金
118.99%2.94亿
267.19%1.17亿
-33.27%7,585.5万
497.07%4,884.4万
4,125.42%5,286万
-48.78%1.34亿
-54.91%3,182.1万
100.28%1.14亿
-122.62%-1,230.1万
-98.45%125.1万
扣除非现金调整前净利润
-64.73%5,313.2万
-215.21%-4,007.1万
-36.87%2,121.8万
-19.61%3,616.1万
-3.93%3,582.4万
25.47%1.51亿
30.29%3,478.1万
11.92%3,360.9万
27.22%4,498.3万
33.20%3,729万
非现金项目调整总额
45.88%6,990.8万
140.05%2,900万
25.38%1,355.5万
9.24%1,437.4万
9.32%1,297.9万
11.16%4,792.3万
17.46%1,208.1万
-3.94%1,081.1万
21.31%1,315.8万
10.71%1,187.3万
-折旧与摊销
5.30%5,832.6万
-23.81%1,415.6万
23.15%1,470.1万
19.87%1,480.8万
17.10%1,466.1万
20.11%5,539万
64.98%1,858万
2.23%1,193.7万
6.10%1,235.3万
8.54%1,252万
-在损益中确认的减值损失回拨
634.98%1,401.1万
634.48%1,399.8万
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----
----
-245.91%-261.9万
-258.54%-261.9万
--0
----
----
-资产准备金与勾销
7,407.69%97.6万
----
----
----
----
-97.27%1.3万
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-处置利润
-50.20%-708.2万
54.30%-208.9万
-1,910.53%-152.8万
-7,561.54%-194万
-1,522.34%-152.5万
0.90%-471.5万
1.80%-457.1万
-153.33%-7.6万
-3.70%2.6万
6.00%-9.4万
-汇兑损益净额
513.89%238.4万
193.01%166.4万
176.86%18.6万
-24.95%105万
-1,021.43%-51.6万
-23.08%-57.6万
-85.58%-178.9万
-139.67%-24.2万
1,898.57%139.9万
130.43%5.6万
-其他非现金项目
200.70%129.3万
-88.04%29.5万
122.65%18.3万
173.55%45.6万
158.95%35.9万
926.92%43万
-1.83%246.7万
19.28%-80.8万
40.21%-62万
-15.56%-60.9万
营运资本变动
367.15%1.71亿
950.45%1.28亿
-40.67%4,108.2万
97.60%-169.1万
108.47%405.7万
-164.60%-6,414.6万
-144.78%-1,504.1万
347.63%6,924.9万
-962.41%-7,044.2万
-213.89%-4,791.2万
-应收款(增)减
381.64%2.63亿
311.38%1.64亿
-56.47%7,992.9万
127.56%2,069.2万
98.09%-236.8万
-602.90%-9,324.7万
-650.67%-7,776万
30.85%1.84亿
33.82%-7,506.9万
-452.01%-1.24亿
-存货(增)减
294.75%4,692.3万
-50.90%1,047.6万
56.96%4,622.5万
710.84%1,239.4万
69.57%-2,217.2万
-138.15%-2,409.4万
645.23%2,133.5万
-27.04%2,945.1万
-113.27%-202.9万
-738.54%-7,285.1万
-预付费用(增)减
139.34%21.4万
251.87%378.6万
170.68%255.3万
-134.40%-400.4万
65.12%-212.1万
-118.53%-54.4万
-119.59%-249.3万
52.23%-361.2万
691.90%1,164.1万
-64.28%-608万
-应付款(减)增
-562.11%-1.39亿
-281.76%-4,466.8万
27.62%-9,125.2万
-305.25%-3,296.1万
-74.41%2,958.4万
53.54%3,014.4万
99.60%2,457.5万
25.73%-1.26亿
-88.61%1,605.9万
220.57%1.16亿
-其他流动资产变动
-96.18%90.2万
-131.33%-604.7万
125.70%362.7万
110.40%218.8万
-97.13%113.4万
575.23%2,359.5万
1,264.17%1,930.2万
-216.67%-1,411.4万
41.82%-2,104.4万
89.95%3,945.1万
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)
10.80%-381.7万
27.18%-95.4万
6.58%-88万
4.02%-95.4万
0.39%-102.9万
-38.84%-427.9万
-34.91%-131万
-29.93%-94.2万
-42.20%-99.4万
-50.36%-103.3万
已收到的利息(经营活动产生的现金流)
已支付退税
7.53%-2,849.6万
105.88%53万
-70.43%-1,575.8万
4.15%-610万
-15.86%-716.8万
14.04%-3,081.6万
-35.01%-901.9万
29.93%-924.6万
16.60%-636.4万
25.83%-618.7万
其他经营现金流入(流出)
0
0
0
0
0
0
0
0
0
0
经营活动现金净额
163.82%2.62亿
441.69%1.16亿
-42.78%5,921.7万
312.57%4,179万
848.25%4,466.3万
-55.56%9,934.5万
-65.84%2,149.2万
141.58%1.03亿
-142.70%-1,965.9万
-108.32%-596.9万
投资活动现金流量
物业、厂房及设备交易净额
-45.82%-5,210.9万
-52.33%-2,724.3万
-1,446.99%-823万
12.86%-1,018.7万
-14.55%-644.9万
28.31%-3,573.6万
42.40%-1,788.4万
82.74%-53.2万
-42.25%-1,169万
24.95%-563万
投资产品交易净额
-4,614.60%-8,686.1万
-322.48%-5,030.9万
125.60%1,011.9万
-140.33%-1,582.6万
-318.46%-3,084.5万
101.85%192.4万
69.36%-1,190.8万
-183.89%-3,952.9万
176.63%3,924.2万
123.05%1,411.9万
已收到的股息(投资活动产生的现金流)
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--0
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已收到的利息(投资活动产生的现金流)
-27.99%252.4万
143.90%65.9万
-60.17%69.7万
-69.14%49.8万
-59.20%67万
11.84%350.5万
2.66%-150.1万
1.39%175万
-7.03%161.4万
35.26%164.2万
投资活动现金净额
-350.21%-1.36亿
-145.72%-7,689.3万
106.75%258.6万
-187.48%-2,551.5万
-461.50%-3,662.4万
79.92%-3,030.7万
56.21%-3,129.3万
-183.71%-3,831.1万
150.56%2,916.6万
115.00%1,013.1万
融资活动现金流量
债务发行/偿还的净额
0.00%-300万
0.00%-75万
0.00%-75万
0.00%-75万
0.00%-75万
19.35%-300万
86.96%-75万
0.00%-75万
-117.65%-75万
48.98%-75万
租赁融资增减
-5.51%-1,119万
27.01%-266.7万
-31.95%-286.6万
-18.42%-284.2万
-18.28%-281.5万
-128.28%-1,060.6万
-321.94%-365.4万
-70.62%-217.2万
-94.65%-240万
-86.81%-238万
已支付现金股息
-28.43%-5,858.9万
--0
----
----
----
35.11%-4,562.1万
--0
----
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融资活动现金净额
-22.88%-7,277.9万
22.41%-341.7万
-28.14%-6,220.5万
-14.03%-359.2万
-13.90%-356.5万
24.72%-5,922.7万
33.43%-440.4万
32.89%-4,854.3万
-204.41%-315万
-14.07%-313万
现金净流量
期初现金流
23.43%5,068.7万
3.41%6,701.8万
41.45%6,760.8万
30.19%5,496.6万
23.02%5,068.7万
-12.46%4,106.4万
15.49%6,480.5万
19.89%4,779.7万
-12.95%4,222万
-12.16%4,120.3万
现金变动
438.84%5,286.6万
354.21%3,611.1万
-102.42%-40.2万
99.51%1,268.3万
333.53%447.4万
262.70%981.1万
6.23%-1,420.5万
2.18%1,662.7万
173.66%635.7万
-30.13%103.2万
汇率变动影响
23.40%-14.4万
23.89%28万
-149.34%-18.8万
94.74%-4.1万
-1,200.00%-19.5万
-200.53%-18.8万
130.61%22.6万
1,565.38%38.1万
---78万
-113.04%-1.5万
期末现金
104.01%1.03亿
104.01%1.03亿
3.41%6,701.8万
41.45%6,760.8万
30.19%5,496.6万
23.43%5,068.7万
23.43%5,068.7万
15.49%6,480.5万
19.89%4,779.7万
-12.95%4,222万
自由现金流
234.03%2.1亿
2,671.65%8,916.4万
-50.51%5,094.2万
199.10%3,143.8万
426.13%3,806.9万
-63.46%6,275.2万
-89.30%321.7万
159.07%1.03亿
-183.85%-3,172.5万
-118.21%-1,167.3万
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(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
经营活动现金流量(间接法)
经营活动产生的现金 118.99%2.94亿267.19%1.17亿-33.27%7,585.5万497.07%4,884.4万4,125.42%5,286万-48.78%1.34亿-54.91%3,182.1万100.28%1.14亿-122.62%-1,230.1万-98.45%125.1万
扣除非现金调整前净利润 -64.73%5,313.2万-215.21%-4,007.1万-36.87%2,121.8万-19.61%3,616.1万-3.93%3,582.4万25.47%1.51亿30.29%3,478.1万11.92%3,360.9万27.22%4,498.3万33.20%3,729万
非现金项目调整总额 45.88%6,990.8万140.05%2,900万25.38%1,355.5万9.24%1,437.4万9.32%1,297.9万11.16%4,792.3万17.46%1,208.1万-3.94%1,081.1万21.31%1,315.8万10.71%1,187.3万
-折旧与摊销 5.30%5,832.6万-23.81%1,415.6万23.15%1,470.1万19.87%1,480.8万17.10%1,466.1万20.11%5,539万64.98%1,858万2.23%1,193.7万6.10%1,235.3万8.54%1,252万
-在损益中确认的减值损失回拨 634.98%1,401.1万634.48%1,399.8万-------------245.91%-261.9万-258.54%-261.9万--0--------
-资产准备金与勾销 7,407.69%97.6万-----------------97.27%1.3万----------------
-处置利润 -50.20%-708.2万54.30%-208.9万-1,910.53%-152.8万-7,561.54%-194万-1,522.34%-152.5万0.90%-471.5万1.80%-457.1万-153.33%-7.6万-3.70%2.6万6.00%-9.4万
-汇兑损益净额 513.89%238.4万193.01%166.4万176.86%18.6万-24.95%105万-1,021.43%-51.6万-23.08%-57.6万-85.58%-178.9万-139.67%-24.2万1,898.57%139.9万130.43%5.6万
-其他非现金项目 200.70%129.3万-88.04%29.5万122.65%18.3万173.55%45.6万158.95%35.9万926.92%43万-1.83%246.7万19.28%-80.8万40.21%-62万-15.56%-60.9万
营运资本变动 367.15%1.71亿950.45%1.28亿-40.67%4,108.2万97.60%-169.1万108.47%405.7万-164.60%-6,414.6万-144.78%-1,504.1万347.63%6,924.9万-962.41%-7,044.2万-213.89%-4,791.2万
-应收款(增)减 381.64%2.63亿311.38%1.64亿-56.47%7,992.9万127.56%2,069.2万98.09%-236.8万-602.90%-9,324.7万-650.67%-7,776万30.85%1.84亿33.82%-7,506.9万-452.01%-1.24亿
-存货(增)减 294.75%4,692.3万-50.90%1,047.6万56.96%4,622.5万710.84%1,239.4万69.57%-2,217.2万-138.15%-2,409.4万645.23%2,133.5万-27.04%2,945.1万-113.27%-202.9万-738.54%-7,285.1万
-预付费用(增)减 139.34%21.4万251.87%378.6万170.68%255.3万-134.40%-400.4万65.12%-212.1万-118.53%-54.4万-119.59%-249.3万52.23%-361.2万691.90%1,164.1万-64.28%-608万
-应付款(减)增 -562.11%-1.39亿-281.76%-4,466.8万27.62%-9,125.2万-305.25%-3,296.1万-74.41%2,958.4万53.54%3,014.4万99.60%2,457.5万25.73%-1.26亿-88.61%1,605.9万220.57%1.16亿
-其他流动资产变动 -96.18%90.2万-131.33%-604.7万125.70%362.7万110.40%218.8万-97.13%113.4万575.23%2,359.5万1,264.17%1,930.2万-216.67%-1,411.4万41.82%-2,104.4万89.95%3,945.1万
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) 10.80%-381.7万27.18%-95.4万6.58%-88万4.02%-95.4万0.39%-102.9万-38.84%-427.9万-34.91%-131万-29.93%-94.2万-42.20%-99.4万-50.36%-103.3万
已收到的利息(经营活动产生的现金流)
已支付退税 7.53%-2,849.6万105.88%53万-70.43%-1,575.8万4.15%-610万-15.86%-716.8万14.04%-3,081.6万-35.01%-901.9万29.93%-924.6万16.60%-636.4万25.83%-618.7万
其他经营现金流入(流出) 0000000000
经营活动现金净额 163.82%2.62亿441.69%1.16亿-42.78%5,921.7万312.57%4,179万848.25%4,466.3万-55.56%9,934.5万-65.84%2,149.2万141.58%1.03亿-142.70%-1,965.9万-108.32%-596.9万
投资活动现金流量
物业、厂房及设备交易净额 -45.82%-5,210.9万-52.33%-2,724.3万-1,446.99%-823万12.86%-1,018.7万-14.55%-644.9万28.31%-3,573.6万42.40%-1,788.4万82.74%-53.2万-42.25%-1,169万24.95%-563万
投资产品交易净额 -4,614.60%-8,686.1万-322.48%-5,030.9万125.60%1,011.9万-140.33%-1,582.6万-318.46%-3,084.5万101.85%192.4万69.36%-1,190.8万-183.89%-3,952.9万176.63%3,924.2万123.05%1,411.9万
已收到的股息(投资活动产生的现金流) ----------------------0----------------
已收到的利息(投资活动产生的现金流) -27.99%252.4万143.90%65.9万-60.17%69.7万-69.14%49.8万-59.20%67万11.84%350.5万2.66%-150.1万1.39%175万-7.03%161.4万35.26%164.2万
投资活动现金净额 -350.21%-1.36亿-145.72%-7,689.3万106.75%258.6万-187.48%-2,551.5万-461.50%-3,662.4万79.92%-3,030.7万56.21%-3,129.3万-183.71%-3,831.1万150.56%2,916.6万115.00%1,013.1万
融资活动现金流量
债务发行/偿还的净额 0.00%-300万0.00%-75万0.00%-75万0.00%-75万0.00%-75万19.35%-300万86.96%-75万0.00%-75万-117.65%-75万48.98%-75万
租赁融资增减 -5.51%-1,119万27.01%-266.7万-31.95%-286.6万-18.42%-284.2万-18.28%-281.5万-128.28%-1,060.6万-321.94%-365.4万-70.62%-217.2万-94.65%-240万-86.81%-238万
已支付现金股息 -28.43%-5,858.9万--0------------35.11%-4,562.1万--0------------
融资活动现金净额 -22.88%-7,277.9万22.41%-341.7万-28.14%-6,220.5万-14.03%-359.2万-13.90%-356.5万24.72%-5,922.7万33.43%-440.4万32.89%-4,854.3万-204.41%-315万-14.07%-313万
现金净流量
期初现金流 23.43%5,068.7万3.41%6,701.8万41.45%6,760.8万30.19%5,496.6万23.02%5,068.7万-12.46%4,106.4万15.49%6,480.5万19.89%4,779.7万-12.95%4,222万-12.16%4,120.3万
现金变动 438.84%5,286.6万354.21%3,611.1万-102.42%-40.2万99.51%1,268.3万333.53%447.4万262.70%981.1万6.23%-1,420.5万2.18%1,662.7万173.66%635.7万-30.13%103.2万
汇率变动影响 23.40%-14.4万23.89%28万-149.34%-18.8万94.74%-4.1万-1,200.00%-19.5万-200.53%-18.8万130.61%22.6万1,565.38%38.1万---78万-113.04%-1.5万
期末现金 104.01%1.03亿104.01%1.03亿3.41%6,701.8万41.45%6,760.8万30.19%5,496.6万23.43%5,068.7万23.43%5,068.7万15.49%6,480.5万19.89%4,779.7万-12.95%4,222万
自由现金流 234.03%2.1亿2,671.65%8,916.4万-50.51%5,094.2万199.10%3,143.8万426.13%3,806.9万-63.46%6,275.2万-89.30%321.7万159.07%1.03亿-183.85%-3,172.5万-118.21%-1,167.3万
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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