MY Stock MarketDetailed Quotes

5286 MI

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  • 2.180
  • -0.040-1.80%
15min DelayMarket Closed Jan 24 16:53 CST
1.95BMarket Cap33.03P/E (TTM)

MI Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
-106.27%-651K
-40.26%17.4M
47.98%18.6M
4.39%96.6M
57.32%44.53M
-64.59%10.38M
189.32%29.12M
-49.41%12.57M
90.95%92.54M
-65.84%28.3M
Net profit before non-cash adjustment
-120.81%-4.34M
39.24%33.1M
360.66%30.77M
-13.16%65.52M
-23.83%14.2M
-5.74%20.87M
14.70%23.77M
-52.08%6.68M
18.81%75.45M
41.16%18.65M
Total adjustment of non-cash items
808.39%31.95M
187.97%6.85M
-249.10%-5.95M
-58.92%12.18M
-35.80%12.46M
218.28%3.52M
-294.09%-7.78M
-22.27%3.99M
30.25%29.65M
71.41%19.4M
-Depreciation and amortization
-3.05%6.11M
1.85%6.45M
3.19%6.57M
0.04%25.19M
-23.57%6.18M
2.47%6.3M
16.73%6.34M
15.55%6.37M
48.48%25.17M
51.60%8.09M
-Reversal of impairment losses recognized in profit and loss
-158.82%-50K
-99.87%2K
91.13%-115K
-81.23%507.93K
-87.82%204.93K
-72.04%85K
320.83%1.52M
-460.28%-1.3M
-36.96%2.71M
-21.29%1.68M
-Assets reserve and write-off
90.85%584K
878.26%675K
1,044.44%618K
-59.40%580.69K
4,337.09%151.69K
4,471.43%306K
-88.00%69K
-93.76%54K
-50.11%1.43M
-100.81%-3.58K
-Share of associates
-116.40%-62K
-89.19%67K
-105.46%-35K
-114.08%-311.95K
-373.22%-1.95M
-21.90%378K
87.88%620K
-6.83%641K
159.43%2.22M
-16.41%714.06K
-Disposal profit
--0
-71.79%180K
--0
-650.76%-1.48M
-19,473.56%-124.57K
-1,822.11%-1.83M
158.30%638K
-243.97%-167K
-53.86%268.64K
-99.30%643
-Net exchange gains and losses
31,572.73%27.7M
115.15%2.22M
-1,432.81%-9.81M
-21.34%-4.71M
22.54%10.68M
98.70%-88K
-368.09%-14.67M
76.19%-640K
-198.01%-3.89M
179.87%8.72M
-Remuneration paid in stock
-58.73%175K
-65.83%177K
-65.64%178K
-46.18%1.95M
-41.23%486.19K
-75.19%424K
-4.07%518K
-4.07%518K
904.52%3.62M
129.80%827.28K
-Pension and employee benefit expenses
236.59%138K
241.89%253K
-85.19%8K
9.08%304.89K
-51.38%135.89K
--41K
--74K
--54K
9.92%279.52K
--279.52K
-Other non-cash items
-25.57%-2.64M
-10.37%-3.18M
-118.22%-3.37M
-356.06%-9.84M
-266.40%-3.31M
-220.24%-2.1M
-758.04%-2.88M
-490.80%-1.54M
-2.77%-2.16M
28.71%-903.43K
Changes in working capital
-101.78%-28.26M
-271.72%-22.55M
-427.20%-6.22M
250.57%18.9M
283.48%17.87M
-330.43%-14M
189.52%13.13M
-67.10%1.9M
66.79%-12.55M
-116.70%-9.74M
-Change in receivables
37.91%-7.96M
-13,870.83%-16.53M
-144.58%-5.42M
215.28%10.35M
297.35%10.9M
-400.42%-12.82M
105.59%120K
81.74%12.15M
139.39%3.28M
-109.65%-5.52M
-Change in inventory
-179.08%-4.14M
-4,432.54%-15.32M
-154.02%-5.52M
136.98%12.99M
-126.09%-2.12M
117.70%5.23M
97.87%-338K
369.38%10.21M
-268.48%-35.11M
-1.31%8.12M
-Change in payables
-123.84%-16.13M
-29.90%9.03M
129.81%5.94M
-144.25%-6.37M
145.68%7.86M
-122.98%-7.21M
286.94%12.89M
-546.14%-19.91M
172.26%14.4M
-142.24%-17.21M
-Changes in other current assets
-103.43%-27K
-42.89%265K
-125.60%-1.23M
-60.18%1.94M
-74.70%1.23M
--787K
--464K
---543K
64,929.41%4.87M
--4.87M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
-57.88%-6.02M
11.01%-11.32M
-230.32%-1.57M
-83.29%-18.04M
-30.27%-1.03M
-483.03%-3.81M
-59.82%-12.72M
-8.70%-475K
-1,170.63%-9.84M
-57.35%-792.45K
Other operating cash inflow (outflow)
221.25%291K
-246.67%-416K
-93.55%-120K
8.79%-1.15M
-33.47%-729.97K
-36.36%-240K
51.61%-120K
78.77%-62K
-155.79%-1.26M
-117.23%-546.92K
Operating cash flow
-200.77%-6.38M
-65.23%5.66M
40.55%16.91M
-4.95%77.41M
58.60%42.77M
-77.78%6.33M
776.52%16.28M
-50.11%12.03M
63.02%81.44M
-68.47%26.97M
Investing cash flow
Net PPE purchase and sale
-133.81%-8.55M
-49.81%1.44M
-149.66%-4.8M
253.44%17.82M
-16.09%-8.4M
1,921.33%25.28M
363.81%2.87M
-0.84%-1.92M
73.90%-11.62M
47.33%-7.23M
Net intangibles purchase and sale
14.81%-92K
70.69%-17K
-57.78%-71K
24.78%-265.83K
-13,572.82%-54.83K
51.57%-108K
---58K
65.38%-45K
85.96%-353.4K
99.99%-401
Net business purchase and sale
-273.58%-3.35M
-4,280.54%-17.79M
--0
---12.61M
--406.95K
--1.93M
---406K
---14.54M
--0
--0
Net investment product transactions
----
----
----
--0
----
----
----
----
64.69%15.28M
-100.00%193
Dividends received (cash flow from investment activities)
----
----
----
--0
----
----
----
----
--0
----
Interest received (cash flow from investment activities)
20.18%2.95M
5.76%3.53M
84.19%3.69M
190.53%11.47M
191.14%3.68M
115.93%2.45M
323.76%3.34M
163.12%2.01M
40.68%3.95M
-7.91%1.26M
Investing cash flow
-124.60%-7.27M
-323.80%-12.84M
91.87%-1.18M
126.17%16.42M
26.82%-4.37M
96.39%29.56M
1,488.86%5.74M
-932.24%-14.5M
123.31%7.26M
82.17%-5.97M
Financing cash flow
Net issuance payments of debt
85.32%-5.32M
82.69%-1.33M
-42.60%-2.02M
-124.48%-48.5M
-109.29%-3.13M
-1,032.09%-36.25M
-413.84%-7.71M
94.64%-1.42M
-169.17%-21.61M
-382.22%-1.49M
Net common stock issuance
5.81%-1.96M
--0
--0
---6.33M
---2.06M
---2.08M
---8K
---2.18M
--0
--0
Increase or decrease of lease financing
-0.96%-843K
-306.90%-1.71M
14.66%-780K
-121.44%-3.84M
-258.15%-1.67M
-125.68%-835K
18.45%-420K
-138.64%-914K
-11.86%-1.74M
-125.23%-467.27K
Cash dividends paid
-24.67%-22.33M
---7K
0.20%-17.87M
0.07%-35.81M
--0
-99.93%-17.91M
--0
0.11%-17.9M
-33.33%-35.84M
--0
Interest paid (cash flow from financing activities)
0.58%-341K
15.30%-382K
19.78%-365K
17.37%-1.53M
41.87%-285.46K
25.60%-343K
-5.13%-451K
4.41%-455K
-166.82%-1.86M
-154.43%-491.08K
Net other fund-raising expenses
----
----
----
--131.28K
--283
--0
--0
287.14%131K
----
----
Financing cash flow
46.36%-30.8M
60.03%-3.43M
7.50%-21.03M
-57.10%-95.89M
-191.25%-7.14M
-1,208.02%-57.42M
3.41%-8.59M
49.81%-22.74M
-120.69%-61.04M
90.36%-2.45M
Net cash flow
Beginning cash position
0.54%408.78M
6.23%421.07M
1.04%422.73M
6.05%418.39M
-3.33%394.82M
11.27%406.57M
6.23%396.36M
6.05%418.4M
385.22%394.54M
8.81%408.43M
Current changes in cash
-106.40%-44.45M
-179.02%-10.61M
78.99%-5.3M
-107.45%-2.06M
68.58%31.26M
-155.00%-21.54M
280.31%13.43M
-11.59%-25.21M
-91.19%27.66M
-30.25%18.54M
Effect of exchange rate changes
-469.80%-36.2M
47.61%-1.69M
14.71%3.64M
268.01%6.39M
60.94%-3.35M
152.66%9.79M
-1,084.56%-3.22M
172.53%3.18M
-476.27%-3.81M
-15.62%-8.57M
End cash Position
-16.89%328.13M
0.54%408.78M
6.23%421.07M
1.04%422.73M
1.04%422.73M
-3.33%394.82M
11.27%406.57M
6.23%396.36M
6.05%418.39M
6.05%418.39M
Free cash flow
-370.70%-15.03M
-90.31%1.8M
27.69%12.04M
-1.24%68.55M
77.82%35.01M
-79.34%5.55M
2,316.67%18.56M
-57.29%9.43M
41,280.05%69.41M
-70.54%19.69M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q3)Sep 30, 2024 (Q2)Jun 30, 2024 (Q1)Mar 31, 2024 (FY)Dec 31, 2023 (Q4)Dec 31, 2023 (Q3)Sep 30, 2023 (Q2)Jun 30, 2023 (Q1)Mar 31, 2023 (FY)Dec 31, 2022 (Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities -106.27%-651K -40.26%17.4M 47.98%18.6M 4.39%96.6M 57.32%44.53M -64.59%10.38M 189.32%29.12M -49.41%12.57M 90.95%92.54M -65.84%28.3M
Net profit before non-cash adjustment -120.81%-4.34M 39.24%33.1M 360.66%30.77M -13.16%65.52M -23.83%14.2M -5.74%20.87M 14.70%23.77M -52.08%6.68M 18.81%75.45M 41.16%18.65M
Total adjustment of non-cash items 808.39%31.95M 187.97%6.85M -249.10%-5.95M -58.92%12.18M -35.80%12.46M 218.28%3.52M -294.09%-7.78M -22.27%3.99M 30.25%29.65M 71.41%19.4M
-Depreciation and amortization -3.05%6.11M 1.85%6.45M 3.19%6.57M 0.04%25.19M -23.57%6.18M 2.47%6.3M 16.73%6.34M 15.55%6.37M 48.48%25.17M 51.60%8.09M
-Reversal of impairment losses recognized in profit and loss -158.82%-50K -99.87%2K 91.13%-115K -81.23%507.93K -87.82%204.93K -72.04%85K 320.83%1.52M -460.28%-1.3M -36.96%2.71M -21.29%1.68M
-Assets reserve and write-off 90.85%584K 878.26%675K 1,044.44%618K -59.40%580.69K 4,337.09%151.69K 4,471.43%306K -88.00%69K -93.76%54K -50.11%1.43M -100.81%-3.58K
-Share of associates -116.40%-62K -89.19%67K -105.46%-35K -114.08%-311.95K -373.22%-1.95M -21.90%378K 87.88%620K -6.83%641K 159.43%2.22M -16.41%714.06K
-Disposal profit --0 -71.79%180K --0 -650.76%-1.48M -19,473.56%-124.57K -1,822.11%-1.83M 158.30%638K -243.97%-167K -53.86%268.64K -99.30%643
-Net exchange gains and losses 31,572.73%27.7M 115.15%2.22M -1,432.81%-9.81M -21.34%-4.71M 22.54%10.68M 98.70%-88K -368.09%-14.67M 76.19%-640K -198.01%-3.89M 179.87%8.72M
-Remuneration paid in stock -58.73%175K -65.83%177K -65.64%178K -46.18%1.95M -41.23%486.19K -75.19%424K -4.07%518K -4.07%518K 904.52%3.62M 129.80%827.28K
-Pension and employee benefit expenses 236.59%138K 241.89%253K -85.19%8K 9.08%304.89K -51.38%135.89K --41K --74K --54K 9.92%279.52K --279.52K
-Other non-cash items -25.57%-2.64M -10.37%-3.18M -118.22%-3.37M -356.06%-9.84M -266.40%-3.31M -220.24%-2.1M -758.04%-2.88M -490.80%-1.54M -2.77%-2.16M 28.71%-903.43K
Changes in working capital -101.78%-28.26M -271.72%-22.55M -427.20%-6.22M 250.57%18.9M 283.48%17.87M -330.43%-14M 189.52%13.13M -67.10%1.9M 66.79%-12.55M -116.70%-9.74M
-Change in receivables 37.91%-7.96M -13,870.83%-16.53M -144.58%-5.42M 215.28%10.35M 297.35%10.9M -400.42%-12.82M 105.59%120K 81.74%12.15M 139.39%3.28M -109.65%-5.52M
-Change in inventory -179.08%-4.14M -4,432.54%-15.32M -154.02%-5.52M 136.98%12.99M -126.09%-2.12M 117.70%5.23M 97.87%-338K 369.38%10.21M -268.48%-35.11M -1.31%8.12M
-Change in payables -123.84%-16.13M -29.90%9.03M 129.81%5.94M -144.25%-6.37M 145.68%7.86M -122.98%-7.21M 286.94%12.89M -546.14%-19.91M 172.26%14.4M -142.24%-17.21M
-Changes in other current assets -103.43%-27K -42.89%265K -125.60%-1.23M -60.18%1.94M -74.70%1.23M --787K --464K ---543K 64,929.41%4.87M --4.87M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid -57.88%-6.02M 11.01%-11.32M -230.32%-1.57M -83.29%-18.04M -30.27%-1.03M -483.03%-3.81M -59.82%-12.72M -8.70%-475K -1,170.63%-9.84M -57.35%-792.45K
Other operating cash inflow (outflow) 221.25%291K -246.67%-416K -93.55%-120K 8.79%-1.15M -33.47%-729.97K -36.36%-240K 51.61%-120K 78.77%-62K -155.79%-1.26M -117.23%-546.92K
Operating cash flow -200.77%-6.38M -65.23%5.66M 40.55%16.91M -4.95%77.41M 58.60%42.77M -77.78%6.33M 776.52%16.28M -50.11%12.03M 63.02%81.44M -68.47%26.97M
Investing cash flow
Net PPE purchase and sale -133.81%-8.55M -49.81%1.44M -149.66%-4.8M 253.44%17.82M -16.09%-8.4M 1,921.33%25.28M 363.81%2.87M -0.84%-1.92M 73.90%-11.62M 47.33%-7.23M
Net intangibles purchase and sale 14.81%-92K 70.69%-17K -57.78%-71K 24.78%-265.83K -13,572.82%-54.83K 51.57%-108K ---58K 65.38%-45K 85.96%-353.4K 99.99%-401
Net business purchase and sale -273.58%-3.35M -4,280.54%-17.79M --0 ---12.61M --406.95K --1.93M ---406K ---14.54M --0 --0
Net investment product transactions ---- ---- ---- --0 ---- ---- ---- ---- 64.69%15.28M -100.00%193
Dividends received (cash flow from investment activities) ---- ---- ---- --0 ---- ---- ---- ---- --0 ----
Interest received (cash flow from investment activities) 20.18%2.95M 5.76%3.53M 84.19%3.69M 190.53%11.47M 191.14%3.68M 115.93%2.45M 323.76%3.34M 163.12%2.01M 40.68%3.95M -7.91%1.26M
Investing cash flow -124.60%-7.27M -323.80%-12.84M 91.87%-1.18M 126.17%16.42M 26.82%-4.37M 96.39%29.56M 1,488.86%5.74M -932.24%-14.5M 123.31%7.26M 82.17%-5.97M
Financing cash flow
Net issuance payments of debt 85.32%-5.32M 82.69%-1.33M -42.60%-2.02M -124.48%-48.5M -109.29%-3.13M -1,032.09%-36.25M -413.84%-7.71M 94.64%-1.42M -169.17%-21.61M -382.22%-1.49M
Net common stock issuance 5.81%-1.96M --0 --0 ---6.33M ---2.06M ---2.08M ---8K ---2.18M --0 --0
Increase or decrease of lease financing -0.96%-843K -306.90%-1.71M 14.66%-780K -121.44%-3.84M -258.15%-1.67M -125.68%-835K 18.45%-420K -138.64%-914K -11.86%-1.74M -125.23%-467.27K
Cash dividends paid -24.67%-22.33M ---7K 0.20%-17.87M 0.07%-35.81M --0 -99.93%-17.91M --0 0.11%-17.9M -33.33%-35.84M --0
Interest paid (cash flow from financing activities) 0.58%-341K 15.30%-382K 19.78%-365K 17.37%-1.53M 41.87%-285.46K 25.60%-343K -5.13%-451K 4.41%-455K -166.82%-1.86M -154.43%-491.08K
Net other fund-raising expenses ---- ---- ---- --131.28K --283 --0 --0 287.14%131K ---- ----
Financing cash flow 46.36%-30.8M 60.03%-3.43M 7.50%-21.03M -57.10%-95.89M -191.25%-7.14M -1,208.02%-57.42M 3.41%-8.59M 49.81%-22.74M -120.69%-61.04M 90.36%-2.45M
Net cash flow
Beginning cash position 0.54%408.78M 6.23%421.07M 1.04%422.73M 6.05%418.39M -3.33%394.82M 11.27%406.57M 6.23%396.36M 6.05%418.4M 385.22%394.54M 8.81%408.43M
Current changes in cash -106.40%-44.45M -179.02%-10.61M 78.99%-5.3M -107.45%-2.06M 68.58%31.26M -155.00%-21.54M 280.31%13.43M -11.59%-25.21M -91.19%27.66M -30.25%18.54M
Effect of exchange rate changes -469.80%-36.2M 47.61%-1.69M 14.71%3.64M 268.01%6.39M 60.94%-3.35M 152.66%9.79M -1,084.56%-3.22M 172.53%3.18M -476.27%-3.81M -15.62%-8.57M
End cash Position -16.89%328.13M 0.54%408.78M 6.23%421.07M 1.04%422.73M 1.04%422.73M -3.33%394.82M 11.27%406.57M 6.23%396.36M 6.05%418.39M 6.05%418.39M
Free cash flow -370.70%-15.03M -90.31%1.8M 27.69%12.04M -1.24%68.55M 77.82%35.01M -79.34%5.55M 2,316.67%18.56M -57.29%9.43M 41,280.05%69.41M -70.54%19.69M
Accounting Standards NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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