Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
KUAISHOU-W
01024
5
BABA-W
09988
| (Q9)Sep 30, 2025 | (Q6)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q9)Sep 30, 2024 | (Q6)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q9)Sep 30, 2023 | (Q6)Jun 30, 2023 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Money funds | 35.15%368.35M | 41.53%330.84M | 10.28%342.04M | 10.78%285.91M | 17.93%272.56M | -18.22%233.76M | 29.13%310.16M | 19.64%258.08M | -22.69%231.12M | -6.86%285.85M |
| Transactional financial assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -104.48%-63.49K | ---- |
| Notes receivable and accounts receivable | 5.12%909.81M | 10.67%848.06M | 7.83%752.7M | 9.13%850.86M | 27.99%865.51M | 31.13%766.28M | 34.56%698.07M | 19.71%779.66M | 16.65%676.24M | 6.43%584.38M |
| -Notes receivable | -12.54%45.99M | -0.36%48.98M | -1.88%36.72M | -36.42%44.5M | -26.62%52.58M | -6.97%49.15M | -39.70%37.42M | 0.97%69.99M | --71.66M | --52.84M |
| -Accounts receivable | 6.26%863.81M | 11.43%799.09M | 8.38%715.98M | 13.62%806.36M | 34.46%812.93M | 34.92%717.13M | 44.65%660.65M | 21.95%709.67M | 4.29%604.58M | -3.19%531.54M |
| Other receivables (including interest and dividends) | 18.76%7.1M | 10.06%9.84M | -4.08%7.7M | -52.05%6M | -64.42%5.97M | -51.47%8.94M | -54.77%8.03M | -37.69%12.51M | -36.86%16.79M | -22.56%18.41M |
| -Dividend receivable | ---- | --2.68M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| -Other receivable | ---- | -19.97%7.15M | ---- | ---- | ---- | -51.47%8.94M | ---- | -37.69%12.51M | ---- | -16.94%18.41M |
| Advance payment | -90.67%1.59M | -82.62%631.21K | -90.24%2.45M | -44.54%1.38M | -47.35%17.06M | -77.25%3.63M | 15.74%25.05M | -86.96%2.49M | 7.42%32.39M | -73.89%15.97M |
| Inventories | 11.45%330.87M | 7.00%324.24M | -6.12%313.33M | -8.08%281.28M | -21.02%296.87M | -26.48%303.02M | -22.54%333.75M | -28.10%306M | -10.90%375.9M | 7.37%412.18M |
| Receivable financing | 53.14%122.58M | 104.47%115.45M | 206.96%152.5M | 407.73%120.61M | 99.28%80.04M | 21.51%56.46M | -38.21%49.68M | 0.78%23.75M | -64.12%40.17M | -60.26%46.47M |
| Other current assets | 17.16%1.51M | 63.46%1.91M | 169.13%2.75M | 291.73%3.29M | 7.94%1.29M | -53.72%1.17M | -28.56%1.02M | 0.27%840.58K | -49.88%1.19M | -15.76%2.53M |
| Total current assets | 13.15%1.74B | 18.78%1.63B | 10.36%1.57B | 12.00%1.55B | 12.05%1.54B | 0.55%1.37B | 8.75%1.43B | 2.01%1.38B | -6.75%1.37B | -5.46%1.37B |
| Non Current assets | ||||||||||
| Other equity investment | -5.57%183.75M | -6.02%184.69M | 19.98%187.12M | 31.48%173.24M | 45.01%194.58M | 17.18%196.52M | -4.86%155.96M | -20.16%131.76M | -21.17%134.18M | 0.95%167.71M |
| Other non-current financial assets | 49.16%27.31M | 35.67%27.31M | 35.67%27.31M | 35.67%27.31M | -9.04%18.31M | 0.00%20.13M | 42.47%20.13M | 42.47%20.13M | --20.13M | --20.13M |
| Long-term equity investment | 48.48%39.03M | 34.89%38.92M | 44.64%41.58M | 42.28%41.58M | -11.21%26.29M | -2.43%28.86M | -7.71%28.75M | -5.20%29.22M | -1.03%29.61M | -0.77%29.57M |
| Fixed assets | ---- | -4.44%21.8M | ---- | ---- | ---- | 128.34%22.81M | ---- | 73.63%18.22M | ---- | 13.59%9.99M |
| Intangible assets | 21.76%13.88M | -3.29%10.13M | 519.39%10.85M | 513.69%11.56M | 456.86%11.39M | 371.14%10.47M | -26.98%1.75M | -26.25%1.88M | 137.81%2.05M | 477.62%2.22M |
| Development expenditure | 82.03%12.86M | 177.76%15.46M | 44.65%13.03M | 92.59%11.11M | 37.79%7.06M | 67.89%5.57M | 357.72%9M | 552.77%5.77M | 148.04%5.13M | 75.22%3.32M |
| Long deferred expense | -39.43%5.64M | -36.75%6.56M | 8.25%7.69M | 3.54%8.22M | 156.61%9.31M | 162.48%10.38M | 68.27%7.11M | 193.33%7.94M | 55.66%3.63M | 64.23%3.95M |
| Deferred tax assets | 18.72%7.6M | 83.98%10.94M | 73.76%10.2M | 49.26%9.53M | 35.05%6.4M | 21.69%5.95M | 17.43%5.87M | 27.00%6.38M | -9.14%4.74M | -5.22%4.89M |
| Usufruct assets | -23.12%12.08M | -36.14%10.33M | -26.38%12.45M | -25.78%13.78M | -19.41%15.71M | 259.12%16.18M | 158.88%16.91M | 240.76%18.57M | 158.37%19.49M | -41.45%4.51M |
| Other non current assets | -72.33%1.32M | -75.59%1.33M | -74.61%1.75M | -60.82%2.02M | -22.48%4.78M | -58.91%5.43M | --6.88M | --5.17M | --6.17M | 493.29%13.22M |
| Total non current assets | 2.44%324.53M | 1.61%327.47M | 23.86%334.38M | 31.04%321.1M | 29.85%316.8M | 24.20%322.29M | 12.71%269.97M | 3.35%245.04M | 6.55%243.97M | 15.60%259.5M |
| Total assets | 11.33%2.07B | 15.51%1.96B | 12.51%1.91B | 14.86%1.87B | 14.74%1.86B | 4.32%1.7B | 9.36%1.7B | 2.21%1.63B | -4.96%1.62B | -2.63%1.63B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Short term loan | 7.16%161.05M | 15.32%173.29M | 66.02%221.31M | 56.96%169.93M | 72.52%150.29M | 12.90%150.26M | -24.89%133.3M | -35.88%108.26M | -65.19%87.12M | -28.60%133.1M |
| Notes payable and accounts payable | 24.41%628.79M | 43.37%524.58M | 13.89%445.88M | 34.24%476.59M | 40.38%505.42M | 7.51%365.88M | 55.48%391.5M | 24.51%355.04M | 28.53%360.02M | -0.70%340.31M |
| -Notes payable | -0.09%111.35M | 84.84%120.7M | 169.88%114.7M | 215.66%119.95M | 197.20%111.45M | 104.06%65.3M | 103.35%42.5M | 12.76%38M | -41.41%37.5M | -32.63%32M |
| -Accounts payable | 31.34%517.44M | 34.37%403.88M | -5.11%331.18M | 12.49%356.64M | 22.15%393.97M | -2.51%300.58M | 51.14%349M | 26.08%317.04M | 49.25%322.52M | 4.44%308.31M |
| Contract liabilities | 14.18%4.45M | 108.26%9.15M | 7.98%6.38M | 25.26%4.53M | -22.60%3.9M | 37.50%4.39M | 3.25%5.91M | -53.46%3.61M | -61.53%5.04M | -72.01%3.2M |
| Salaries payable | 63.78%27.04M | 46.73%21.29M | 8.84%16.34M | 13.19%16.6M | 62.72%16.51M | 54.05%14.51M | 49.70%15.01M | 15.40%14.67M | -16.86%10.15M | -17.19%9.42M |
| Taxs payable | -7.63%10.33M | 81.63%8.38M | -43.82%4.13M | -31.92%7M | 47.19%11.18M | -20.76%4.61M | 38.54%7.34M | 85.26%10.28M | -33.14%7.59M | -12.07%5.82M |
| Other payable (including interest and dividends) | -44.81%29.37M | 68.80%49.83M | 109.38%52.25M | 117.16%53.53M | 97.38%53.22M | -40.89%29.52M | -56.51%24.95M | -60.17%24.65M | -65.97%26.96M | -50.58%49.93M |
| -Dividend payable | ---- | ---- | ---- | ---- | ---- | --17.66M | ---- | ---- | ---- | ---- |
| -Other payable | ---- | 320.27%49.83M | ---- | ---- | ---- | -76.26%11.86M | ---- | -60.17%24.65M | ---- | -40.09%49.93M |
| Non current liabilities due within one year | -30.19%5.83M | 8.55%8.17M | 9.25%8.19M | 24.36%8.51M | 14.92%8.35M | 68.43%7.53M | 52.95%7.5M | 59.78%6.84M | 9.29%7.27M | -33.28%4.47M |
| Other current liabilities | -25.19%2.46M | -83.77%2.47M | -44.05%3.08M | -46.42%6.04M | 372.75%3.29M | 5,520.28%15.2M | 1,309.97%5.5M | 78.25%11.28M | -47.47%695.78K | -75.08%270.41K |
| Total current liabilities | 15.69%870.2M | 34.68%797.15M | 28.22%757.82M | 38.99%743.09M | 48.99%752.16M | 8.30%591.91M | 15.20%591.02M | -3.24%534.63M | -22.84%504.85M | -18.27%546.52M |
| Current liabilities | ||||||||||
| Deferred tax liabilities | 15.99%21.12M | 21.98%22.36M | 20.88%21M | 16.51%19.64M | -3.07%18.21M | 11.11%18.33M | 8.58%17.38M | 8.80%16.86M | 16.72%18.79M | 6.41%16.5M |
| Long term deferred income | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 | -82.58%57.95K |
| Lease liabilities | -16.27%6.44M | -80.31%1.64M | -53.28%4.4M | -54.44%5.14M | -36.35%7.69M | 1,206.37%8.32M | 1,378.53%9.41M | 1,672.86%11.29M | 1,263.56%12.09M | -36.73%636.58K |
| Total non current liabilities | 6.41%27.56M | -9.94%24M | -5.18%25.4M | -11.94%24.78M | -16.10%25.9M | 54.99%26.65M | 59.78%26.79M | 72.40%28.14M | 71.57%30.87M | -2.27%17.19M |
| Total liabilities | 15.39%897.77M | 32.75%821.15M | 26.77%783.22M | 36.44%767.87M | 45.24%778.06M | 9.73%618.55M | 16.62%617.81M | -1.07%562.77M | -20.31%535.72M | -17.86%563.71M |
| Shareholders equity | ||||||||||
| Paid-in capital | 0.00%512.58M | 1.58%512.58M | 1.58%512.58M | 1.58%512.58M | 1.58%512.58M | 0.00%504.6M | -0.03%504.6M | -0.03%504.6M | -0.19%504.6M | -0.19%504.6M |
| Capital reserve funds | 13.10%291.99M | 22.66%283.96M | 18.92%275.3M | 15.17%266.63M | 8.79%258.16M | -2.21%231.5M | -2.18%231.5M | -1.68%231.5M | 0.20%237.31M | 0.56%236.73M |
| Surplus reserve funds | 5.24%39.17M | 5.24%39.17M | 6.29%37.73M | 6.29%37.73M | 13.65%37.21M | 13.65%37.21M | 8.42%35.5M | 8.42%35.5M | 13.04%32.74M | 13.04%32.74M |
| Retained profit | 9.29%299.09M | 8.87%290.64M | 4.40%285.08M | 4.40%272.38M | 4.67%273.66M | 8.64%266.96M | 9.02%273.06M | 7.58%260.9M | 9.11%261.46M | 8.71%245.73M |
| Less:Treasury stock | -50.20%20.19M | 236.24%40.34M | 238.01%40.55M | 238.01%40.55M | 238.01%40.55M | 0.00%12M | -44.30%12M | -44.30%12M | -50.82%12M | -50.82%12M |
| Other composite income | 30.42%41.18M | 8.71%46.82M | 24.36%49.73M | 23.88%48.89M | -35.67%31.58M | -11.84%43.07M | 186.72%39.99M | 51.34%39.46M | 37.02%49.09M | 1,189.19%48.86M |
| Shareholders equity without minority interests | 8.50%1.16B | 5.74%1.13B | 4.40%1.12B | 3.55%1.1B | -0.05%1.07B | 1.39%1.07B | 5.47%1.07B | 3.92%1.06B | 4.97%1.07B | 8.34%1.06B |
| Minority interests | -12.03%4.75M | -18.07%4.62M | -9.49%4.75M | -12.88%4.91M | -38.47%5.4M | 15.15%5.64M | 40.69%5.25M | 29.22%5.63M | 18.07%8.78M | -34.92%4.9M |
| Total shareholder equity | 8.40%1.17B | 5.61%1.14B | 4.33%1.12B | 3.47%1.1B | -0.37%1.08B | 1.45%1.08B | 5.60%1.08B | 4.03%1.07B | 5.07%1.08B | 8.01%1.06B |
| Total liabilityies and equity | 11.33%2.07B | 15.51%1.96B | 12.51%1.91B | 14.86%1.87B | 14.74%1.86B | 4.32%1.7B | 9.36%1.7B | 2.21%1.63B | -4.96%1.62B | -2.63%1.63B |
| Currency Unit | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY |
| Accounting Standards | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) |
| Audit Opinions | -- | -- | -- | Unqualified opinion | -- | -- | -- | Unqualified opinion | -- | -- |
| Auditor | -- | -- | -- | Ernst & Young Hua Ming Certified Public Accountants (Special General Partnership) | -- | -- | -- | Ernst & Young Hua Ming Certified Public Accountants (Special General Partnership) | -- | -- |
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.