Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
BIDU-SW
09888
5
JD HEALTH
06618
| (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 | 15.75%59.54B | 12.48%47.93B | 103.85%43.79B | 249.18%45.96B | 366.78%51.44B | 370.82%42.61B | 48.96%21.48B | -19.58%13.16B | -31.44%11.02B | -42.08%9.05B |
| Transactional financial assets | -85.18%260.35M | -75.96%282.07M | -75.66%240.22M | 257.14%4.05B | 193.05%1.76B | 726.74%1.17B | -2.50%986.81M | -35.28%1.13B | -63.48%599.43M | -3.01%141.9M |
| Notes receivable and accounts receivable | -17.84%1.95B | -5.74%2.12B | -10.09%2.22B | -3.43%2.36B | 15.92%2.38B | 4.67%2.25B | 93.43%2.47B | 37.35%2.45B | 113.15%2.05B | 91.10%2.15B |
| -Accounts receivable | -17.84%1.95B | -5.74%2.12B | -10.09%2.22B | -3.43%2.36B | 15.92%2.38B | 4.67%2.25B | 93.43%2.47B | 37.35%2.45B | 113.15%2.05B | 91.10%2.15B |
| Other receivables (including interest and dividends) | -68.95%655.08M | -61.67%801.74M | -62.32%828.8M | -69.31%686.68M | 150.69%2.11B | 111.45%2.09B | 120.90%2.2B | 123.25%2.24B | 4.81%841.53M | 44.11%989.28M |
| -Accrued interest receivable | ---- | ---- | ---- | ---- | 550.74%5.95M | ---- | ---- | ---- | -84.02%914.33K | --1.36M |
| -Other receivable | ---- | -61.67%801.74M | ---- | ---- | ---- | 111.74%2.09B | ---- | 123.25%2.24B | ---- | 43.91%987.92M |
| Contractual assets | -95.64%7.26M | -95.31%7.89M | -96.47%11.24M | -83.62%52.48M | -72.84%166.43M | -72.73%168.28M | -59.03%318.23M | -65.85%320.38M | -35.35%612.66M | -25.21%617.06M |
| Advance payment | -21.66%1.23B | -27.14%1.38B | -46.75%1.02B | -46.78%994.28M | 204.56%1.56B | 276.32%1.89B | 347.52%1.91B | 322.66%1.87B | -16.50%513.54M | -17.20%503.11M |
| Inventories | -0.54%3.48B | -7.69%3.27B | -35.27%3.13B | -27.68%2.55B | 22.16%3.49B | 13.64%3.54B | 6.96%4.84B | -11.61%3.53B | -8.88%2.86B | 0.03%3.12B |
| Receivable financing | 43.38%200.56M | 189.82%460.14M | 527.73%282.84M | 6.38%214.16M | -48.95%139.87M | 49.04%158.76M | -83.98%45.06M | -16.91%201.32M | -27.37%273.99M | -53.39%106.52M |
| Non-current assets due within one year | 9.94%10.86M | 8.98%10.72M | 9.85%10.54M | 10.27%10.34M | 6.12%9.88M | 7.33%9.84M | 12.44%9.59M | 10.84%9.38M | -96.30%9.31M | -96.44%9.17M |
| Other current assets | 260.84%9.22B | 211.47%12.58B | 86.28%4.58B | 653.46%9.12B | 366.99%2.56B | 592.72%4.04B | 389.81%2.46B | 167.34%1.21B | 37.34%547.25M | 71.49%583.09M |
| Total current assets | 16.67%76.55B | 18.82%68.84B | 52.83%56.12B | 152.70%66B | 239.44%65.62B | 235.54%57.94B | 51.56%36.72B | -3.18%26.12B | -23.32%19.33B | -24.79%17.27B |
| Non Current assets | ||||||||||
| Other equity investment | -36.85%61.16M | -28.77%70.91M | -26.46%73.21M | -21.38%78.26M | 1.36%96.85M | 3.15%99.55M | -0.66%99.55M | -0.66%99.55M | 1.43%95.55M | 2.45%96.51M |
| Long-term equity investment | 550.77%13.53B | 545.86%13.41B | 554.66%13.47B | -3.11%1.98B | 4,928.48%2.08B | 4,930.15%2.08B | 4,907.90%2.06B | 4,839.73%2.04B | 2.30%41.35M | 2.45%41.29M |
| Long term receivable account | 4.19%36.21M | -24.82%32.06M | -22.97%34.86M | -20.74%37.91M | -33.99%34.76M | -27.29%42.64M | -28.69%45.25M | -32.95%47.83M | -37.68%52.65M | -34.61%58.65M |
| Fixed assets | ---- | 44.66%14B | ---- | ---- | ---- | 10.99%9.68B | ---- | -4.30%8.75B | ---- | 1.63%8.72B |
| Constru in process | ---- | 316.19%1.01B | ---- | ---- | ---- | -37.67%241.88M | ---- | -43.58%195.04M | ---- | -61.64%388.03M |
| Intangible assets | 22.62%12.38B | 35.87%11.81B | 15.73%10.73B | -2.81%9.28B | 43.60%10.09B | 27.75%8.69B | 33.32%9.27B | 38.12%9.54B | 8.92%7.03B | 16.49%6.8B |
| Development expenditure | -34.45%602.62M | -13.78%724.05M | -23.17%861.37M | -21.97%781.08M | -60.02%919.35M | -59.54%839.81M | -28.79%1.12B | -25.98%1B | 75.54%2.3B | 27.97%2.08B |
| Goodwill | 960.19%497.39M | 960.19%497.39M | 204.72%142.96M | ---- | -27.84%46.92M | -27.84%46.92M | -27.84%46.92M | -27.84%46.92M | -14.12%65.01M | -14.12%65.01M |
| Long deferred expense | 20.87%188.13M | 24.44%188.92M | 18.62%182.78M | 18.74%181.58M | -3.78%155.65M | -8.69%151.82M | 1.58%154.08M | -5.66%152.93M | 11.01%161.77M | 160.74%166.28M |
| Deferred tax assets | 84.54%1.18B | 92.55%1.09B | 102.66%1.15B | 207.56%1.48B | 349.06%639.54M | 302.05%565.27M | 331.05%567.44M | 276.07%479.67M | -0.96%142.42M | -0.35%140.6M |
| Usufruct assets | -50.48%958.8M | -46.61%1.01B | -63.46%701.44M | 34.17%2.66B | 356.02%1.94B | 292.70%1.89B | 291.93%1.92B | 313.16%1.98B | 16.54%424.59M | 71.00%480.63M |
| Other non current assets | 100.40%276.57M | 45.62%235.87M | -62.40%305.62M | 208.12%2.43B | -66.03%138.01M | -78.14%161.98M | -36.13%812.88M | -38.21%788.16M | 50.64%406.31M | 132.40%740.97M |
| Total non current assets | 73.42%44.95B | 80.03%44.07B | 62.54%42.59B | 12.89%28.37B | 31.20%25.92B | 23.80%24.48B | 29.92%26.21B | 25.19%25.13B | 5.97%19.76B | 8.91%19.77B |
| Total assets | 32.74%121.51B | 37.00%112.91B | 56.87%98.71B | 84.14%94.36B | 134.18%91.54B | 122.51%82.42B | 41.73%62.92B | 8.92%51.24B | -10.87%39.09B | -9.91%37.04B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Short term loan | ---- | 48.37%500.29M | 461.76%2.5B | ---- | ---- | -86.63%337.19M | -84.46%445.39M | -62.18%786.16M | 44.77%2.35B | -1.23%2.52B |
| Notes payable and accounts payable | 4.38%70.05B | 5.74%62.76B | 24.12%53.18B | 127.04%68.45B | 265.79%67.11B | 238.70%59.36B | 84.80%42.85B | 17.45%30.15B | -15.74%18.35B | -1.77%17.52B |
| -Notes payable | -9.78%32.73B | -8.33%27.25B | 81.60%35.99B | 304.01%41.14B | 227.66%36.28B | 181.56%29.73B | 29.65%19.82B | -36.79%10.18B | -5.37%11.07B | 0.19%10.56B |
| -Accounts payable | 21.04%37.32B | 19.86%35.51B | -25.34%17.2B | 36.77%27.31B | 323.83%30.83B | 325.29%29.63B | 191.49%23.03B | 108.88%19.97B | -27.78%7.27B | -4.60%6.97B |
| Contract liabilities | 78.58%7.75B | 21.73%5.2B | 48.34%4.15B | -8.52%2.99B | 42.40%4.34B | 435.72%4.27B | 341.19%2.8B | 239.62%3.27B | 161.63%3.05B | 8.46%796.78M |
| Advance receipts | -11.22%44.38M | 24.55%38.67M | 47.93%34.59M | 49.20%34.26M | 1,688.03%49.98M | 2,485.51%31.05M | 1,941.21%23.38M | 1,635.30%22.96M | --2.8M | --1.2M |
| Salaries payable | 35.97%1.15B | 27.74%804.22M | 176.32%629.14M | 118.78%1.56B | 383.26%848.54M | 236.71%629.59M | -11.44%227.68M | 7.45%710.86M | -7.40%175.59M | 16.67%186.98M |
| Taxs payable | 21.49%1.5B | 16.11%1.31B | 16.12%674.49M | 131.00%1.09B | 500.80%1.23B | 401.04%1.13B | 217.43%580.87M | -11.72%469.83M | -68.41%205.09M | 5.05%226M |
| Other payable (including interest and dividends) | 67.51%1.31B | 533.78%4.68B | 564.22%4.53B | 61.41%1.03B | -40.51%784.89M | -19.31%738.95M | -39.79%682.27M | -50.34%638.4M | 16.07%1.32B | 4.93%915.79M |
| -Other payable | ---- | 533.78%4.68B | ---- | ---- | ---- | -19.31%738.95M | ---- | -50.34%638.4M | ---- | 4.93%915.79M |
| Non current liabilities due within one year | -0.31%1.26B | -27.25%1.07B | -14.79%1.42B | -33.68%759.28M | 33.84%1.27B | -1.56%1.48B | 49.51%1.67B | 10.93%1.14B | -31.94%945.75M | 64.83%1.5B |
| Other current liabilities | 67.39%904.53M | 17.73%630.2M | 46.74%498.67M | -6.64%357.31M | 41.10%540.37M | 487.09%535.29M | 390.76%339.84M | 258.07%382.7M | 167.58%382.97M | 24.08%91.18M |
| Total current liabilities | 10.25%83.98B | 12.41%77.01B | 36.30%67.63B | 102.96%76.26B | 184.51%76.18B | 188.27%68.5B | 68.50%49.62B | 16.22%37.58B | -4.61%26.78B | 1.73%23.76B |
| Current liabilities | ||||||||||
| Long term loan | 454.06%3.83B | 559.84%4.36B | 481.82%4.43B | -50.03%687M | -70.88%690.7M | -65.75%661.2M | -67.40%761.75M | 15.36%1.37B | 126.75%2.37B | 6.66%1.93B |
| Long term account payable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 5.70%1.22B | ---- | 8.22%1.19B |
| Estimate liabilities | 97.98%2.19B | 201.34%1.73B | 2,128.66%1.31B | 2,085.74%1.15B | 2,719.30%1.11B | 1,336.16%573.71M | 38.24%58.64M | 2.30%52.6M | -21.90%39.32M | 12.75%39.95M |
| Deferred tax liabilities | 8.68%369.44M | 14.92%376.93M | -26.74%333.05M | 30.17%482.99M | 630.90%339.95M | 588.47%327.99M | 826.40%454.63M | 634.60%371.04M | -10.86%46.51M | -11.09%47.64M |
| Long term deferred income | -2.20%1.61B | -5.32%1.59B | -4.93%1.62B | -4.76%1.66B | -7.19%1.65B | -7.33%1.68B | -8.05%1.7B | -7.96%1.74B | 3.32%1.78B | 4.14%1.81B |
| Lease liabilities | -52.88%791.92M | -48.33%837.56M | -69.98%510.64M | 29.95%2.22B | 356.12%1.68B | 286.40%1.62B | 294.10%1.7B | 301.67%1.71B | 4.63%368.49M | 30.04%419.54M |
| Total non current liabilities | 60.84%8.8B | 82.91%8.9B | 38.54%8.2B | -4.25%6.19B | -5.88%5.47B | -10.62%4.86B | -1.93%5.92B | 31.64%6.47B | 30.02%5.81B | 4.47%5.44B |
| Total liabilities | 13.64%92.78B | 17.08%85.9B | 36.54%75.83B | 87.22%82.46B | 150.56%81.65B | 151.22%73.37B | 56.51%55.54B | 18.26%44.04B | 0.14%32.59B | 2.23%29.21B |
| Shareholders equity | ||||||||||
| Paid-in capital | 8.19%1.63B | 8.19%1.63B | 8.19%1.63B | 0.00%1.51B | 0.16%1.51B | 0.16%1.51B | 0.83%1.51B | 0.84%1.51B | 0.67%1.51B | 0.68%1.51B |
| Capital reserve funds | 56.92%24.66B | 45.62%26.02B | 28.68%23B | -27.02%13.04B | 1.40%15.72B | 15.24%17.87B | 16.81%17.88B | 16.86%17.87B | 2.77%15.5B | 2.99%15.51B |
| Surplus reserve funds | 12.74%421.63M | 12.74%421.63M | 12.74%421.63M | 12.74%421.63M | 4.40%373.98M | 4.40%373.98M | 4.44%373.98M | 4.51%373.98M | 20.82%358.23M | 20.82%358.23M |
| Retained profit | 126.25%1.06B | 79.62%-1.31B | 75.51%-1.92B | 66.91%-2.67B | 48.96%-4.03B | 7.25%-6.44B | -26.00%-7.85B | -43.92%-8.07B | -79.97%-7.9B | -101.93%-6.95B |
| Less:Treasury stock | ---- | ---- | ---- | ---- | -88.56%13.44M | -77.28%22.72M | 105.25%205.24M | 105.25%205.24M | --117.48M | --99.99M |
| Other composite income | 42.20%-49.4M | -10.62%-64.2M | 28.25%-53.63M | 17.39%-64.38M | -15.11%-85.48M | 26.76%-58.03M | 17.91%-74.75M | 3.71%-77.94M | 19.32%-74.26M | 21.35%-79.24M |
| Specific reserves | 281.05%79.23M | 372.75%62.57M | --43.89M | --22.04M | --20.79M | --13.24M | ---- | ---- | ---- | ---- |
| Shareholders equity without minority interests | 106.09%27.8B | 102.11%26.76B | 98.84%23.13B | 7.53%12.26B | 45.46%13.49B | 29.25%13.24B | 7.74%11.63B | -0.12%11.41B | -25.51%9.27B | -23.34%10.24B |
| Minority interests | 125.66%923.73M | 105.93%248.63M | 94.10%-250.61M | 91.47%-358.69M | -29.86%-3.6B | -73.95%-4.19B | -125.63%-4.25B | -160.07%-4.21B | -144.30%-2.77B | -194.40%-2.41B |
| Total shareholder equity | 190.44%28.73B | 198.50%27.01B | 209.83%22.88B | 65.36%11.91B | 52.10%9.89B | 15.50%9.05B | -17.16%7.38B | -26.55%7.2B | -42.54%6.5B | -37.55%7.83B |
| Total liabilityies and equity | 32.74%121.51B | 37.00%112.91B | 56.87%98.71B | 84.14%94.36B | 134.18%91.54B | 122.51%82.42B | 41.73%62.92B | 8.92%51.24B | -10.87%39.09B | -9.91%37.04B |
| 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 | -- | -- | -- | Daxin Certified Public Accountants (Special General Partnership) | -- | -- | -- | Daxin 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.