Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
BIDU-SW
09888
5
JD HEALTH
06618
| (Q2)Sep 30, 2025 | (Q1)Jun 30, 2025 | (FY)Mar 31, 2025 | (Q4)Mar 31, 2025 | (Q3)Dec 31, 2024 | (Q2)Sep 30, 2024 | (Q1)Jun 30, 2024 | (FY)Mar 31, 2024 | (Q4)Mar 31, 2024 | (Q3)Dec 31, 2023 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Operating Cash Flow (Indirect Method) | ||||||||||
| Cash flow from continuing operating activities | 86.86%280.2B | 205.41%85.66B | -60.90%292.15B | -57.36%138.83B | 102.63%84.63B | -18.43%149.95B | -141.43%-81.26B | -64.90%747.28B | -21.79%325.56B | -88.75%41.77B |
| Net income from continuing operations | 28.83%235.09B | -47.75%292.33B | -19.77%1.32T | -75.63%92.08B | 25.53%483.61B | -49.92%182.48B | 8.65%559.47B | 86.73%1.64T | 1,771.71%377.86B | 12.14%385.24B |
| Operating gains losses | -130.11%-6.68B | -193.79%-4.21B | 99.11%-982M | 35.14%-28.25B | 1,298.16%6.51B | 192.97%22.19B | 96.65%-1.43B | 5.64%-110.82B | -238.51%-43.55B | 99.18%-543M |
| Depreciation and amortization | 67.94%300.41B | -4.96%178.61B | -6.48%742.86B | 2.04%194.89B | -21.09%181.16B | -4.89%178.88B | 1.20%187.93B | 10.08%794.37B | 3.39%191B | 27.85%229.59B |
| Other non cashItems | -204.58%-92.65B | 185.10%67.13B | 6.37%-319.77B | 21.85%-65.45B | -214.52%-145.02B | 78.11%-30.42B | -8.49%-78.88B | -55.70%-341.51B | -118.03%-83.75B | -23.89%-46.11B |
| Change In working capital | 25.35%-97.74B | 29.09%-512.12B | -19.22%-1.35T | 13.10%-22.75B | 1.72%-473.42B | 27.48%-130.93B | -62.88%-722.24B | -232.25%-1.13T | -116.46%-26.18B | -938.30%-481.71B |
| -Change in receivables | 91.89%-12.5B | 94.84%-9.22B | 47.56%-835.15B | 20.27%-279.89B | 58.64%-222.33B | 69.25%-154.19B | 11.82%-178.73B | -706.81%-1.59T | 22.70%-351.06B | -587.70%-537.57B |
| -Change in inventory | -170.92%-54.77B | 171.72%77.85B | -17.15%-79.46B | -663.14%-48.33B | 229.29%97.63B | 32.73%-20.22B | -472.42%-108.55B | 60.44%-67.83B | 116.09%8.58B | -750.61%-75.51B |
| -Change in payables and accrued expense | -24.18%118.48B | -22.89%-309.68B | -4.46%185.44B | 62.87%400.32B | -443.68%-119.15B | 10.64%156.26B | -10.72%-251.99B | 31.69%194.1B | -20.72%245.78B | 168.64%34.67B |
| -Change in other current assets | 40.57%-108.99B | -123.61%-171.61B | -5,550.68%-690.11B | -207.22%-205.3B | -1,294.65%-224.66B | -462.84%-183.4B | -270.35%-76.75B | -98.35%12.66B | -158.32%-66.83B | -110.09%-16.11B |
| -Change in other working capital | -156.59%-39.96B | 6.36%-99.47B | -78.27%69.95B | -19.57%110.46B | -104.35%-4.9B | -55.62%70.61B | -21.63%-106.23B | 4.10%321.92B | -43.23%137.34B | 226.70%112.81B |
| Dividends received (cash flow from operating activities) | -74.55%7.69B | 2.25%52.17B | -20.08%126.34B | -17.63%11.66B | 93.25%33.45B | -66.55%30.21B | 40.44%51.02B | -35.45%158.09B | -85.53%14.15B | 11.56%17.31B |
| Interest paid (cash flow from operating activities) | -12.21%-127.87B | -0.87%-100.07B | -54.91%-439.08B | -24.80%-126.67B | -39.34%-99.25B | -67.94%-113.96B | -131.46%-99.21B | -78.25%-283.45B | -80.83%-101.5B | -105.95%-71.23B |
| Interest received (cash flow from operating activities) | 7.72%195.23B | -1.25%178.78B | 31.56%737.65B | 20.08%184.68B | 26.35%190.67B | 28.65%181.25B | 57.28%181.05B | 72.93%560.71B | 64.33%153.8B | 73.66%150.91B |
| Tax refund paid | 21.49%-133.27B | 57.88%-66.97B | 3.23%-523.18B | 35.13%-101.37B | 34.31%-93.08B | 9.99%-169.75B | -193.82%-158.98B | -34.71%-540.66B | -105.54%-156.28B | -102.45%-141.7B |
| Cash from discontinued investing activities | ||||||||||
| Operating cash flow | 86.86%280.2B | 205.41%85.66B | -60.90%292.15B | -57.36%138.83B | 102.63%84.63B | -18.43%149.95B | -141.43%-81.26B | -64.90%747.28B | -21.79%325.56B | -88.75%41.77B |
| Investing cash flow | ||||||||||
| Cash flow from continuing investing activities | 55.09%-146.64B | -9.08%-210.08B | -8.61%-941.97B | 6.34%-305.19B | 53.36%-117.67B | -100.87%-326.51B | -52.15%-192.6B | -27.90%-867.27B | -248.99%-325.85B | -61.69%-252.3B |
| Net PPE purchase and sale | -18.03%-95.89B | 9.53%-125.52B | -49.15%-498.55B | -57.59%-173.67B | -20.71%-104.89B | -17.24%-81.24B | -104.42%-138.75B | 27.15%-334.26B | -26.92%-110.2B | 36.21%-86.89B |
| Net intangibles purchas and sale | 20.58%-58.73B | -5.23%-72.21B | -29.48%-336.63B | -9.59%-105.61B | -33.77%-88.45B | -33.54%-73.95B | -62.90%-68.62B | -65.13%-259.99B | -162.36%-96.36B | -49.35%-66.12B |
| Net business purchase and sale | 121.49%10.82B | -5,148.01%-43.61B | 29.53%-135.53B | 28.36%-57.67B | 61.98%-26.67B | -2,417.90%-50.36B | 97.91%-831M | -733.02%-192.31B | -531.48%-80.49B | ---70.15B |
| Net investment purchase and sale | 97.65%-2.84B | 100.38%31.27B | 135.61%28.74B | 181.86%31.76B | 451.26%102.34B | -237.15%-120.96B | -32.43%15.6B | -108.59%-80.71B | -190.34%-38.79B | -219.19%-29.14B |
| Cash from discontinued investing activities | ||||||||||
| Investing cash flow | 55.09%-146.64B | -9.08%-210.08B | -8.61%-941.97B | 6.34%-305.19B | 53.36%-117.67B | -100.87%-326.51B | -52.15%-192.6B | -27.90%-867.27B | -248.99%-325.85B | -61.69%-252.3B |
| Financing cash flow | ||||||||||
| Cash flow from continuing financing activities | 80.15%424.54B | -496.74%-325.12B | -69.47%280.48B | -128.45%-118.34B | -68.72%81.22B | -8.60%235.65B | 655.02%81.95B | 162.56%918.65B | 378.15%415.97B | 170.93%259.63B |
| Net issuance payments of debt | 60.72%757.03B | -30.59%212.63B | -5.39%1.41T | -30.71%328.34B | -36.85%307.76B | 28.05%471.03B | 85.71%306.33B | 242.71%1.49T | 762.66%473.84B | 344.45%487.35B |
| Net common stock issuance | -44.65%-306.97B | -2,881.27%-363.21B | -188.80%-722.04B | -1,048.99%-430.11B | 0.63%-67.53B | -148.19%-212.21B | 79.39%-12.18B | -59.63%-250.01B | 44.03%-37.43B | -11.41%-67.96B |
| Cash dividends paid | --0 | 21.47%-147.96B | -43.80%-347.81B | --0 | -12.28%-159.39B | --0 | -88.58%-188.42B | -13.30%-241.87B | --0 | -38.87%-141.95B |
| Net other financing activities | -10.15%-25.52B | -11.75%-26.58B | 24.35%-63.14B | 18.93%-16.56B | 102.07%368M | 5.59%-23.17B | -14.93%-23.78B | -62.46%-83.47B | -83.04%-20.43B | -414.36%-17.81B |
| Cash from discontinued financing activities | ||||||||||
| Financing cash flow | 80.15%424.54B | -496.74%-325.12B | -69.47%280.48B | -128.45%-118.34B | -68.72%81.22B | -8.60%235.65B | 655.02%81.95B | 162.56%918.65B | 378.15%415.97B | 170.93%259.63B |
| Net cash flow | ||||||||||
| Beginning cash position | -19.36%4.01T | -8.59%4.53T | 30.28%4.95T | 14.19%4.96T | 4.09%4.62T | 21.89%4.98T | 30.28%4.95T | 3.49%3.8T | 20.84%4.34T | 12.84%4.44T |
| Current changes in cash | 844.31%558.1B | -134.24%-449.54B | -146.24%-369.34B | -168.49%-284.7B | -1.87%48.18B | -78.82%59.1B | -450.38%-191.92B | 4,690.77%798.66B | 139.79%415.68B | 132.59%49.1B |
| Effect of exchange rate changes | 125.61%106.04B | -130.52%-65.5B | -115.99%-56.43B | -175.89%-147.53B | 300.19%290.56B | -630.73%-414.08B | -4.87%214.61B | 142.57%352.89B | 462.24%194.41B | 23.45%-145.14B |
| End cash Position | 1.20%4.68T | -19.36%4.01T | -8.59%4.53T | -8.59%4.53T | 14.19%4.96T | 4.09%4.62T | 21.89%4.98T | 30.28%4.95T | 30.28%4.95T | 20.84%4.34T |
| Free cash from | 1,699.03%115.96B | 60.25%-114.74B | -500.60%-555.28B | -237.12%-150.32B | 2.69%-109.04B | -112.89%-7.25B | -440.47%-288.68B | -90.74%138.61B | -62.36%109.62B | -159.03%-112.06B |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
| Audit Opinions | -- | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- |
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.