Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
BIDU-SW
09888
5
JD HEALTH
06618
| (Q2)Jun 30, 2025 | (FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q2)Jun 30, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q2)Jun 30, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q2)Jun 30, 2022 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | 133.11%46.53M | 8.60%16.81M | 8.60%16.81M | 86.36%19.96M | 40.81%15.47M | 40.81%15.47M | -77.54%10.71M | -24.74%10.99M | -24.74%10.99M | 126.19%47.68M |
| -Cash and cash equivalents | 133.11%46.53M | 8.60%16.81M | 8.60%16.81M | 86.36%19.96M | 40.81%15.47M | 40.81%15.47M | -77.54%10.71M | -24.74%10.99M | -24.74%10.99M | 126.19%47.68M |
| -Accounts receivable | 16.21%826.05M | 0.25%735.8M | 0.25%735.8M | -5.69%710.83M | 13.89%733.96M | 13.89%733.96M | 87.78%753.73M | 76.56%644.45M | 76.56%644.45M | 27.19%401.39M |
| -Other receivables | ---- | -56.85%2.79M | -56.85%2.79M | ---- | -51.64%6.46M | -51.64%6.46M | ---- | 9.85%13.36M | 9.85%13.36M | ---- |
| Inventory | 5.26%117.28M | -0.40%114.96M | -0.40%114.96M | -6.56%111.42M | 17.03%115.43M | 17.03%115.43M | 28.79%119.24M | 26.08%98.63M | 26.08%98.63M | 37.25%92.59M |
| Prepaid assets | 13.63%3.54M | 9.83%4M | 9.83%4M | 52.82%3.12M | 26.41%3.64M | 26.41%3.64M | 38.56%2.04M | 47.27%2.88M | 47.27%2.88M | 30.70%1.47M |
| Total current assets | 17.52%993.4M | -0.07%874.35M | -0.07%874.35M | -4.56%845.33M | 13.59%874.97M | 13.59%874.97M | 63.08%885.72M | 63.22%770.31M | 63.22%770.31M | 34.02%543.13M |
| Non current assets | ||||||||||
| Net PPE | 38.48%56.04M | 32.70%51.46M | 32.70%51.46M | 0.16%40.47M | 9.14%38.78M | 9.14%38.78M | 13.46%40.41M | -1.54%35.53M | -1.54%35.53M | 1.28%35.61M |
| -Gross PP&E | 38.48%56.04M | 25.14%69.52M | 25.14%69.52M | 0.16%40.47M | 9.45%55.56M | 9.45%55.56M | 13.46%40.41M | 1.96%50.76M | 1.96%50.76M | 1.28%35.61M |
| -Accumulated depreciation | ---- | -7.65%-18.06M | -7.65%-18.06M | ---- | -10.17%-16.78M | -10.17%-16.78M | ---- | -11.16%-15.23M | -11.16%-15.23M | ---- |
| Prepaid assets-Non current | ---- | 15.27%1.46M | 15.27%1.46M | ---- | 6.04%1.26M | 6.04%1.26M | ---- | 0.08%1.19M | 0.08%1.19M | ---- |
| Total investment | 53.36%53.8M | 57.87%49.84M | 57.87%49.84M | 17.94%35.08M | 10.72%31.57M | 10.72%31.57M | 3.66%29.74M | 6.68%28.51M | 6.68%28.51M | 11.43%28.69M |
| -Long-term equity investment | 54.43%53.11M | 59.15%49.15M | 59.15%49.15M | 18.37%34.39M | 10.99%30.88M | 10.99%30.88M | 3.75%29.05M | 6.86%27.82M | 6.86%27.82M | 11.74%28M |
| -Including:Available-for-sale securities | ---- | 0.00%688K | 0.00%688K | ---- | 0.00%688K | 0.00%688K | ---- | 0.00%688K | 0.00%688K | ---- |
| Financial assets | ---- | --0 | --0 | -92.93%20K | -68.02%126K | -68.02%126K | -9.87%283K | 3,183.33%394K | 3,183.33%394K | --314K |
| Goodwill and other intangible assets | 0.00%310K | 0.00%310K | 0.00%310K | 0.00%310K | 0.00%310K | 0.00%310K | -13.89%310K | -28.74%310K | -28.74%310K | 48.15%360K |
| -Other intangible assets | 0.00%310K | 0.00%310K | 0.00%310K | 0.00%310K | 0.00%310K | 0.00%310K | -13.89%310K | -28.74%310K | -28.74%310K | 48.15%360K |
| Total non current assets | 24.15%372.88M | 84.87%372.75M | 84.87%372.75M | 41.84%300.35M | -16.01%201.63M | -16.01%201.63M | -41.81%211.76M | -26.62%240.07M | -26.62%240.07M | 35.90%363.88M |
| Total assets | 19.25%1.37B | 15.84%1.25B | 15.84%1.25B | 4.39%1.15B | 6.55%1.08B | 6.55%1.08B | 21.00%1.1B | 26.44%1.01B | 26.44%1.01B | 34.77%907.01M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| -Current debt and capital lease obligation | 18.95%704.78M | 13.45%648.72M | 13.45%648.72M | -9.50%592.51M | -2.23%571.8M | -2.23%571.8M | 31.49%654.68M | 42.30%584.83M | 42.30%584.83M | 61.43%497.89M |
| -Including:Current debt | 19.02%699.37M | 13.43%643.59M | 13.43%643.59M | -9.55%587.61M | -2.19%567.4M | -2.19%567.4M | 31.63%649.66M | 42.66%580.08M | 42.66%580.08M | 62.34%493.57M |
| -Including:Current capital Lease obligation | 10.24%5.4M | 16.50%5.13M | 16.50%5.13M | -2.33%4.9M | -7.39%4.4M | -7.39%4.4M | 15.97%5.02M | 8.89%4.75M | 8.89%4.75M | -1.64%4.33M |
| Payables | 9.76%22.05M | 40.73%16.14M | 40.73%16.14M | 66.13%20.09M | 17.32%11.47M | 17.32%11.47M | -11.00%12.09M | 8.10%9.78M | 8.10%9.78M | 26.57%13.59M |
| -accounts payable | -34.48%6.11M | 3.41%91K | 3.41%91K | 145.79%9.32M | 39.68%88K | 39.68%88K | -31.66%3.79M | 530.00%63K | 530.00%63K | 18.10%5.55M |
| -Total tax payable | 48.03%15.94M | 48.08%14.42M | 48.08%14.42M | 29.76%10.77M | 18.78%9.74M | 18.78%9.74M | 3.25%8.3M | 11.18%8.2M | 11.18%8.2M | 33.16%8.04M |
| -Other payable | ---- | -0.85%1.63M | -0.85%1.63M | ---- | 8.52%1.64M | 8.52%1.64M | ---- | -8.74%1.51M | -8.74%1.51M | ---- |
| Other current liabilities | 25.69%9.18M | ---- | ---- | 54.03%7.31M | ---- | ---- | 13.85%4.74M | ---- | ---- | 36.58%4.17M |
| Current liabilities | 18.73%736.01M | 13.97%674.19M | 13.97%674.19M | -7.69%619.9M | -1.61%591.56M | -1.61%591.56M | 30.23%671.52M | 41.11%601.22M | 41.11%601.22M | 60.03%515.65M |
| Non current liabilities | ||||||||||
| -Long term debt and capital lease obligation | 15.59%62.79M | -1.74%51.95M | -1.74%51.95M | 21.75%54.32M | 42.82%52.86M | 42.82%52.86M | 17.56%44.61M | -13.16%37.01M | -13.16%37.01M | -13.58%37.95M |
| -Including:Long term debt | 16.16%56.68M | -6.49%46.05M | -6.49%46.05M | 21.05%48.8M | 47.86%49.24M | 47.86%49.24M | 17.82%40.31M | -14.74%33.3M | -14.74%33.3M | -14.58%34.22M |
| -Including:Long term capital lease obligation | 10.62%6.1M | 62.79%5.9M | 62.79%5.9M | 28.30%5.52M | -2.40%3.62M | -2.40%3.62M | 15.16%4.3M | 4.15%3.71M | 4.15%3.71M | -3.11%3.73M |
| -Derivative product liabilities | 1,159.62%1.31M | 95.33%293K | 95.33%293K | --104K | --150K | --150K | ---- | --0 | --0 | ---- |
| Long-term accounts payable and other payables | 13.19%103K | 23.86%109K | 23.86%109K | 18.18%91K | 15.79%88K | 15.79%88K | 87.80%77K | 94.87%76K | 94.87%76K | 10.81%41K |
| Long term provisions | -1.77%499K | 0.00%499K | 0.00%499K | -4.33%508K | -4.41%499K | -4.41%499K | 9.71%531K | 2.76%522K | 2.76%522K | 5.45%484K |
| Total non current liabilities | 16.46%67.03M | -1.77%55.12M | -1.77%55.12M | 20.67%57.55M | 39.75%56.11M | 39.75%56.11M | 16.36%47.7M | -12.06%40.15M | -12.06%40.15M | -12.35%40.99M |
| Total liabilities | 18.54%803.04M | 12.61%729.31M | 12.61%729.31M | -5.81%677.46M | 0.98%647.67M | 0.98%647.67M | 29.21%719.21M | 35.96%641.37M | 35.96%641.37M | 50.86%556.64M |
| Shareholders'equity | ||||||||||
| Share capital | 12.60%215.65M | 13.81%191.57M | 13.81%191.57M | 32.00%191.52M | 16.01%168.33M | 16.01%168.33M | 0.00%145.09M | 8.48%145.09M | 8.48%145.09M | 8.48%145.09M |
| -common stock | 12.60%215.65M | 13.81%191.57M | 13.81%191.57M | 32.00%191.52M | 16.01%168.33M | 16.01%168.33M | 0.00%145.09M | 8.48%145.09M | 8.48%145.09M | 8.48%145.09M |
| Retained earnings | 25.02%351.63M | 24.06%328.66M | 24.06%328.66M | 18.60%281.26M | 16.86%264.92M | 16.86%264.92M | 14.31%237.15M | 16.02%226.7M | 16.02%226.7M | 20.41%207.46M |
| Total stockholders'equity | 20.45%557.61M | 20.93%512.06M | 20.93%512.06M | 24.08%462.93M | 16.36%423.44M | 16.36%423.44M | 7.98%373.09M | 12.90%363.89M | 12.90%363.89M | 15.48%345.52M |
| Noncontrolling interests | 6.40%5.64M | 4.45%5.73M | 4.45%5.73M | 2.14%5.3M | 7.13%5.48M | 7.13%5.48M | 6.89%5.19M | 0.69%5.12M | 0.69%5.12M | 0.75%4.85M |
| Total equity | 20.29%563.25M | 20.72%517.79M | 20.72%517.79M | 23.78%468.23M | 16.24%428.92M | 16.24%428.92M | 7.96%378.27M | 12.71%369.01M | 12.71%369.01M | 15.24%350.37M |
| Currency Unit | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD |